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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2011

Check here if Amendment [_]; Amendment Number:
                                               ------------
This Amendment (Check only one.): [_] is a restatement.
                                  [_] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    The PNC Financial Services Group, Inc.

Address: 249 Fifth Avenue
         Pittsburgh, PA 15222-2707

Form 13F File Number:   28-1235

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing the Report on behalf of Reporting Manager:

Name:  Joseph C. Guyaux

Title: President

Phone: (412) 762-2569

Signature, Place, and Date of Signing:

/s/ Joseph C. Guyaux   Pittsburgh, PA   November 4, 2011
--------------------   --------------   -------------------
[Signature]            [City, State]    [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager:

Form 13F File Number   Name
--------------------   -----
None                   None




Page 2

                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                   5
Form 13F Information Table Entry Total:          3,187
Form 13F Information Table Value Total:    $35,134,133
                                           (thousands)

List of Other Included Managers:

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

No.    Form 13F File Number    Name
---    --------------------    ------------------------------
1      28-4750                 PNC Bancorp, Inc.
2      28-5284                 PNC Bank, National Association
3      28-13605                PNC Capital Advisors, LLC
4      28-13663                PNC Delaware Trust Company
5      28-11439                PNC Equity Securities, LLC






                                                                                                                   FILE NO. 28-1235
 PAGE     1 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DEUTSCHE BANK AG               NAMEN AKT      D18190898       72,681       2,100      X     28-5284       2100
                                                              11,006         318      X   X 28-5284        318

AMDOCS LTD                     ORD            G02602103       80,980       2,986      X     28-5284       2456                 530
                                                              82,146       3,029      X   X 28-5284       3029
                                                             352,045      12,981      X     28-13605     12981

ARCH CAP GROUP LTD             ORD            G0450A105      265,550       8,127      X     28-5284       8127
                                                           1,017,990      31,155      X   X 28-5284      31155
                                                             143,345       4,387      X     28-13605      4387

ARCOS DORADOS HOLDINGS INC     SHS CLASS -A - G0457F107       52,943       2,283      X     28-5284       2283
                                                                 835          36      X   X 28-13605        36

ARGO GROUP INTL HLDGS LTD      COM            G0464B107       35,463       1,250      X   X 28-5284       1250

ASPEN INSURANCE HOLDINGS LTD   SHS            G05384105       35,551       1,543      X   X 28-5284        343                1200

ASSURED GUARANTY LTD           COM            G0585R106      137,375      12,500      X     28-5284      12500
                                                               7,045         641      X   X 28-5284        641

AXIS CAPITAL HOLDINGS          SHS            G0692U109      117,223       4,519      X     28-5284        135                4384
                                                              78,572       3,029      X   X 28-5284        646                2383
                                                               1,453          56      X   X 28-13605        56

ACCENTURE PLC IRELAND          SHS CLASS A    G1151C101    7,236,072     137,359      X     28-5284     129214                8145
                                                           3,889,575      73,834      X   X 28-5284      72680       905       249
                                                           1,110,758      21,085      X     28-13605     13146                7939
                                                             540,391      10,258      X   X 28-13605     10008                 250
                                                               1,106          21      X     28-13663                            21

BROOKFIELD INFRAST PARTNERS    LP INT UNIT    G16252101        2,093          86      X     28-5284         86
                                                             249,290      10,242      X   X 28-5284        718                9524

BUNGE LIMITED                  COM            G16962105      115,822       1,987      X     28-5284       1987
                                                             219,870       3,772      X   X 28-5284       2952                 820
                                                             107,837       1,850      X     28-13605      1850
                                                             279,792       4,800      X   X 28-13605       300                4500

CHINA YUCHAI INTL LTD          COM            G21082105       68,380       4,690      X     28-13605      4690

CONSOLIDATED WATER CO INC      ORD            G23773107       17,139       2,175      X     28-5284       2175
               COLUMN TOTAL                               16,330,328







                                                                                                                   FILE NO. 28-1235
 PAGE     2 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COOPER INDUSTRIES PLC          SHS            G24140108   11,016,500     238,866      X     28-5284     237843                1023
                                                           3,922,737      85,055      X   X 28-5284      81499                3556
                                                           2,153,297      46,689      X     28-13605     46512                 177
                                                             767,252      16,636      X   X 28-13605     16328       290        18
                                                             222,160       4,817      X     28-13663      4817
                                                              93,624       2,030      X   X 28-13663      2030

COSAN LTD                      SHS A          G25343107       18,940       2,000      X     28-5284       2000
                                                              18,940       2,000      X   X 28-5284       2000

COVIDIEN PLC                   SHS            G2554F113   23,170,934     525,418      X     28-5284     513135               12283
                                                           5,782,789     131,129      X   X 28-5284     125301                5828
                                                          27,456,087     622,587      X     28-13605    605510               17077
                                                           5,511,177     124,970      X   X 28-13605    118521                6449
                                                             108,839       2,468      X     28-13663      1868                 600
                                                              66,679       1,512      X   X 28-13663      1512

ENDURANCE SPECIALTY HLDGS LT   SHS            G30397106        5,601         164      X   X 28-5284        164

ENSTAR GROUP LIMITED           SHS            G3075P101      238,075       2,500      X     28-5284       2500

ASA GOLD AND PRECIOUS MTLS L   SHS            G3156P103    4,058,540     150,372      X     28-5284     150372

EVEREST RE GROUP LTD           COM            G3223R108       60,011         756      X     28-5284        756
                                                              51,279         646      X   X 28-5284        646
                                                               4,604          58      X   X 28-13605        58

FRONTLINE LTD                  SHS            G3682E127        3,167         653      X   X 28-5284        653

GLOBAL CROSSING LTD            SHS NEW        G3921A175        4,017         168      X     28-5284                            168

GENPACT LIMITED                SHS            G3922B107       57,560       4,000      X     28-5284       4000
                                                              15,786       1,097      X   X 28-5284        837       260
                                                              41,199       2,863      X     28-13605      2863

GREENLIGHT CAPITAL RE LTD      CLASS A        G4095J109    1,017,712      49,070      X     28-5284                          49070
                                                             485,316      23,400      X   X 28-5284                          23400
                                                              90,426       4,360      X     28-13663                          4360

HELEN OF TROY CORP LTD         COM            G4388N106       27,833       1,108      X     28-5284       1108
                                                               1,809          72      X   X 28-13605        72
               COLUMN TOTAL                               86,472,890







                                                                                                                   FILE NO. 28-1235
 PAGE     3 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HERBALIFE LTD                  COM USD SHS    G4412G101      496,068       9,255      X     28-5284       1365                7890
                                                             472,859       8,822      X   X 28-5284       1582                7240
                                                              48,240         900      X     28-13605       900
                                                              28,676         535      X     28-13663                           535

INGERSOLL-RAND PLC             SHS            G47791101    3,534,509     125,828      X     28-5284     124935                 893
                                                           5,692,439     202,650      X   X 28-5284     199589                3061
                                                             451,406      16,070      X     28-13605     12125                3945
                                                             654,357      23,295      X   X 28-13605     17895                5400
                                                               8,427         300      X     28-13663       300
                                                              48,034       1,710      X   X 28-13663      1710

INVESCO LTD                    SHS            G491BT108    1,343,538      86,624      X     28-5284      81606                5018
                                                             670,249      43,214      X   X 28-5284      43114                 100
                                                             140,955       9,088      X     28-13605      3709                5379
                                                              24,971       1,610      X     28-13663      1560                  50
                                                               3,567         230      X   X 28-13663                           230

KOSMOS ENERGY LTD              SHS            G5315B107      112,756       9,629      X   X 28-5284        229                9400

LAZARD LTD                     SHS A          G54050102       30,574       1,449      X     28-5284       1449
                                                              43,002       2,038      X   X 28-5284       2038
                                                           1,314,045      62,277      X     28-13605     62277
                                                               1,393          66      X   X 28-13605        66

MARVELL TECHNOLOGY GROUP LTD   ORD            G5876H105      417,016      28,730      X     28-5284      28730
                                                             182,091      12,545      X   X 28-5284      12545
                                                               3,266         225      X   X 28-13605       225

MONTPELIER RE HOLDINGS LTD     SHS            G62185106       11,563         654      X     28-5284        654
                                                             116,317       6,579      X     28-13605      6579

NABORS INDUSTRIES LTD          SHS            G6359F103    1,019,296      83,140      X     28-5284      82553                 587
                                                             709,670      57,885      X   X 28-5284      55955                1930
                                                           1,796,262     146,514      X     28-13605    143458                3056
                                                               9,342         762      X   X 28-13605       762
                                                              14,001       1,142      X     28-13663      1142

NORDIC AMERICAN TANKERS LIMI   COM            G65773106       33,135       2,350      X     28-5284       2350
                                                              38,070       2,700      X   X 28-5284       2700
                                                               2,820         200      X     28-13605       200
               COLUMN TOTAL                               19,472,914







                                                                                                                   FILE NO. 28-1235
 PAGE     4 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PARTNERRE LTD                  COM            G6852T105       65,912       1,261      X     28-5284       1261
                                                              12,440         238      X   X 28-5284        238
                                                           2,064,560      39,498      X     28-13605     39498
                                                               3,188          61      X   X 28-13605        61

PLATINUM UNDERWRITER HLDGS L   COM            G7127P100        2,091          68      X     28-5284         68

RENAISSANCERE HOLDINGS LTD     COM            G7496G103        3,445          54      X     28-5284         34                  20
                                                             186,679       2,926      X   X 28-5284       1251                1675

SEADRILL LIMITED               SHS            G7945E105    5,452,674     198,063      X     28-5284     194913                3150
                                                           3,637,649     132,134      X   X 28-5284     123509                8625
                                                           4,354,420     158,170      X     28-13605    110643               47527
                                                             533,531      19,380      X   X 28-13605     18680                 700
                                                              89,473       3,250      X     28-13663      3250
                                                              85,343       3,100      X   X 28-13663      3100

SEAGATE TECHNOLOGY PLC         SHS            G7945M107       88,673       8,630      X     28-5284        670                7960
                                                             101,394       9,868      X   X 28-5284       9868
                                                               5,086         495      X     28-13605       495
                                                               3,997         389      X   X 28-13605       389

SHIP FINANCE INTERNATIONAL L   SHS            G81075106        5,200         400      X     28-5284        400
                                                               8,775         675      X   X 28-13605       675

SIGNET JEWELERS LIMITED        SHS            G81276100        1,622          48      X     28-5284         48
                                                              32,718         968      X   X 28-5284        368                 600
                                                              96,229       2,847      X     28-13605      2847

SINA CORP                      ORD            G81477104       72,971       1,019      X     28-5284       1019
                                                               2,864          40      X   X 28-13605        40

UTI WORLDWIDE INC              ORD            G87210103       10,615         814      X   X 28-5284        814

TRANSATLANTIC PETROLEUM LTD    SHS            G89982105        2,025       2,470      X     28-5284       2470
                                                                 820       1,000      X   X 28-5284       1000

VALIDUS HOLDINGS LTD           COM SHS        G9319H102      203,447       8,164      X   X 28-5284        385                7779

WARNER CHILCOTT PLC IRELAND    SHS A          G94368100        1,273          89      X     28-5284         89

GOLAR LNG LTD BERMUDA          SHS            G9456A100      117,681       3,703      X   X 28-5284       3703
               COLUMN TOTAL                               17,246,795







                                                                                                                   FILE NO. 28-1235
 PAGE     5 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WHITE MTNS INS GROUP LTD       COM            G9618E107       98,192         242      X     28-5284         22                 220
                                                             416,300       1,026      X   X 28-5284         51                 975

WILLIS GROUP HOLDINGS PUBLIC   SHS            G96666105      201,133       5,852      X     28-5284       2282                3570
                                                             427,563      12,440      X   X 28-5284        250               12190
                                                               6,874         200      X     28-13605       200
                                                              62,725       1,825      X   X 28-13605      1825

XOMA LTD                       SHS            G9825R206          350         200      X     28-5284        200

XL GROUP PLC                   SHS            G98290102       36,735       1,954      X     28-5284                           1954
                                                             211,124      11,230      X   X 28-5284       1542                9688
                                                              95,598       5,085      X     28-13605      1558                3527
                                                               3,046         162      X     28-13663                           162
                                                               3,760         200      X   X 28-13663                           200

ACE LTD                        SHS            H0023R105    6,972,575     115,059      X     28-5284     114401                 658
                                                           3,715,447      61,311      X   X 28-5284      47428               13883
                                                           4,322,537      71,329      X     28-13605     38534               32795
                                                             298,152       4,920      X   X 28-13605      4920
                                                              60,115         992      X     28-13663       900                  92
                                                              39,390         650      X   X 28-13663       650

ALLIED WRLD ASSUR COM HLDG A   SHS            H01531104        1,772          33      X     28-5284         33
                                                              11,655         217      X   X 28-5284        217
                                                             306,899       5,714      X     28-13605      5714

WEATHERFORD INTERNATIONAL LT   REG SHS        H27013103      579,340      47,448      X     28-5284      47026                 422
                                                             592,979      48,565      X   X 28-5284      32999               15566
                                                           1,443,955     118,260      X     28-13605    118226                  34
                                                               3,480         285      X   X 28-13605       285
                                                              12,210       1,000      X     28-13663      1000

FOSTER WHEELER AG              COM            H27178104      536,564      30,161      X     28-5284      28561                1600
                                                             275,140      15,466      X   X 28-5284      15466
                                                               5,782         325      X     28-13605       325

GARMIN LTD                     SHS            H2906T109      155,387       4,891      X     28-5284       3471                1420
                                                             135,213       4,256      X   X 28-5284       1256                3000
               COLUMN TOTAL                               21,031,992







                                                                                                                   FILE NO. 28-1235
 PAGE     6 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NOBLE CORPORATION BAAR         NAMEN -AKT     H5833N103    2,700,494      92,010      X     28-5284      91174                 836
                                                           1,289,698      43,942      X   X 28-5284      34069                9873
                                                           2,931,390      99,877      X     28-13605     96063                3814
                                                             323,995      11,039      X   X 28-13605     11039
                                                               6,516         222      X     28-13663       100                 122
                                                               5,635         192      X   X 28-13663       192

TE CONNECTIVITY LTD            REG SHS        H84989104      820,168      29,146      X     28-5284      28436                 710
                                                             312,044      11,089      X   X 28-5284       8027                3062
                                                               8,161         290      X     28-13605       256                  34
                                                              33,036       1,174      X   X 28-13605      1100                  74
                                                              28,478       1,012      X   X 28-13663      1012

TRANSOCEAN LTD                 REG SHS        H8817H100    1,831,784      38,370      X     28-5284      36264                2106
                                                           1,867,016      39,108      X   X 28-5284      27778       540     10790
                                                             150,715       3,157      X     28-13605      2982                 175
                                                             297,659       6,235      X   X 28-13605      3935                2300

TYCO INTERNATIONAL LTD         SHS            H89128104    1,493,854      36,659      X     28-5284      33624                3035
                                                           1,354,938      33,250      X   X 28-5284      32903                 347
                                                             416,343      10,217      X     28-13605      4604                5613
                                                             857,747      21,049      X   X 28-13605     20975                  74
                                                               3,831          94      X     28-13663                            94
                                                              46,333       1,137      X   X 28-13663      1137

UBS AG                         SHS NEW        H89231338      128,873      11,275      X     28-5284       4877                6398
                                                             186,663      16,331      X   X 28-5284       1557               14774
                                                               4,138         362      X     28-13605       362
                                                               2,880         252      X   X 28-13605       252

ADECOAGRO S A                  COM            L00849106        7,327         850      X     28-5284        850

ALTISOURCE PORTFOLIO SOLNS S   REG SHS        L0175J104      182,506       5,157      X     28-13605      5157

CELLCOM ISRAEL LTD             SHS            M2196U109        6,267         300      X     28-5284        300
                                                             121,162       5,800      X   X 28-5284       5800
                                                               8,356         400      X   X 28-13605       400

CERAGON NETWORKS LTD           ORD            M22013102      331,738      34,737      X     28-5284       5500               29237
                                                               9,407         985      X   X 28-5284                            985
                                                              11,928       1,249      X     28-13663                          1249
               COLUMN TOTAL                               17,781,080







                                                                                                                   FILE NO. 28-1235
 PAGE     7 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CHECK POINT SOFTWARE TECH LT   ORD            M22465104      234,888       4,452      X     28-5284       4452
                                                              67,163       1,273      X   X 28-5284       1273
                                                               4,432          84      X   X 28-13605        84
                                                             120,346       2,281      X   X 28-13663      2281

ELBIT SYS LTD                  ORD            M3760D101      218,900       5,500      X   X 28-13605                          5500

EZCHIP SEMICONDUCTOR LIMITED   ORD            M4146Y108       66,440       2,000      X   X 28-5284       2000

GIVEN IMAGING                  ORD SHS        M52020100      105,630       7,000      X   X 28-5284       7000

ORBOTECH LTD                   ORD            M75253100       44,044       4,550      X   X 28-5284                           4550

SODASTREAM INTERNATIONAL LTD   USD SHS        M9068E105       41,643       1,260      X     28-13605      1000                 260
                                                             100,472       3,040      X   X 28-13605      3040

ASML HOLDING N V               NY REG SHS     N07059186    2,681,720      77,641      X     28-5284       8969               68672
                                                             701,853      20,320      X   X 28-5284        415               19905
                                                              30,810         892      X     28-13605       892
                                                              14,507         420      X   X 28-13605                           420
                                                              85,141       2,465      X     28-13663                          2465

CNH GLOBAL N V                 SHS NEW        N20935206       11,178         426      X   X 28-5284        426

CORE LABORATORIES N V          COM            N22717107    2,727,778      30,366      X     28-5284      30266                 100
                                                             690,254       7,684      X   X 28-5284       6584       800       300
                                                             563,953       6,278      X     28-13605      5978                 300
                                                             251,883       2,804      X   X 28-13605      2804
                                                              42,220         470      X     28-13663       345                 125
                                                              17,966         200      X   X 28-13663       200

LYONDELLBASELL INDUSTRIES N    SHS - A -      N53745100       40,603       1,662      X   X 28-5284       1662

NIELSEN HOLDINGS N V           COM            N63218106       24,463         938      X   X 28-5284        938

NXP SEMICONDUCTORS N V         COM            N6596X109        3,530         250      X   X 28-5284                            250

ORTHOFIX INTL N V              COM            N6748L102      157,711       4,570      X   X 28-5284                           4570

QIAGEN NV                      REG SHS        N72482107    1,910,960     138,175      X     28-5284       9054              129121
                                                             397,018      28,707      X   X 28-5284      15387               13320
                                                               1,106          80      X   X 28-13605        80
                                                              47,063       3,403      X     28-13663                          3403
               COLUMN TOTAL                               11,405,675







                                                                                                                   FILE NO. 28-1235
 PAGE     8 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
YANDEX N V                     SHS CLASS A    N97284108        1,985          97      X     28-5284                             97
                                                               4,501         220      X   X 28-5284        220

COPA HOLDINGS SA               CL A           P31076105        6,127         100      X     28-5284        100
                                                              15,808         258      X   X 28-5284        258
                                                               1,961          32      X     28-13605        32

SINOVAC BIOTECH LTD            SHS            P8696W104          223         100      X   X 28-5284        100

ROYAL CARIBBEAN CRUISES LTD    COM            V7780T103       31,053       1,435      X     28-5284       1435
                                                              27,331       1,263      X   X 28-5284       1263
                                                               3,246         150      X   X 28-13605       150

AVAGO TECHNOLOGIES LTD         SHS            Y0486S104      758,888      23,158      X     28-5284       8162               14996
                                                             532,349      16,245      X   X 28-5284       1635               14610
                                                               2,294          70      X     28-13605        70
                                                              33,917       1,035      X     28-13663                          1035

DIANA SHIPPING INC             COM            Y2066G104       27,825       3,750      X   X 28-5284       3750

DRYSHIPS INC                   SHS            Y2109Q101        4,212       1,800      X     28-5284       1800
                                                               1,170         500      X   X 28-5284        500

EAGLE BULK SHIPPING INC        COM            Y2187A101        4,710       3,000      X   X 28-5284       3000

FLEXTRONICS INTL LTD           ORD            Y2573F102       24,541       4,359      X     28-5284       2849                1510
                                                              38,070       6,762      X   X 28-5284       6762
                                                              47,095       8,365      X     28-13605      8365
                                                               3,603         640      X   X 28-13605       640

GENCO SHIPPING & TRADING LTD   SHS            Y2685T107        7,810       1,000      X   X 28-5284       1000

GENERAL MARITIME CORP NEW      SHS            Y2693R101          230         886      X   X 28-5284        886

GLOBAL SHIP LEASE INC NEW      SHS A          Y27183105          630         300      X     28-5284        300

NAVIOS MARITIME PARTNERS L P   UNIT LPI       Y62267102        2,660         200      X     28-5284        200
                                                              70,490       5,300      X   X 28-5284       5300
                                                               3,990         300      X   X 28-13605       300

SEASPAN CORP                   SHS            Y75638109        2,567         224      X     28-5284        224
                                                              28,650       2,500      X   X 28-13605      2500
               COLUMN TOTAL                                1,687,936







                                                                                                                   FILE NO. 28-1235
 PAGE     9 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TEEKAY LNG PARTNERS L P        PRTNRSP UNITS  Y8564M105      466,800      15,000      X     28-5284      15000
                                                             860,468      27,650      X   X 28-5284      25650                2000
                                                               6,224         200      X   X 28-13605       200

TEEKAY CORPORATION             COM            Y8564W103       81,396       3,600      X   X 28-5284       3600

TEEKAY OFFSHORE PARTNERS L P   PARTNERSHIP UN Y8565J101      203,621       8,284      X   X 28-5284       6564                1720

AAON INC                       COM PAR $0.004 000360206       30,713       1,950      X   X 28-5284                           1950

AAR CORP                       COM            000361105       15,136         908      X     28-5284        658                 250
                                                               1,434          86      X     28-13605        86
                                                               2,117         127      X   X 28-13605       127

ABB LTD                        SPONSORED ADR  000375204    2,767,028     162,004      X     28-5284      98959               63045
                                                           2,215,857     129,734      X   X 28-5284      86209       370     43155
                                                             210,665      12,334      X     28-13605     12334
                                                               9,565         560      X   X 28-13605        60                 500
                                                              52,094       3,050      X     28-13663      1500                1550
                                                              55,783       3,266      X   X 28-13663      2252                1014

ACCO BRANDS CORP               COM            00081T108          529         111      X     28-5284        111
                                                                 515         108      X   X 28-5284         58                  50
                                                               3,668         769      X     28-13605       769
                                                               2,690         564      X   X 28-13605       564

ACNB CORP                      COM            000868109      100,037       7,302      X     28-5284       5871                1431
                                                              11,179         816      X   X 28-5284        211                 605

ABM INDS INC                   COM            000957100        5,718         300      X     28-5284                            300
                                                              10,007         525      X   X 28-5284        525

AFC ENTERPRISES INC            COM            00104Q107      193,586      16,364      X     28-13605     16364

AFLAC INC                      COM            001055102      773,793      22,140      X     28-5284      15413                6727
                                                           4,233,389     121,127      X   X 28-5284     120073                1054
                                                             680,477      19,470      X     28-13605     13783                5687
                                                             285,017       8,155      X   X 28-13605      4155                4000
                                                               2,971          85      X     28-13663        85
                                                               4,648         133      X   X 28-13663                           133

AGCO CORP                      COM            001084102       65,199       1,886      X   X 28-5284       1886
               COLUMN TOTAL                               13,352,324







                                                                                                                   FILE NO. 28-1235
 PAGE    10 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AGIC EQUITY & CONV INCOME FD   COM            00119P102      198,763      13,111      X     28-5284      13111

AGIC CONV & INCOME FD II       COM            001191105       15,540       2,000      X     28-5284       2000

AGL RES INC                    COM            001204106       74,921       1,839      X     28-5284       1839
                                                             175,875       4,317      X   X 28-5284       2117                2200
                                                              50,844       1,248      X     28-13605      1248
                                                             183,452       4,503      X   X 28-13605      4503
                                                              35,810         879      X   X 28-13663       879

A H BELO CORP                  COM CL A       001282102          143          34      X     28-5284         34
                                                                 336          80      X   X 28-5284                             80

AES CORP                       COM            00130H105      109,351      11,204      X     28-5284       9100                2104
                                                             281,361      28,828      X   X 28-5284      28287                 541
                                                             116,427      11,929      X     28-13605      4859                7070
                                                                 722          74      X     28-13663                            74

AK STL HLDG CORP               COM            001547108      146,280      22,367      X     28-5284      22188                 179
                                                               8,718       1,333      X   X 28-5284       1333
                                                               6,560       1,003      X     28-13605       298                 705

ALPS ETF TR                    ALERIAN MLP    00162Q866       19,050       1,250      X     28-5284       1250
                                                              48,768       3,200      X   X 28-5284       3200
                                                               1,524         100      X   X 28-13605       100

AMC NETWORKS INC               CL A           00164V103          543          17      X     28-5284         17
                                                              63,261       1,980      X   X 28-5284       1980
                                                               2,205          69      X   X 28-13605        69

AMN HEALTHCARE SERVICES INC    COM            001744101       13,233       3,300      X   X 28-5284                           3300

AMR CORP                       COM            001765106       18,630       6,294      X   X 28-5284       6294

AOL INC                        COM            00184X105        5,808         484      X     28-5284        454                  30
                                                              61,848       5,154      X   X 28-5284       5154
                                                                  36           3      X   X 28-13605         3
               COLUMN TOTAL                                1,640,009







                                                                                                                   FILE NO. 28-1235
 PAGE    11 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AT&T INC                       COM            00206R102  138,770,506   4,865,726      X     28-5284    4792012               73714
                                                         102,669,490   3,599,912      X   X 28-5284    3447003      7152    145757
                                                          40,079,983   1,405,329      X     28-13605   1268975              136354
                                                          17,326,984     607,538      X   X 28-13605    587903      1155     18480
                                                             621,080      21,777      X     28-13663     20133                1644
                                                           1,681,767      58,968      X   X 28-13663     57784                1184

ATMI INC                       COM            00207R101        3,164         200      X     28-5284                            200
                                                             160,573      10,150      X   X 28-5284                          10150

ATP OIL & GAS CORP             COM            00208J108       11,565       1,500      X   X 28-5284       1500

ARCA BIOPHARMA INC             COM            00211Y100          168         150      X   X 28-5284        150

AU OPTRONICS CORP              SPONSORED ADR  002255107          147          37      X     28-5284         37
                                                              19,907       5,027      X   X 28-5284       5027

AVI BIOPHARMA INC              COM            002346104       11,200      10,000      X     28-5284      10000

AVX CORP NEW                   COM            002444107       18,956       1,597      X   X 28-5284        197                1400

AARONS INC                     COM PAR $0.50  002535300      465,787      18,447      X     28-5284       1024               17423
                                                              92,365       3,658      X   X 28-5284       1145                2513
                                                           2,078,605      82,321      X     28-13605     67441               14880
                                                              14,241         564      X   X 28-13605       564
                                                              18,887         748      X     28-13663                           748

ABBOTT LABS                    COM            002824100  116,199,490   2,272,184      X     28-5284    2246851               25333
                                                         100,625,774   1,967,653      X   X 28-5284    1843546      6880    117227
                                                           5,780,508     113,033      X     28-13605     95074               17959
                                                           6,229,261     121,808      X   X 28-13605     97147               24661
                                                             672,082      13,142      X     28-13663     12440                 702
                                                           2,253,842      44,072      X   X 28-13663     43464                 608

ABERCROMBIE & FITCH CO         CL A           002896207      118,626       1,927      X     28-5284       1017                 910
                                                             117,456       1,908      X   X 28-5284       1874                  34
                                                              92,586       1,504      X     28-13605       517                 987
                                                               9,234         150      X   X 28-13605       150

ABERDEEN ASIA PACIFIC INCOM    COM            003009107      195,070      28,312      X     28-5284      28312
                                                               2,756         400      X   X 28-5284        400
               COLUMN TOTAL                              536,342,060







                                                                                                                   FILE NO. 28-1235
 PAGE    12 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ABERDEEN ISRAEL FUND INC       COM            00301L109       19,600       1,400      X     28-5284       1400
                                                              45,500       3,250      X     28-13605      3250

ABERDEEN CHILE FD INC          COM            00301W105       81,023       5,726      X   X 28-5284       5726
                                                               1,500         106      X   X 28-13605       106
                                                              35,814       2,531      X   X 28-13663      2531

ABERDEEN AUSTRALIA EQTY FD I   COM            003011103        6,699         700      X     28-5284        700

ABINGTON BANCORP INC           COM            00350L109      120,672      16,760      X   X 28-5284      14500                2260

ABIOMED INC                    COM            003654100        4,412         400      X     28-5284        400
                                                              33,090       3,000      X   X 28-5284       3000

ACACIA RESH CORP               ACACIA TCH COM 003881307       12,165         338      X     28-5284        338
                                                              99,656       2,769      X     28-13605      2769

ACI WORLDWIDE INC              COM            004498101      483,052      17,540      X     28-5284      17540
                                                             551,819      20,037      X     28-13605     20037

ACME PACKET INC                COM            004764106      186,672       4,383      X     28-5284         33                4350
                                                              29,132         684      X   X 28-5284        539                 145
                                                               7,879         185      X     28-13663                           185

ACME UTD CORP                  COM            004816104      455,573      47,955      X     28-5284                          47955

ACTIVISION BLIZZARD INC        COM            00507V109       62,213       5,228      X   X 28-5284       5228

ACTUANT CORP                   SDCV  2.672%11 00508XAB0      109,125       1,000      X     28-13605      1000

ACTUANT CORP                   CL A NEW       00508X203      180,950       9,162      X     28-5284       2353                6809
                                                              41,080       2,080      X   X 28-5284                           2080
                                                              14,319         725      X     28-13605       725
                                                              79,000       4,000      X   X 28-13605      4000

ACUITY BRANDS INC              COM            00508Y102      191,264       5,307      X     28-5284       5307
                                                              52,258       1,450      X   X 28-5284                           1450
                                                               1,802          50      X   X 28-13605        50

ACXIOM CORP                    COM            005125109       10,640       1,000      X     28-5284       1000

ADAMS EXPRESS CO               COM            006212104      244,074      26,501      X     28-5284      26501
                                                              34,077       3,700      X   X 28-5284       3700
               COLUMN TOTAL                                3,195,060







                                                                                                                   FILE NO. 28-1235
 PAGE    13 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ADMINISTRADORA FONDOS PENSIO   SPONSORED ADR  00709P108        5,709         100      X     28-5284        100
                                                             126,055       2,208      X     28-13605      2208
                                                               5,709         100      X   X 28-13605       100

ADOBE SYS INC                  COM            00724F101      326,513      13,509      X     28-5284      11861                1648
                                                             443,568      18,352      X   X 28-5284      11700                6652
                                                             325,087      13,450      X     28-13605      7679                5771
                                                             175,498       7,261      X   X 28-13605      7261
                                                               5,172         214      X     28-13663                           214

ADTRAN INC                     COM            00738A106      483,160      18,260      X   X 28-5284       1450               16810
                                                             308,418      11,656      X     28-13605     10656                1000
                                                             130,580       4,935      X   X 28-13605      4935

ADVANCE AMER CASH ADVANCE CT   COM            00739W107        2,944         400      X     28-5284        400
                                                             363,864      49,438      X     28-13605     49438

ADVANCE AUTO PARTS INC         COM            00751Y106       29,050         500      X     28-5284        500
                                                              35,383         609      X   X 28-5284        609

ADVOCAT INC                    COM            007586100        7,538       1,250      X     28-5284       1250

ADVISORY BRD CO                COM            00762W107      750,419      11,629      X     28-5284                          11629
                                                              25,747         399      X   X 28-5284                            399
                                                              32,265         500      X     28-13663                           500

ADVENT CLAY GBL CONV SEC INC   COM BENE INTER 007639107        6,401       1,016      X     28-5284       1016

ADVENT CLAYMORE CV SECS & IN   COM            00764C109        5,991         414      X     28-5284        414
                                                                 680          47      X   X 28-5284         47
                                                              15,917       1,100      X   X 28-13605      1100

ADVENTRX PHARMACEUTICALS INC   COM NEW        00764X202       10,665      11,592      X   X 28-5284      11592

ADVANTAGE OIL & GAS LTD        COM            00765F101        5,610       1,500      X     28-5284       1500

AECOM TECHNOLOGY CORP DELAWA   COM            00766T100      176,612       9,995      X     28-5284       9995
                                                              67,252       3,806      X   X 28-5284       3516                 290
                                                               4,859         275      X     28-13605       275
                                                               3,534         200      X   X 28-13605       200
               COLUMN TOTAL                                3,880,200







                                                                                                                   FILE NO. 28-1235
 PAGE    14 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ADVANCED MICRO DEVICES INC     COM            007903107        4,196         826      X     28-5284                            826
                                                             178,176      35,074      X   X 28-5284      35074
                                                              53,721      10,575      X     28-13605      4222                6353

AEGON N V                      NY REGISTRY SH 007924103      401,375      99,105      X     28-5284      99105
                                                              50,143      12,381      X   X 28-5284      12381
                                                               9,157       2,261      X     28-13605      2261

ADVANCED ENERGY INDS           COM            007973100        2,500         290      X     28-5284                            290
                                                               1,284         149      X     28-13605       149

ADVENT SOFTWARE INC            COM            007974108      221,552      10,626      X     28-13605     10626
                                                               1,877          90      X   X 28-13605        90

AEROVIRONMENT INC              COM            008073108      341,009      12,114      X     28-5284                          12114
                                                              11,485         408      X   X 28-5284                            408
                                                              76,005       2,700      X   X 28-13605                          2700
                                                              14,582         518      X     28-13663                           518

AES TR III                     PFD CV 6.75%   00808N202      115,315       2,350      X     28-5284       2350
                                                              79,052       1,611      X   X 28-5284       1611

AETNA INC NEW                  COM            00817Y108    1,262,270      34,735      X     28-5284      11792               22943
                                                           2,315,330      63,713      X   X 28-5284      56497                7216
                                                             264,192       7,270      X     28-13605      2734                4536
                                                             341,959       9,410      X   X 28-13605      9210                 200
                                                              58,544       1,611      X     28-13663                          1611

AFFILIATED MANAGERS GROUP      COM            008252108       24,898         319      X     28-5284        319
                                                             263,107       3,371      X   X 28-5284       3371
                                                             266,541       3,415      X     28-13605      3415
                                                              88,197       1,130      X   X 28-13605      1130

AFFYMETRIX INC                 COM            00826T108       49,000      10,000      X   X 28-5284      10000

AGFEED INDUSTRIES INC          COM            00846L101          260         500      X     28-5284        500

AGILENT TECHNOLOGIES INC       COM            00846U101    1,259,688      40,310      X     28-5284      36488                3822
                                                           2,312,188      73,990      X   X 28-5284      69240                4750
                                                             263,063       8,418      X     28-13605      4262                4156
                                                              92,688       2,966      X   X 28-13605      2476                 490
                                                               8,344         267      X     28-13663                           267
               COLUMN TOTAL                               10,431,698







                                                                                                                   FILE NO. 28-1235
 PAGE    15 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AGILYSYS INC                   COM            00847J105       43,051       6,038      X     28-5284       6038
                                                              57,040       8,000      X   X 28-5284       8000

AGNICO EAGLE MINES LTD         COM            008474108      379,440       6,375      X     28-5284       6375
                                                             225,283       3,785      X   X 28-5284       3785
                                                              43,747         735      X     28-13605       735
                                                              14,880         250      X   X 28-13605       250

AGRIA CORP                     SPONSORED ADR  00850H103        1,250       1,000      X     28-5284       1000

AGRIUM INC                     COM            008916108       29,997         450      X     28-5284        450
                                                             209,179       3,138      X   X 28-5284        943                2195
                                                               2,333          35      X     28-13605        35
                                                             166,650       2,500      X   X 28-13605                          2500

AIR LEASE CORP                 CL A           00912X302       85,824       4,470      X   X 28-5284       4470

AIR METHODS CORP               COM PAR $.06   009128307       76,404       1,200      X     28-5284       1200

AIR PRODS & CHEMS INC          COM            009158106   18,515,296     242,442      X     28-5284     238013                4429
                                                          13,788,833     180,553      X   X 28-5284     170325               10228
                                                           2,004,789      26,251      X     28-13605     23664                2587
                                                           2,864,410      37,507      X   X 28-13605     33807                3700
                                                              58,194         762      X     28-13663       730                  32
                                                             141,055       1,847      X   X 28-13663      1790                  57

AIRGAS INC                     COM            009363102      534,748       8,379      X     28-5284       8008                 371
                                                             342,267       5,363      X   X 28-5284       5341                  22
                                                              76,329       1,196      X     28-13605       355                 841
                                                               1,659          26      X     28-13663                            26

AKAMAI TECHNOLOGIES INC        COM            00971T101      226,592      11,398      X     28-5284       9770                1628
                                                             100,314       5,046      X   X 28-5284       5046
                                                             139,120       6,998      X     28-13605      4885                2113
                                                               1,292          65      X   X 28-13605        65
                                                               1,869          94      X     28-13663                            94

ALASKA AIR GROUP INC           COM            011659109        2,815          50      X     28-5284         50
                                                              16,887         300      X   X 28-5284        300
                                                             316,856       5,629      X     28-13605      5629
               COLUMN TOTAL                               40,468,403







                                                                                                                   FILE NO. 28-1235
 PAGE    16 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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        2,620         400      X     28-5284        400
                                                              19,650       3,000      X   X 28-5284       3000
                                                               6,550       1,000      X   X 28-13605      1000

ALBEMARLE CORP                 COM            012653101       24,402         604      X     28-5284        604
                                                              21,291         527      X   X 28-5284        527
                                                              64,640       1,600      X   X 28-13605      1600

ALCOA INC                      NOTE  5.250% 3 013817AT8      654,000       4,000      X   X 28-5284       4000

ALCOA INC                      COM            013817101    1,911,732     199,763      X     28-5284     195912                3851
                                                           1,716,925     179,407      X   X 28-5284     170482                8925
                                                             205,564      21,480      X     28-13605      9197               12283
                                                              31,342       3,275      X   X 28-13605      3275
                                                               2,153         225      X   X 28-13663       225

ALCATEL-LUCENT                 SPONSORED ADR  013904305        2,697         953      X     28-5284        953
                                                              20,246       7,154      X   X 28-5284       7154
                                                                 391         138      X     28-13605       138
                                                               1,058         374      X   X 28-13605       277                  97

ALEXANDER & BALDWIN INC        COM            014482103        3,653         100      X     28-5284        100
                                                             167,052       4,573      X   X 28-5284       4573
                                                               3,653         100      X   X 28-13605       100

ALERE INC                      COM            01449J105      518,210      26,372      X     28-5284       5300               21072
                                                             188,640       9,600      X   X 28-5284       3280                6320
                                                              28,100       1,430      X     28-13663                          1430

ALEXANDRIA REAL ESTATE EQ IN   COM            015271109       10,007         163      X     28-5284        163
                                                              14,365         234      X   X 28-5284        234
                                                             213,207       3,473      X     28-13605      3473

ALEXION PHARMACEUTICALS INC    COM            015351109      818,879      12,783      X     28-5284       2393               10390
                                                             551,813       8,614      X   X 28-5284       1444                7170
                                                              44,073         688      X     28-13605       688
                                                              22,421         350      X   X 28-13605                           350
                                                              52,850         825      X     28-13663                           825

ALIGN TECHNOLOGY INC           COM            016255101      135,817       8,953      X     28-5284       8953

ALIMERA SCIENCES INC           COM            016259103      118,440      14,805      X     28-5284        100               14705
               COLUMN TOTAL                                7,576,441







                                                                                                                   FILE NO. 28-1235
 PAGE    17 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ALLEGHANY CORP DEL             COM            017175100        6,636          23      X     28-5284         14                   9
                                                          35,177,382     121,932      X   X 28-5284      83331               38601

ALLEGHENY TECHNOLOGIES INC     NOTE  4.250% 6 01741RAD4      483,000       4,000      X   X 28-5284       4000

ALLEGHENY TECHNOLOGIES INC     COM            01741R102      602,419      16,286      X     28-5284      15726                 560
                                                           1,194,444      32,291      X   X 28-5284      31361                 930
                                                              74,276       2,008      X     28-13605       916                1092
                                                               7,953         215      X   X 28-13605       215
                                                               9,395         254      X     28-13663       200                  54
                                                               3,218          87      X   X 28-13663                            87

ALLERGAN INC                   COM            018490102   52,688,189     639,575      X     28-5284     623201               16374
                                                          17,617,622     213,858      X   X 28-5284     199685      1925     12248
                                                          27,949,886     339,280      X     28-13605    328866               10414
                                                           6,962,428      84,516      X   X 28-13605     80633                3883
                                                             580,532       7,047      X     28-13663      4822                2225
                                                             300,193       3,644      X   X 28-13663      3644

ALLETE INC                     COM NEW        018522300       58,095       1,586      X     28-5284       1586
                                                              32,015         874      X   X 28-5284        874

ALLIANCE DATA SYSTEMS CORP     COM            018581108      118,007       1,273      X     28-5284       1113                 160
                                                              39,583         427      X   X 28-5284        427
                                                              89,363         964      X     28-13605       964

ALLIANCE HOLDINGS GP LP        COM UNITS LP   01861G100      445,619      10,130      X   X 28-5284       9070                1060

ALLIANCE RES PARTNER L P       UT LTD PART    01877R108      186,846       2,850      X     28-5284       2850
                                                             127,842       1,950      X   X 28-5284       1450                 500
                                                              99,192       1,513      X     28-13605      1513

ALLIANCEBERNSTEIN GBL HGH IN   COM            01879R106      165,997      12,769      X     28-5284      12769
                                                             342,901      26,377      X   X 28-5284      26377
                                                               4,550         350      X   X 28-13605       350

ALLIANT ENERGY CORP            COM            018802108       37,636         973      X     28-5284        973
                                                             170,153       4,399      X   X 28-5284       4399
                                                              11,604         300      X     28-13605       300
                                                              52,218       1,350      X   X 28-13605      1350
               COLUMN TOTAL                              145,639,194







                                                                                                                   FILE NO. 28-1235
 PAGE    18 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ALLIANT TECHSYSTEMS INC        COM            018804104       30,962         568      X     28-5284        568
                                                                 436           8      X   X 28-5284          8
                                                               4,088          75      X     28-13605        75
                                                             218,040       4,000      X   X 28-13605                          4000

ALLIANCEBERNSTEIN INCOME FUN   COM            01881E101      106,798      13,400      X     28-5284      13400
                                                              39,850       5,000      X   X 28-5284       5000

ALLIANCEBERNSTEIN HOLDING LP   UNIT LTD PARTN 01881G106      201,338      14,750      X   X 28-5284      12190                2560
                                                               4,095         300      X     28-13605       300

ALLIED NEVADA GOLD CORP        COM            019344100       26,213         732      X   X 28-5284        732

ALLSCRIPTS HEALTHCARE SOLUTN   COM            01988P108       32,796       1,820      X     28-5284       1820
                                                             121,851       6,762      X   X 28-5284       6762
                                                              67,701       3,757      X   X 28-13605      3757

ALLSTATE CORP                  COM            020002101    3,335,410     140,794      X     28-5284     134353                6441
                                                           6,847,310     289,038      X   X 28-5284     278889               10149
                                                           3,006,332     126,903      X     28-13605    120874                6029
                                                             443,453      18,719      X   X 28-13605     16929                1790
                                                             113,428       4,788      X   X 28-13663      4788

ALMOST FAMILY INC              COM            020409108      180,186      10,835      X     28-13663     10835

ALPHA NATURAL RESOURCES INC    COM            02076X102      108,245       6,119      X     28-5284       5500                 619
                                                             188,540      10,658      X   X 28-5284       6387                4271
                                                              58,802       3,324      X     28-13605       978                2346
                                                              19,388       1,096      X   X 28-13605      1020                  76
                                                                 513          29      X     28-13663                            29

ALPHA PRO TECH LTD             COM            020772109        1,150       1,000      X   X 28-5284       1000

ALPINE GLOBAL DYNAMIC DIVD F   COM            02082E106       31,485       5,885      X   X 28-5284       5885

ALPINE GLOBAL PREMIER PPTYS    COM SBI        02083A103       13,259       2,483      X     28-5284       2483
                                                               6,632       1,242      X     28-13605      1242

ALPINE TOTAL DYNAMIC DIVID F   COM SBI        021060108      117,260      26,000      X     28-5284      26000

ALTAIR NANOTECHNOLOGIES INC    COM NEW        021373204        1,005         750      X     28-5284        750
               COLUMN TOTAL                               15,326,566







                                                                                                                   FILE NO. 28-1235
 PAGE    19 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ALTERA CORP                    COM            021441100    2,238,252      70,988      X     28-5284       5940               65048
                                                           1,397,347      44,318      X   X 28-5284       3664               40654
                                                             172,059       5,457      X     28-13605      1527                3930
                                                             148,443       4,708      X     28-13663                          4708

ALTRA HOLDINGS INC             COM            02208R106       38,181       3,300      X   X 28-5284                           3300
                                                                 613          53      X     28-13605        53

ALTRIA GROUP INC               COM            02209S103   58,009,655   2,163,732      X     28-5284    2134522               29210
                                                          69,767,422   2,602,291      X   X 28-5284    2406684     10000    185607
                                                           5,461,760     203,721      X     28-13605    178619               25102
                                                           2,874,354     107,212      X   X 28-13605    104212                3000
                                                             133,004       4,961      X     28-13663      4437                 524
                                                             296,626      11,064      X   X 28-13663     10142                 922

ALUMINA LTD                    SPONSORED ADR  022205108       47,025       8,323      X     28-5284                           8323
                                                              73,450      13,000      X   X 28-5284                          13000
                                                               1,113         197      X   X 28-13605       197

AMARIN CORP PLC                SPONS ADR NEW  023111206        2,300         250      X     28-5284        250

AMAZON COM INC                 COM            023135106   12,059,363      55,771      X     28-5284      45622               10149
                                                           6,127,093      28,336      X   X 28-5284      18894                9442
                                                           1,893,526       8,757      X     28-13605      5008                3749
                                                             694,098       3,210      X   X 28-13605      2980                 230
                                                             559,819       2,589      X     28-13663      1129                1460
                                                              38,705         179      X   X 28-13663       170                   9

AMCOL INTL CORP                COM            02341W103       19,600         817      X     28-5284        817
                                                              15,594         650      X     28-13605       650
                                                               2,159          90      X   X 28-13605        90

AMEDISYS INC                   COM            023436108       10,507         709      X     28-5284        709
                                                               3,468         234      X   X 28-13605       234

AMERCO                         COM            023586100       21,233         340      X     28-5284                            340
                                                              94,300       1,510      X   X 28-5284                           1510
                                                              52,520         841      X     28-13605       841
               COLUMN TOTAL                              162,253,589







                                                                                                                   FILE NO. 28-1235
 PAGE    20 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AMEREN CORP                    COM            023608102      365,873      12,290      X     28-5284       7692                4598
                                                             463,608      15,573      X   X 28-5284      15205                 368
                                                             221,757       7,449      X     28-13605      4590                2859
                                                              53,586       1,800      X   X 28-13605      1800
                                                               2,828          95      X     28-13663                            95
                                                                 714          24      X   X 28-13663                            24

AMERICA MOVIL SAB DE CV        SPON ADR L SHS 02364W105      545,994      24,728      X     28-5284      24728
                                                             182,381       8,260      X   X 28-5284       8260
                                                             156,106       7,070      X     28-13605      6770                 300
                                                              91,544       4,146      X   X 28-13605      4146
                                                               2,208         100      X     28-13663       100
                                                              48,576       2,200      X   X 28-13663      2200

AMERICA MOVIL SAB DE CV        SPON ADR A SHS 02364W204       18,171         820      X     28-5284        820

AMERICAN AXLE & MFG HLDGS IN   COM            024061103       15,863       2,079      X     28-5284       2079
                                                           1,531,021     200,658      X     28-13605    164637               36021
                                                               6,630         869      X   X 28-13605       869

AMERICAN CAMPUS CMNTYS INC     COM            024835100       26,642         716      X     28-5284        716
                                                             373,923      10,049      X     28-13605     10049
                                                               3,721         100      X   X 28-13605       100

AMERICAN CAPITAL AGENCY CORP   COM            02503X105       56,856       2,098      X     28-5284       2098
                                                              82,303       3,037      X   X 28-5284       3037
                                                               7,615         281      X     28-13605       281
                                                                 136           5      X   X 28-13605         5

AMERICAN CAP LTD               COM            02503Y103       13,654       2,002      X     28-5284       2000                   2
                                                              38,574       5,656      X   X 28-5284       5656
                                                               6,820       1,000      X     28-13605      1000

AMERICAN EAGLE OUTFITTERS NE   COM            02553E106       50,748       4,330      X     28-5284       4329                   1
                                                              42,966       3,666      X   X 28-5284       1266                2400

AMERICAN ELEC PWR INC          COM            025537101   10,544,885     277,351      X     28-5284     272059                5292
                                                           7,000,585     184,129      X   X 28-5284     174089               10040
                                                             977,266      25,704      X     28-13605     20031                5673
                                                             756,522      19,898      X   X 28-13605     12462                7436
                                                             102,008       2,683      X     28-13663      2398                 285
                                                              58,817       1,547      X   X 28-13663      1547
               COLUMN TOTAL                               23,850,901







                                                                                                                   FILE NO. 28-1235
 PAGE    21 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 EQTY INVT LIFE HLD    COM            025676206      279,720      31,968      X     28-13605     31968

AMERICAN EXPRESS CO            COM            025816109   40,891,193     910,717      X     28-5284     879778               30939
                                                          32,450,128     722,720      X   X 28-5284     607136      4184    111400
                                                          23,677,207     527,332      X     28-13605    507023               20309
                                                           5,384,902     119,931      X   X 28-13605    115294                4637
                                                             255,750       5,696      X     28-13663      4019                1677
                                                              26,940         600      X   X 28-13663       600

AMERICAN FINL GROUP INC OHIO   COM            025932104       59,468       1,914      X     28-5284       1914
                                                             111,417       3,586      X   X 28-5284       3586
                                                             360,257      11,595      X     28-13605     11595

AMERICAN GREETINGS CORP        CL A           026375105       18,500       1,000      X     28-5284       1000

AMERICAN INTL GROUP INC        *W EXP 01/19/2 026874156        4,125         674      X     28-5284        674
                                                               2,870         469      X   X 28-5284        469
                                                              16,316       2,666      X     28-13605      1629                1037
                                                                 104          17      X   X 28-13605        17

AMERICAN INTL GROUP INC        COM NEW        026874784       35,010       1,595      X     28-5284       1342                 253
                                                              78,801       3,590      X   X 28-5284       3203                 387
                                                             181,439       8,266      X     28-13605      3409                4857
                                                                 329          15      X   X 28-13605        15
                                                               1,010          46      X     28-13663                            46
                                                               1,449          66      X   X 28-13663                            66

AMERICAN NATL INS CO           COM            028591105       22,160         320      X     28-5284                            320
                                                                  69           1      X   X 28-5284          1

AMERICAN PUBLIC EDUCATION IN   COM            02913V103        2,754          81      X     28-5284         81
                                                              30,600         900      X   X 28-5284                            900
                                                              15,300         450      X     28-13605                           450
                                                             140,522       4,133      X   X 28-13605      4133

AMERICAN SCIENCE & ENGR INC    COM            029429107       42,735         700      X   X 28-5284        700
                                                                 611          10      X     28-13605        10

AMERICAN STS WTR CO            COM            029899101        4,072         120      X     28-5284                            120
                                                              10,179         300      X     28-13605       300
                                                              40,716       1,200      X   X 28-13605      1200
               COLUMN TOTAL                              104,146,653







                                                                                                                   FILE NO. 28-1235
 PAGE    22 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AMERICAN TOWER CORP            CL A           029912201    9,108,932     169,311      X     28-5284     137566               31745
                                                           4,640,896      86,262      X   X 28-5284      61012       230     25020
                                                             939,079      17,455      X     28-13605     11859                5596
                                                             505,989       9,405      X   X 28-13605      8205                1200
                                                             273,734       5,088      X     28-13663      1600                3488
                                                               4,035          75      X   X 28-13663        75

AMERICAN SUPERCONDUCTOR CORP   COM            030111108       13,362       3,400      X   X 28-5284                           3400
                                                              56,985      14,500      X   X 28-13605     10000                4500

AMERICAN VANGUARD CORP         COM            030371108       78,901       7,070      X     28-13605      7070

AMERICAN WTR WKS CO INC NEW    COM            030420103    5,814,177     192,650      X     28-5284     189510                3140
                                                           4,202,867     139,260      X   X 28-5284     128260       200     10800
                                                           6,694,226     221,810      X     28-13605    134538               87272
                                                           1,002,821      33,228      X   X 28-13605     25228                8000
                                                             171,573       5,685      X     28-13663      3300                2385
                                                             155,276       5,145      X   X 28-13663      5145

AMERON INTL INC                COM            030710107       16,988         200      X     28-5284        200

AMERISOURCEBERGEN CORP         COM            03073E105   27,720,867     743,785      X     28-5284     735187                8598
                                                           9,062,126     243,148      X   X 28-5284     227988       300     14860
                                                          27,717,736     743,701      X     28-13605    677884               65817
                                                           5,039,239     135,209      X   X 28-13605    129393                5816
                                                             257,685       6,914      X     28-13663      6887                  27
                                                              86,094       2,310      X   X 28-13663      2310

AMERIGROUP CORP                COM            03073T102       91,283       2,340      X     28-5284        630                1710
                                                              11,508         295      X   X 28-5284        240                  55
                                                              84,340       2,162      X     28-13605      2162
                                                               5,344         137      X   X 28-13605       137
                                                               2,536          65      X     28-13663                            65

AMERISERV FINL INC             COM            03074A102        1,900       1,000      X     28-5284       1000

AMERIPRISE FINL INC            COM            03076C106   17,141,398     435,503      X     28-5284     427524                7979
                                                           7,009,701     178,092      X   X 28-5284     166072               12020
                                                          18,006,688     457,487      X     28-13605    446155               11332
                                                           3,845,590      97,703      X   X 28-13605     92636                5067
                                                              84,348       2,143      X     28-13663      1984                 159
                                                              15,744         400      X   X 28-13663       400
               COLUMN TOTAL                              149,863,968







                                                                                                                   FILE NO. 28-1235
 PAGE    23 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AMERIGAS PARTNERS L P          UNIT L P INT   030975106      763,974      17,367      X     28-5284      17367
                                                             206,753       4,700      X   X 28-5284       4700
                                                             157,704       3,585      X     28-13605      3585

AMETEK INC NEW                 COM            031100100      167,784       5,089      X     28-5284       5089
                                                           5,451,820     165,357      X   X 28-5284     165357
                                                             189,578       5,750      X     28-13605      5750
                                                           1,186,920      36,000      X   X 28-13605     36000

AMGEN INC                      NOTE  0.375% 2 031162AQ3      786,000       8,000      X     28-5284       8000
                                                             589,500       6,000      X   X 28-5284       6000
                                                             491,250       5,000      X     28-13605      5000

AMGEN INC                      COM            031162100   19,930,639     362,639      X     28-5284     358628                4011
                                                          13,258,331     241,236      X   X 28-5284     221676       810     18750
                                                           2,351,793      42,791      X     28-13605     31898               10893
                                                           1,436,929      26,145      X   X 28-13605     25195                 950
                                                             146,249       2,661      X     28-13663      2332                 329
                                                             138,499       2,520      X   X 28-13663      2520

AMKOR TECHNOLOGY INC           COM            031652100        4,360       1,000      X     28-5284       1000
                                                             189,660      43,500      X   X 28-5284      43500

AMPAL AMERN ISRAEL CORP        CL A           032015109            7          22      X     28-5284                             22

AMPCO-PITTSBURGH CORP          COM            032037103       20,450       1,000      X   X 28-5284                           1000

AMPHENOL CORP NEW              CL A           032095101    4,441,973     108,952      X     28-5284     107192                1760
                                                           3,596,811      88,222      X   X 28-5284      87185       150       887
                                                             436,932      10,717      X     28-13605      8483                2234
                                                              10,193         250      X   X 28-13605       250
                                                               5,585         137      X     28-13663                           137
                                                             170,622       4,185      X   X 28-13663      4185

AMSURG CORP                    COM            03232P405       16,875         750      X     28-5284        750
                                                             317,048      14,091      X     28-13605     14091

AMYLIN PHARMACEUTICALS INC     COM            032346108      133,134      14,424      X   X 28-5284       1174               13250
                                                               4,615         500      X     28-13605       500

AMTRUST FINANCIAL SERVICES I   COM            032359309    3,282,615     147,467      X     28-13605    124867               22600
                                                             176,900       7,947      X   X 28-13605      7947
               COLUMN TOTAL                               60,061,503







                                                                                                                   FILE NO. 28-1235
 PAGE    24 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AMYRIS INC                     COM            03236M101       44,530       2,199      X     28-5284       2199

ANADARKO PETE CORP             COM            032511107    3,004,648      47,655      X     28-5284      44912                2743
                                                           3,852,418      61,101      X   X 28-5284      57095                4006
                                                           1,594,598      25,291      X     28-13605     19458                5833
                                                           1,208,416      19,166      X   X 28-13605     19166
                                                               9,331         148      X     28-13663                           148
                                                              82,596       1,310      X   X 28-13663      1231                  79

ANALOG DEVICES INC             COM            032654105      362,156      11,589      X     28-5284       8830                2759
                                                             252,813       8,090      X   X 28-5284       7900                 190
                                                             158,281       5,065      X     28-13605      1645                3420
                                                              44,531       1,425      X   X 28-13605      1425
                                                               1,063          34      X     28-13663                            34

ANALOGIC CORP                  COM PAR $0.05  032657207      393,614       8,668      X     28-5284                           8668
                                                              13,169         290      X   X 28-5284                            290
                                                              16,620         366      X     28-13663                           366

ANCESTRY COM INC               COM            032803108      316,616      13,473      X     28-5284        460               13013
                                                             114,445       4,870      X   X 28-5284                           4870
                                                              11,515         490      X     28-13663                           490

ANGLOGOLD ASHANTI LTD          SPONSORED ADR  035128206      148,441       3,589      X     28-5284        738                2851
                                                             185,003       4,473      X   X 28-5284        212                4261
                                                              23,162         560      X   X 28-13605       560

ANHEUSER BUSCH INBEV SA/NV     SPONSORED ADR  03524A108       49,007         925      X     28-5284        315                 610
                                                             789,137      14,895      X   X 28-5284      10375                4520
                                                               1,325          25      X     28-13605        25

ANIKA THERAPEUTICS INC         COM            035255108       82,688      15,200      X     28-5284      15200
                                                              17,952       3,300      X   X 28-5284       3300

ANIXTER INTL INC               NOTE  1.000% 2 035290AJ4      203,750       2,000      X     28-13605      2000

ANIXTER INTL INC               COM            035290105       35,390         746      X     28-5284         51                 695
                                                             117,129       2,469      X     28-13605      2469

ANN INC                        COM            035623107       43,396       1,900      X   X 28-5284                           1900
               COLUMN TOTAL                               13,177,740







                                                                                                                   FILE NO. 28-1235
 PAGE    25 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ANNALY CAP MGMT INC            COM            035710409      979,856      58,921      X     28-5284      55221                3700
                                                           3,258,948     195,968      X   X 28-5284     195968
                                                              31,597       1,900      X     28-13605      1900
                                                           1,638,687      98,538      X   X 28-13605     98538
                                                               7,816         470      X     28-13663                           470

ANSYS INC                      COM            03662Q105      250,398       5,106      X     28-5284       5106
                                                             851,678      17,367      X   X 28-5284       4976               12391
                                                             100,924       2,058      X     28-13605      1458                 600
                                                             349,753       7,132      X   X 28-13605      7132

ANWORTH MORTGAGE ASSET CP      COM            037347101        6,800       1,000      X   X 28-5284       1000

AON CORP                       COM            037389103    3,023,861      72,031      X     28-5284      49812               22219
                                                           3,909,891      93,137      X   X 28-5284      39365               53772
                                                             229,463       5,466      X     28-13605      1532                3934
                                                              10,495         250      X   X 28-13605       250
                                                              98,275       2,341      X     28-13663                          2341
                                                               4,366         104      X   X 28-13663                           104

A123 SYS INC                   COM            03739T108          172          50      X     28-13605        50

APACHE CORP                    COM            037411105   28,838,015     359,397      X     28-5284     348376               11021
                                                          14,136,523     176,178      X   X 28-5284     159056      1100     16022
                                                          13,648,744     170,099      X     28-13605    149744               20355
                                                           2,451,573      30,553      X   X 28-13605     30189       155       209
                                                             427,198       5,324      X     28-13663      4455                 869
                                                             141,303       1,761      X   X 28-13663      1733                  28

APACHE CORP                    PFD CONV SER D 037411808      230,265       4,500      X   X 28-13663      4500

APARTMENT INVT & MGMT CO       CL A           03748R101       49,350       2,231      X     28-5284         17                2214
                                                              27,362       1,237      X   X 28-5284       1083                 154
                                                              40,634       1,837      X     28-13605       546                1291

APOGEE ENTERPRISES INC         COM            037598109        1,718         200      X     28-5284                            200

APOLLO GROUP INC               CL A           037604105       79,339       2,003      X     28-5284       1655                 348
                                                              91,024       2,298      X   X 28-5284       2220                  78
                                                             121,801       3,075      X     28-13605      1312                1763
                                                              16,676         421      X   X 28-13605       321                 100
                                                               2,258          57      X     28-13663                            57
                                                               5,942         150      X   X 28-13663       150
               COLUMN TOTAL                               75,062,705







                                                                                                                   FILE NO. 28-1235
 PAGE    26 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
APOLLO INVT CORP               COM            03761U106       76,615      10,195      X     28-5284                          10195
                                                               7,515       1,000      X   X 28-5284       1000

APOLLO GLOBAL MGMT LLC         CL A SHS       037612306      227,328      22,200      X   X 28-5284                          22200

APPLE INC                      COM            037833100  209,711,891     549,963      X     28-5284     525655               24308
                                                         105,927,264     277,791      X   X 28-5284     263445      1010     13336
                                                         102,029,411     267,569      X     28-13605    252871               14698
                                                          27,752,851      72,781      X   X 28-13605     70094                2687
                                                           2,379,437       6,240      X     28-13663      4806                1434
                                                           2,583,824       6,776      X   X 28-13663      5172                1604

APPLIED INDL TECHNOLOGIES IN   COM            03820C105      178,224       6,562      X     28-5284       6300                 262
                                                             432,279      15,916      X     28-13605     15916
                                                             147,071       5,415      X   X 28-13605      5415

APPLIED MICRO CIRCUITS CORP    COM NEW        03822W406        1,155         215      X     28-5284        215
                                                              15,036       2,800      X   X 28-5284                           2800

APPLIED MATLS INC              COM            038222105    1,654,118     159,741      X     28-5284     134748               24993
                                                           1,515,786     146,382      X   X 28-5284     122545               23837
                                                             232,998      22,501      X     28-13605      6869               15632
                                                             104,275      10,070      X   X 28-13605     10070
                                                              24,852       2,400      X   X 28-13663      2400

APTARGROUP INC                 COM            038336103       49,718       1,113      X     28-5284       1113
                                                             109,486       2,451      X   X 28-5284       2451
                                                             134,010       3,000      X     28-13605      3000

APPROACH RESOURCES INC         COM            03834A103      305,820      18,000      X   X 28-13605     18000

AQUA AMERICA INC               COM            03836W103    1,383,823      64,155      X     28-5284      64155
                                                           2,207,495     102,341      X   X 28-5284      96575                5766
                                                             125,386       5,813      X     28-13605      5813
                                                              40,250       1,866      X   X 28-13605      1866

ARBITRON INC                   COM            03875Q108        5,624         170      X     28-5284                            170

ARCH CHEMICALS INC             COM            03937R102       19,472         415      X     28-5284        255                 160
                                                             232,207       4,949      X   X 28-5284       4949
               COLUMN TOTAL                              459,615,221







                                                                                                                   FILE NO. 28-1235
 PAGE    27 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ARCELORMITTAL SA LUXEMBOURG    NY REGISTRY SH 03938L104       18,281       1,149      X     28-5284       1000                 149
                                                              75,191       4,726      X   X 28-5284        426                4300
                                                               8,751         550      X     28-13605       550

ARCH COAL INC                  COM            039380100      231,180      15,856      X     28-5284      12236                3620
                                                              37,631       2,581      X   X 28-5284       2581
                                                               2,624         180      X     28-13605       180
                                                             169,128      11,600      X   X 28-13605       100               11500

ARCHER DANIELS MIDLAND CO      NOTE  0.875% 2 039483AW2      199,000       2,000      X     28-13605      2000

ARCHER DANIELS MIDLAND CO      COM            039483102    2,179,286      87,839      X     28-5284      85306                2533
                                                           1,346,166      54,259      X   X 28-5284      48798                5461
                                                             445,736      17,966      X     28-13605     10343                7623
                                                             272,116      10,968      X   X 28-13605      3468                7500
                                                              12,256         494      X     28-13663       420                  74
                                                             118,493       4,776      X   X 28-13663      4776

ARCTIC CAT INC                 COM            039670104        1,159          80      X     28-5284                             80
                                                              21,735       1,500      X   X 28-5284                           1500

ARES CAP CORP                  COM            04010L103      216,230      15,703      X     28-5284       1666               14037
                                                              16,496       1,198      X   X 28-5284       1198
                                                              77,732       5,645      X     28-13605      5645
                                                             197,255      14,325      X   X 28-13605     14325

ARIAD PHARMACEUTICALS INC      COM            04033A100      117,100      13,322      X     28-13605     13322

ARIBA INC                      COM NEW        04033V203      939,812      33,916      X     28-5284      33916
                                                              21,946         792      X   X 28-5284        792
                                                             114,165       4,120      X     28-13605      4120

ARKANSAS BEST CORP DEL         COM            040790107        4,764         295      X     28-5284        135                 160
                                                               1,615         100      X   X 28-5284        100

ARLINGTON ASSET INVT CORP      CL A NEW       041356205      643,602      26,761      X     28-13605     26761

ARM HLDGS PLC                  SPONSORED ADR  042068106      265,838      10,425      X     28-5284      10314                 111
                                                              18,794         737      X   X 28-5284        737
                                                              52,377       2,054      X     28-13605      2054
                                                               2,117          83      X   X 28-13605        83
               COLUMN TOTAL                                7,828,576







                                                                                                                   FILE NO. 28-1235
 PAGE    28 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ARMSTRONG WORLD INDS INC NEW   COM            04247X102        6,888         200      X     28-5284        200
                                                               2,170          63      X   X 28-5284         63

ARQULE INC                     COM            04269E107        1,111         220      X     28-5284                            220

ARRIS GROUP INC                COM            04269Q100       37,162       3,608      X     28-5284       3608
                                                               4,635         450      X   X 28-5284        450
                                                               4,450         432      X   X 28-13605       432

ARROW ELECTRS INC              COM            042735100       31,669       1,140      X     28-5284                           1140
                                                              22,085         795      X   X 28-5284        795

ARROWHEAD RESH CORP            COM            042797100          390       1,000      X     28-5284       1000

ARTESIAN RESOURCES CORP        CL A           043113208       49,028       2,800      X     28-5284       2800
                                                              21,888       1,250      X   X 28-5284       1250
                                                              15,759         900      X   X 28-13663       900

ARTHROCARE CORP                COM            043136100      268,280       9,325      X   X 28-5284                           9325

ASCENA RETAIL GROUP INC        COM            04351G101        1,760          65      X     28-13605        65

ASCENT CAP GROUP INC           COM SER A      043632108       47,263       1,202      X     28-5284        532                 670
                                                              40,539       1,031      X   X 28-5284        521                 510

ASHFORD HOSPITALITY TR INC     COM SHS        044103109      109,891      15,654      X     28-13605     15654

ASHLAND INC NEW                COM            044209104      134,583       3,049      X     28-5284       3049
                                                              43,345         982      X   X 28-5284        982

ASSISTED LIVING CONCPT NEV N   CL A NEW       04544X300       34,716       2,740      X     28-5284                           2740
                                                             157,615      12,440      X   X 28-5284                          12440

ASSOCIATED BANC CORP           COM            045487105      178,579      19,202      X     28-5284       9377                9825
                                                             232,481      24,998      X   X 28-5284      24998
                                                               2,465         265      X     28-13605       265

ASSOCIATED ESTATES RLTY CORP   COM            045604105       15,460       1,000      X     28-5284       1000
                                                             157,924      10,215      X   X 28-5284                          10215
               COLUMN TOTAL                                1,622,136







                                                                                                                   FILE NO. 28-1235
 PAGE    29 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ASSURANT INC                   COM            04621X108       32,972         921      X     28-5284         28                 893
                                                              25,991         726      X   X 28-5284        496                 230
                                                             116,099       3,243      X     28-13605      2153                1090
                                                              10,704         299      X   X 28-13605       299

ASTEC INDS INC                 COM            046224101        3,514         120      X     28-5284                            120
                                                               7,320         250      X   X 28-5284                            250

ASTORIA FINL CORP              COM            046265104       13,450       1,749      X     28-5284       1749
                                                                 661          86      X   X 28-5284         86
                                                               2,638         343      X   X 28-13605       343

ASTRAZENECA PLC                SPONSORED ADR  046353108      252,054       5,682      X     28-5284       3064                2618
                                                             912,530      20,571      X   X 28-5284      14404                6167
                                                              13,397         302      X     28-13605       302
                                                             121,635       2,742      X   X 28-13605      2742
                                                             136,718       3,082      X   X 28-13663      3082

ASTRONICS CORP                 COM            046433108      436,745      15,460      X     28-13605     15460

ATHENAHEALTH INC               COM            04685W103      633,850      10,644      X     28-5284                          10644
                                                              21,319         358      X   X 28-5284                            358
                                                              23,820         400      X     28-13605       400
                                                              27,274         458      X     28-13663                           458

ATHERSYS INC                   COM            04744L106       14,080       8,000      X     28-5284       8000

ATLANTIC PWR CORP              COM NEW        04878Q863       93,540       6,592      X     28-5284       6592
                                                              73,079       5,150      X   X 28-5284       5150
                                                               2,838         200      X   X 28-13605       200

ATLAS AIR WORLDWIDE HLDGS IN   COM NEW        049164205       40,015       1,202      X     28-5284        182                1020
                                                             192,749       5,790      X   X 28-5284                           5790
                                                              52,532       1,578      X     28-13605      1578

ATLAS ENERGY LP                COM UNITS LP   04930A104       32,925       1,773      X     28-5284       1773
                                                              24,252       1,306      X   X 28-5284       1306

ATLAS PIPELINE PARTNERS LP     UNIT L P INT   049392103       46,299       1,550      X     28-5284       1550
                                                               5,974         200      X   X 28-5284        200
                                                              87,101       2,916      X     28-13605      2916
               COLUMN TOTAL                                3,458,075







                                                                                                                   FILE NO. 28-1235
 PAGE    30 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ATMEL CORP                     COM            049513104        5,649         700      X     28-5284        700
                                                             564,722      69,978      X   X 28-5284      69978

ATMOS ENERGY CORP              COM            049560105      540,390      16,653      X     28-5284      13533                3120
                                                             546,426      16,839      X   X 28-5284      16839
                                                              55,165       1,700      X     28-13605      1700
                                                              64,900       2,000      X   X 28-13605                          2000
                                                              35,792       1,103      X   X 28-13663      1103

ATRION CORP                    COM            049904105      145,380         701      X     28-13605       701

ATWOOD OCEANICS INC            COM            050095108      349,510      10,172      X     28-5284                          10172
                                                              45,561       1,326      X   X 28-5284        983                 343
                                                           1,413,158      41,128      X     28-13605     35079                6049
                                                              99,438       2,894      X   X 28-13605      2894
                                                              15,050         438      X     28-13663                           438

AUDIOVOX CORP                  CL A           050757103          714         130      X     28-5284                            130

AURICO GOLD INC                COM            05155C105       94,000      10,000      X   X 28-5284      10000

AURIZON MINES LTD              COM            05155P106        2,535         500      X   X 28-5284        500

AUTODESK INC                   COM            052769106      192,612       6,931      X     28-5284       6293                 638
                                                             584,507      21,033      X   X 28-5284       6866               14167
                                                             385,169      13,860      X     28-13605     11272                2588
                                                             353,572      12,723      X   X 28-13605     11923                 800
                                                                 889          32      X     28-13663                            32

AUTOLIV INC                    COM            052800109      375,778       7,748      X     28-5284       5948                1800
                                                             533,791      11,006      X   X 28-5284       5831                5175
                                                              72,750       1,500      X   X 28-13663      1500

AUTOMATIC DATA PROCESSING IN   COM            053015103   36,042,780     764,428      X     28-5284     759545                4883
                                                          37,747,347     800,580      X   X 28-5284     744068               56512
                                                           1,142,209      24,225      X     28-13605     18475                5750
                                                           1,556,563      33,013      X   X 28-13605     32863                 150
                                                             111,368       2,362      X     28-13663      2190                 172
                                                             220,662       4,680      X   X 28-13663      4680
               COLUMN TOTAL                               83,298,387







                                                                                                                   FILE NO. 28-1235
 PAGE    31 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AUTONATION INC                 COM            05329W102       14,227         434      X     28-5284                            434
                                                             108,830       3,320      X   X 28-5284       3320
                                                              32,157         981      X     28-13605       292                 689
                                                               2,688          82      X     28-13663                            82

AUTOZONE INC                   COM            053332102    1,774,377       5,559      X     28-5284       5358                 201
                                                           1,260,162       3,948      X   X 28-5284       3879                  69
                                                             170,128         533      X     28-13605       186                 347
                                                              44,687         140      X   X 28-13605       140
                                                               7,980          25      X     28-13663        20                   5

AVALONBAY CMNTYS INC           COM            053484101    1,491,090      13,074      X     28-5284      12777                 297
                                                           1,669,806      14,641      X   X 28-5284      14260                 381
                                                           3,712,442      32,551      X     28-13605     18014               14537
                                                             287,520       2,521      X   X 28-13605      2521
                                                              12,317         108      X     28-13663       100                   8

AVERY DENNISON CORP            COM            053611109      298,678      11,909      X     28-5284      11507                 402
                                                             291,405      11,619      X   X 28-5284      11619
                                                             159,634       6,365      X     28-13605      5179                1186
                                                              77,848       3,104      X   X 28-13605      3104

AVIAT NETWORKS INC             COM            05366Y102            2           1      X     28-5284                              1
                                                                 766         326      X   X 28-5284        326

AVID TECHNOLOGY INC            COM            05367P100        1,517         196      X     28-5284                            196

AVIS BUDGET GROUP              COM            053774105      204,037      21,100      X   X 28-5284                          21100
                                                                 967         100      X     28-13605       100

AVISTA CORP                    COM            05379B107        9,302         390      X     28-5284                            390

AVNET INC                      COM            053807103       61,784       2,369      X     28-5284         49                2320
                                                             302,476      11,598      X   X 28-5284        798               10800
                                                               9,128         350      X     28-13605       350

AVIVA PLC                      ADR            05382A104       25,554       2,733      X     28-5284       2733
                                                                 355          38      X   X 28-5284         38
               COLUMN TOTAL                               12,031,864







                                                                                                                   FILE NO. 28-1235
 PAGE    32 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AVON PRODS INC                 COM            054303102      449,996      22,959      X     28-5284      14019                8940
                                                             347,920      17,751      X   X 28-5284      16781                 970
                                                             148,215       7,562      X     28-13605      2676                4886
                                                              27,401       1,398      X   X 28-13605      1398
                                                                 490          25      X     28-13663                            25
                                                              15,308         781      X   X 28-13663       642                 139

BB&T CORP                      COM            054937107      797,913      37,408      X     28-5284      32220                5188
                                                             548,053      25,694      X   X 28-5284      24256                1438
                                                           1,367,210      64,098      X     28-13605     55993                8105
                                                             150,824       7,071      X   X 28-13605      7071
                                                              74,655       3,500      X     28-13663      3500
                                                               3,263         153      X   X 28-13663                           153

B & G FOODS INC NEW            COM            05508R106       15,012         900      X     28-5284        900
                                                             345,276      20,700      X   X 28-5284      20700
                                                             115,392       6,918      X     28-13605      6918

BCE INC                        COM NEW        05534B760    4,636,761     123,779      X     28-5284     118334                5445
                                                           4,296,737     114,702      X   X 28-5284     112755                1947
                                                              29,406         785      X     28-13605       785
                                                             442,253      11,806      X   X 28-13605       806               11000
                                                             386,437      10,316      X     28-13663      8360                1956
                                                              48,323       1,290      X   X 28-13663      1290

BGC PARTNERS INC               CL A           05541T101       42,210       7,000      X     28-5284       7000

BHP BILLITON PLC               SPONSORED ADR  05545E209    1,809,550      34,091      X     28-5284       3240               30851
                                                             175,960       3,315      X   X 28-5284         50                3265
                                                              43,313         816      X     28-13663                           816

BJS WHOLESALE CLUB INC         COM            05548J106        5,124         100      X     28-5284        100
                                                              18,754         366      X   X 28-5284        366
                                                             285,919       5,580      X     28-13605      5580

BOK FINL CORP                  COM NEW        05561Q201        7,549         161      X     28-5284        161
                                                              10,034         214      X   X 28-5284        214
                                                               9,284         198      X     28-13605       198
               COLUMN TOTAL                               16,654,542







                                                                                                                   FILE NO. 28-1235
 PAGE    33 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BP PLC                         SPONSORED ADR  055622104   22,906,903     635,068      X     28-5284     631970                3098
                                                          39,116,472   1,084,460      X   X 28-5284     965882              118578
                                                           2,734,214      75,803      X     28-13605     74953                 850
                                                           5,023,325     139,266      X   X 28-13605    135498                3768
                                                             181,144       5,022      X     28-13663      5022
                                                             556,524      15,429      X   X 28-13663     15429

BP PRUDHOE BAY RTY TR          UNIT BEN INT   055630107      760,206       7,216      X     28-5284       6766                 450
                                                             259,056       2,459      X   X 28-5284       1959                 500
                                                             425,509       4,039      X     28-13605      4039

BRE PROPERTIES INC             CL A           05564E106       73,248       1,730      X     28-5284       1730
                                                             231,939       5,478      X   X 28-5284       5478
                                                             180,495       4,263      X     28-13605      4263

BRT RLTY TR                    SH BEN INT NEW 055645303        6,649       1,069      X     28-5284       1069

BT GROUP PLC                   ADR            05577E101        2,664         100      X   X 28-5284        100

BMC SOFTWARE INC               COM            055921100      148,687       3,856      X     28-5284       3146                 710
                                                              83,290       2,160      X   X 28-5284       2133                  27
                                                             112,904       2,928      X     28-13605      1017                1911

BABCOCK & WILCOX CO NEW        COM            05615F102       51,905       2,655      X     28-5284       2655
                                                              10,420         533      X   X 28-5284        533
                                                           2,618,918     133,960      X     28-13605    133960
                                                               9,032         462      X   X 28-13605       462
                                                              83,088       4,250      X     28-13663      4250

BADGER METER INC               COM            056525108       57,860       2,000      X     28-5284       2000
                                                             827,398      28,600      X   X 28-5284      28600

BAIDU INC                      SPON ADR REP A 056752108    1,465,843      13,711      X     28-5284      13055                 656
                                                             613,450       5,738      X   X 28-5284       4028                1710
                                                              28,010         262      X     28-13605       262
                                                              21,382         200      X   X 28-13605       200
                                                              40,412         378      X     28-13663                           378

BAKER MICHAEL CORP             COM            057149106        3,826         200      X     28-5284        200
                                                             143,475       7,500      X   X 28-5284       7500
                                                               7,174         375      X   X 28-13605       375
               COLUMN TOTAL                               78,785,422







                                                                                                                   FILE NO. 28-1235
 PAGE    34 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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   13,236,743     286,820      X     28-5284     277610                9210
                                                           3,583,178      77,642      X   X 28-5284      68498      1100      8044
                                                          25,960,021     562,514      X     28-13605    524765               37749
                                                           4,915,113     106,503      X   X 28-13605    101659                4844
                                                              51,180       1,109      X     28-13663      1036                  73
                                                              73,517       1,593      X   X 28-13663      1593

BALCHEM CORP                   COM            057665200    1,712,827      45,908      X     28-13605     38304                7604
                                                               7,126         191      X   X 28-13605       191

BALL CORP                      COM            058498106    1,749,838      56,410      X     28-5284      54098                2312
                                                           2,255,061      72,697      X   X 28-5284      70462       200      2035
                                                             406,486      13,104      X     28-13605     11124                1980
                                                               1,241          40      X   X 28-13605                            40
                                                                 310          10      X     28-13663                            10
                                                              99,264       3,200      X   X 28-13663      3200

BALLARD PWR SYS INC NEW        COM            058586108          121         100      X     28-5284        100
                                                                 726         600      X   X 28-5284        600

BALLY TECHNOLOGIES INC         COM            05874B107       11,493         426      X     28-5284        426

BANCO BILBAO VIZCAYA ARGENTA   SPONSORED ADR  05946K101        3,325         409      X     28-5284        409
                                                              21,951       2,700      X   X 28-5284       2700

BANCO BRADESCO S A             SP ADR PFD NEW 059460303        3,520         238      X     28-5284        238
                                                              67,930       4,593      X   X 28-5284       1000                3593

BANCO SANTANDER SA             ADR            05964H105      807,481     100,433      X     28-5284     100433
                                                             197,205      24,528      X   X 28-5284      11792               12736
                                                               7,244         901      X     28-13605       901

BANCOLOMBIA S A                SPON ADR PREF  05968L102        2,785          50      X     28-5284         50

BANCORPSOUTH INC               COM            059692103       18,938       2,157      X     28-5284       2156                   1
                                                                 220          25      X     28-13605        25

BANK OF AMERICA CORPORATION    COM            060505104   13,667,264   2,233,213      X     28-5284    2142521               90692
                                                           9,769,448   1,596,315      X   X 28-5284    1573073       150     23092
                                                          12,101,253   1,977,329      X     28-13605   1703336              273993
                                                           3,026,615     494,545      X   X 28-13605    465800      2365     26380
                                                              39,584       6,468      X     28-13663      4810                1658
                                                              65,833      10,757      X   X 28-13663     10000                 757
               COLUMN TOTAL                               93,864,841







                                                                                                                   FILE NO. 28-1235
 PAGE    35 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BANK OF AMERICA CORPORATION    *W EXP 10/28/2 060505153       58,820      69,200      X   X 28-5284      69200

BANK OF AMERICA CORPORATION    7.25%CNV PFD L 060505682      149,940         196      X     28-5284        196
                                                             322,065         421      X   X 28-5284        421

BANK HAWAII CORP               COM            062540109      187,860       5,161      X     28-5284        738                4423
                                                             259,750       7,136      X   X 28-5284       7136
                                                              18,200         500      X     28-13605       500
                                                              36,400       1,000      X   X 28-13605      1000

BANK KY FINL CORP              COM            062896105        9,117         450      X     28-5284        250                 200

BANK MONTREAL QUE              COM            063671101      278,356       4,984      X     28-5284       4465                 519
                                                              82,937       1,485      X   X 28-5284        983                 502
                                                                 614          11      X     28-13605                            11

BANK OF THE OZARKS INC         COM            063904106      496,585      23,726      X     28-5284        800               22926
                                                              16,493         788      X   X 28-5284                            788
                                                           3,093,873     147,820      X     28-13605    124790               23030
                                                             138,138       6,600      X   X 28-13605      6600
                                                              20,679         988      X     28-13663                           988

BANK OF NEW YORK MELLON CORP   COM            064058100    5,149,393     276,998      X     28-5284     269877                7121
                                                           3,410,596     183,464      X   X 28-5284     171610               11854
                                                             972,183      52,296      X     28-13605     37393               14903
                                                             119,329       6,419      X   X 28-13605      6419
                                                               1,859         100      X     28-13663                           100
                                                              27,179       1,462      X   X 28-13663      1462

BANK NOVA SCOTIA HALIFAX       COM            064149107      226,728       4,521      X     28-5284       4521
                                                             725,921      14,475      X   X 28-5284      13975                 500
                                                              11,535         230      X     28-13605       230
                                                             100,300       2,000      X   X 28-13663      2000

BANKUNITED INC                 COM            06652K103      134,795       6,493      X   X 28-5284         93                6400

BARCLAYS BK PLC                DJUBS CMDT ETN 06738C778   22,923,065     549,187      X     28-5284     544445                4742
                                                          13,455,306     322,360      X   X 28-5284     319179       466      2715
                                                           1,728,203      41,404      X     28-13605     41404
                                                             138,159       3,310      X   X 28-13605      3310
                                                             562,572      13,478      X     28-13663     13478
                                                             322,358       7,723      X   X 28-13663      7723
               COLUMN TOTAL                               55,179,308







                                                                                                                   FILE NO. 28-1235
 PAGE    36 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BARCLAYS BK PLC                IPSP CROIL ETN 06738C786        9,702         489      X     28-5284        489
                                                             112,116       5,651      X     28-13605      5651

BARCLAYS PLC                   ADR            06738E204       29,223       2,988      X     28-5284       2988
                                                                 156          16      X   X 28-5284         16
                                                              14,885       1,522      X     28-13605      1522
                                                               4,890         500      X   X 28-13605       500

BARD C R INC                   COM            067383109    4,703,437      53,729      X     28-5284      53024                 705
                                                           4,956,165      56,616      X   X 28-5284      52362       700      3554
                                                             263,408       3,009      X     28-13605      1936                1073
                                                             240,735       2,750      X   X 28-13605      2750
                                                              10,417         119      X     28-13663       100                  19

BARCLAYS BK PLC                ETN DJUBS COPR 06739F101      122,078       3,036      X     28-13605      3036

BARCLAYS BK PLC                ETN DJUBS NCKL 06739F119        2,512         100      X     28-5284        100

BARCLAYS BK PLC                IPMS INDIA ETN 06739F291       23,954         445      X     28-5284        445

BARCLAYS BK PLC                ADR 2 PREF 2   06739F390       43,010       2,200      X     28-5284       2200
                                                              28,348       1,450      X   X 28-5284       1450
                                                              15,640         800      X   X 28-13605       800

BARCLAYS BANK PLC              ETN DJUBS AGRI 06739H206      384,948       7,400      X   X 28-5284       7400

BARCLAYS BANK PLC              ETN DJUBS GRNS 06739H305       40,670         950      X   X 28-5284        950

BARCLAYS BANK PLC              ADR PFD SR 5   06739H362       62,397       2,700      X     28-5284       2700
                                                             114,741       4,965      X   X 28-5284       4965

BARCLAYS BANK PLC              ADS7.75%PFD S4 06739H511      126,161       5,719      X     28-5284       5719
                                                              17,648         800      X   X 28-5284        800
                                                              22,060       1,000      X     28-13605      1000

BARCLAYS BANK PLC              ETN DJUBSLVSTK 06739H743       72,681       2,331      X   X 28-5284       2331

BARCLAYS BANK PLC              SP ADR 7.1%PF3 06739H776       12,684         600      X     28-5284        600
                                                              21,140       1,000      X     28-13605      1000

BARCLAYS BK PLC                IPTH S&P VIX N 06740C261       24,017         450      X     28-5284        450

BARCLAYS BK PLC                IPATH S&P MT E 06740C519    1,057,740      14,450      X     28-5284      14450
               COLUMN TOTAL                               12,537,563







                                                                                                                   FILE NO. 28-1235
 PAGE    37 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BARCLAYS BK PLC                10 YR TREAS BU 06740L493       29,034         450      X   X 28-5284        450

BARNES GROUP INC               COM            067806109       59,675       3,100      X     28-5284       2800                 300
                                                               2,657         138      X   X 28-5284        138

BARRICK GOLD CORP              COM            067901108    5,070,249     108,687      X     28-5284     105367                3320
                                                           2,373,132      50,871      X   X 28-5284      45877                4994
                                                              29,156         625      X     28-13605       625
                                                              10,496         225      X   X 28-13605       225
                                                              18,660         400      X     28-13663       400
                                                              19,593         420      X   X 28-13663       420

BARRETT BILL CORP              COM            06846N104      334,350       9,226      X     28-5284        496                8730
                                                              10,763         297      X   X 28-5284                            297
                                                              13,409         370      X     28-13663                           370

BAXTER INTL INC                COM            071813109   18,548,431     330,396      X     28-5284     319536               10860
                                                          15,266,880     271,943      X   X 28-5284     247808      1200     22935
                                                           4,717,276      84,027      X     28-13605     76462                7565
                                                           1,691,498      30,130      X   X 28-13605     29380                 750
                                                              30,821         549      X     28-13663       400                 149
                                                             286,370       5,101      X   X 28-13663      5101

BAYTEX ENERGY CORP             COM            07317Q105       83,340       2,000      X     28-5284       2000
                                                             100,008       2,400      X   X 28-5284       2400
                                                              27,377         657      X     28-13605       657

BE AEROSPACE INC               COM            073302101   31,733,286     958,420      X     28-5284     916410               42010
                                                             652,995      19,722      X   X 28-5284        412               19310
                                                           2,520,101      76,113      X     28-13605     63566               12547
                                                              10,628         321      X   X 28-13605       321
                                                             131,447       3,970      X     28-13663                          3970

BEACON POWER CORP              COM NEW        073677205          561       1,100      X   X 28-5284       1100
                                                              10,200      20,000      X   X 28-13605     20000

BEACON ROOFING SUPPLY INC      COM            073685109      118,246       7,395      X   X 28-5284                           7395
                                                              23,985       1,500      X     28-13605                          1500
                                                             109,340       6,838      X   X 28-13605      6838
               COLUMN TOTAL                               84,033,964







                                                                                                                   FILE NO. 28-1235
 PAGE    38 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BECTON DICKINSON & CO          COM            075887109   21,791,877     297,216      X     28-5284     294676                2540
                                                          12,125,295     165,375      X   X 28-5284     150316               15059
                                                           1,889,603      25,772      X     28-13605     22957                2815
                                                             860,630      11,738      X   X 28-13605     11488                 250
                                                             259,333       3,537      X     28-13663      3317                 220
                                                             298,632       4,073      X   X 28-13663      4013                  60

BED BATH & BEYOND INC          COM            075896100      992,265      17,314      X     28-5284      16457                 857
                                                             724,169      12,636      X   X 28-5284      12519                 117
                                                             328,501       5,732      X     28-13605      1450                4282
                                                               6,018         105      X   X 28-13605       105
                                                               1,261          22      X     28-13663                            22
                                                             103,158       1,800      X   X 28-13663      1800

BEL FUSE INC                   CL B           077347300          935          60      X     28-5284                             60

BELDEN INC                     COM            077454106          799          31      X     28-5284         31
                                                             120,929       4,689      X     28-13605      4689

BELO CORP                      COM SER A      080555105       12,763       2,610      X   X 28-5284       2210                 400

BEMIS INC                      COM            081437105      828,330      28,261      X     28-5284      27931                 330
                                                           1,835,832      62,635      X   X 28-5284      62617                  18
                                                             134,621       4,593      X     28-13605      3594                 999
                                                               1,495          51      X   X 28-13605        51
                                                               1,378          47      X     28-13663                            47

BENCHMARK ELECTRS INC          COM            08160H101        5,074         390      X     28-5284                            390

BENEFICIAL MUTUAL BANCORP IN   COM            08173R104    1,043,000     140,000      X     28-5284     140000

BERKLEY W R CORP               COM            084423102    1,417,104      47,730      X     28-5284        300               47430
                                                           1,330,973      44,829      X   X 28-5284      10519               34310
                                                             159,435       5,370      X   X 28-13605      5370
                                                              59,380       2,000      X     28-13663                          2000

BERKSHIRE HATHAWAY INC DEL     CL A           084670108   17,622,000         165      X     28-5284        160                   5
                                                         237,202,800       2,221      X   X 28-5284       2184                  37
                                                             854,400           8      X     28-13605         8
                                                           5,553,600          52      X   X 28-13605        52
                                                           1,281,600          12      X   X 28-13663        12
               COLUMN TOTAL                              308,847,190







                                                                                                                   FILE NO. 28-1235
 PAGE    39 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BERKSHIRE HATHAWAY INC DEL     CL B NEW       084670702   32,150,218     452,565      X     28-5284     437861               14704
                                                          41,333,345     581,832      X   X 28-5284     549189               32643
                                                           4,478,788      63,046      X     28-13605     42393               20653
                                                           2,279,247      32,084      X   X 28-13605     29594                2490
                                                              81,696       1,150      X     28-13663       750                 400
                                                             482,646       6,794      X   X 28-13663      6149                 645

BERKSHIRE HILLS BANCORP INC    COM            084680107       51,716       2,800      X   X 28-5284                           2800

BERRY PETE CO                  CL A           085789105       45,994       1,300      X     28-5284       1300
                                                              65,453       1,850      X   X 28-5284        700                1150

BEST BUY INC                   SDCV  2.250% 1 086516AF8      299,250       3,000      X     28-13605      3000

BEST BUY INC                   COM            086516101      693,618      29,769      X     28-5284      24900                4869
                                                             539,302      23,146      X   X 28-5284      13978                9168
                                                             253,364      10,874      X     28-13605      6954                3920
                                                              33,669       1,445      X   X 28-13605      1445

BHP BILLITON LTD               SPONSORED ADR  088606108    3,973,112      59,800      X     28-5284      58470                1330
                                                           5,571,526      83,858      X   X 28-5284      82658                1200
                                                             274,862       4,137      X     28-13605      4137
                                                             207,293       3,120      X   X 28-13605       120                3000

BIG LOTS INC                   COM            089302103       28,247         811      X     28-5284        613                 198
                                                              52,141       1,497      X   X 28-5284       1426                  71
                                                              41,239       1,184      X     28-13605       352                 832

BIO-REFERENCE LABS INC         COM $.01 NEW   09057G602    1,460,060      79,308      X     28-13605     64612               14696
                                                               6,444         350      X   X 28-13605       350

BIO RAD LABS INC               CL A           090572207        1,089          12      X     28-5284         12
                                                               9,712         107      X   X 28-5284        107
                                                             272,310       3,000      X   X 28-13605      3000

BIOMARIN PHARMACEUTICAL INC    COM            09061G101       16,923         531      X     28-5284        531
                                                              76,169       2,390      X   X 28-5284       2390

BIOGEN IDEC INC                COM            09062X103      947,894      10,176      X     28-5284       9002                1174
                                                             430,539       4,622      X   X 28-5284       3932                 690
                                                             381,077       4,091      X     28-13605      1207                2884
                                                              58,498         628      X   X 28-13605       628
               COLUMN TOTAL                               96,597,441







                                                                                                                   FILE NO. 28-1235
 PAGE    40 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BIOMED REALTY TRUST INC        COM            09063H107        3,314         200      X     28-5284        200

BJS RESTAURANTS INC            COM            09180C106      440,438       9,985      X     28-5284        697                9288
                                                              13,939         316      X   X 28-5284                            316
                                                             351,380       7,966      X     28-13605      7966
                                                              17,556         398      X     28-13663                           398

BLACK BOX CORP DEL             COM            091826107        2,135         100      X     28-5284                            100
                                                              13,024         610      X   X 28-5284                            610

BLACKBOARD INC                 COM            091935502        2,054          46      X     28-5284         46
                                                               2,412          54      X   X 28-13605        54

BLACKROCK FLOATING RATE INCO   COM            091941104       45,612       3,600      X   X 28-5284       3600

BLACK HILLS CORP               COM            092113109      121,702       3,972      X     28-5284       3972
                                                              55,152       1,800      X   X 28-5284       1800

BLACKBAUD INC                  COM            09227Q100        1,047          47      X     28-5284         47

BLACKROCK INVT QLTY MUN TR     COM            09247B109      237,587      18,547      X   X 28-5284      18547

BLACKROCK INVT QUALITY MUN T   COM            09247D105       73,150       5,000      X   X 28-5284       5000

BLACKROCK INC                  COM            09247X101   21,383,153     144,471      X     28-5284     118721               25750
                                                             873,407       5,901      X   X 28-5284       4528                1373
                                                             170,212       1,150      X     28-13605         5                1145
                                                               2,072          14      X   X 28-13605        14
                                                       4,912,074,475  33,187,450      X     28-4750   33187450

BLACKROCK INCOME OPP TRUST I   COM            092475102        4,905         500      X     28-5284        500

BLACKROCK MUNICIPL INC QLTY    COM            092479104      104,789       7,333      X     28-5284       7333

BLACKROCK MUN INCOME TR        SH BEN INT     09248F109       21,872       1,600      X     28-5284       1600
                                                              68,514       5,012      X   X 28-5284       5012

BLACKROCK N J MUN INCOME TR    SH BEN INT     09248J101       10,785         750      X     28-5284        750

BLACKROCK BUILD AMER BD TR     SHS            09248X100       33,532       1,660      X   X 28-5284       1660

BLACKROCK NJ MUNICIPAL BOND    COM            09249A109       42,581       3,035      X     28-5284       3035
                                                              37,488       2,672      X   X 28-5284       2672
               COLUMN TOTAL                            4,936,208,287







                                                                                                                   FILE NO. 28-1235
 PAGE    41 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 CORE BD TR           SHS BEN INT    09249E101       80,414       6,200      X   X 28-5284       6200

BLACKROCK MUNI INCOME TR II    COM            09249N101       23,337       1,593      X     28-5284       1593

BLACKROCK CREDIT ALL IN TR I   COM SHS        09249V103       44,460       4,500      X   X 28-5284       4500

BLACKROCK LTD DURATION INC T   COM SHS        09249W101       15,890       1,000      X   X 28-5284       1000

BLACKROCK MUN 2020 TERM TR     COM SHS        09249X109       47,123       3,050      X     28-5284       3050

BLACKROCK LONG-TERM MUNI ADV   COM            09250B103       22,240       2,000      X     28-5284       2000

BLACKROCK EQUITY DIV TRUST     COM            09250N107       24,304       2,800      X     28-5284       2800

BLACKROCK ENERGY & RES TR      COM            09250U101      986,610      43,636      X   X 28-5284      43636
                                                               9,270         410      X     28-13605       410

BLACKROCK GLOBAL OPP EQTY TR   COM            092501105       39,706       2,814      X     28-5284       2814

BLACKROCK CREDIT ALL INC TR    COM            092508100       36,575       3,186      X     28-5284       3186
                                                              18,368       1,600      X   X 28-5284       1600

BLACKROCK ENHANCED EQT DIV T   COM            09251A104        7,678       1,100      X     28-5284       1100
                                                              43,974       6,300      X   X 28-5284       6300

BLACKROCK INTL GRWTH & INC T   COM BENE INTER 092524107       35,144       4,600      X     28-5284       4600
                                                             172,664      22,600      X   X 28-5284      22600

BLACKROCK MUNIVEST FD INC      COM            09253R105        5,055         500      X     28-5284        500

BLACKSTONE GROUP L P           COM UNIT LTD   09253U108      274,342      22,900      X     28-5284      22900
                                                               6,110         510      X   X 28-5284        510
                                                              11,980       1,000      X   X 28-13605      1000

BLACKROCK MUNIYIELD FD INC     COM            09253W104       93,568       6,400      X     28-5284       6400
                                                             245,499      16,792      X   X 28-5284      16792

BLACKROCK MUNI INTER DR FD I   COM            09253X102      262,308      17,905      X     28-5284      17905

BLACKROCK KELSO CAPITAL CORP   COM            092533108        3,650         500      X     28-13605       500
                                                           1,083,546     148,431      X                 148431

BLACKROCK MUNIHOLDNGS QLTY I   COM            09254A101       10,768         800      X     28-5284        800
                                                               8,264         614      X   X 28-5284        614
               COLUMN TOTAL                                3,612,847







                                                                                                                   FILE NO. 28-1235
 PAGE    42 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 REAL ASSET EQUITY    COM            09254B109      135,070      13,000      X     28-5284      13000
                                                               4,156         400      X   X 28-5284        400

BLACKROCK MUNIYIELD QLTY FD    COM            09254E103       80,906       6,120      X     28-5284       6120
                                                              55,075       4,166      X   X 28-5284       4166

BLACKROCK MUNIYIELD QUALITY    COM            09254F100       69,290       4,666      X   X 28-5284       4666

BLACKROCK MUNIYIELD QUALITY    COM            09254G108       56,496       4,400      X     28-5284       4400
                                                             102,720       8,000      X   X 28-5284       8000

BLACKROCK MUNIASSETS FD INC    COM            09254J102       58,891       4,924      X     28-5284       4924

BLACKROCK MUNIYIELD ARIZ FD    COM            09254K109       56,208       4,364      X   X 28-5284       4364

BLACKROCK MUNIHLDNGS CALI QL   COM            09254L107       57,785       4,078      X     28-5284       4078

BLACKROCK MUNIYIELD CALI QLT   COM            09254N103       31,332       2,259      X     28-5284       2259

BLACKROCK MUNIHLDS INVSTM QL   COM            09254P108      130,438       9,337      X   X 28-5284       9337

BLACKROCK MUNIYIELD NJ QLTY    COM            09255A100       27,151       1,938      X   X 28-5284       1938

BLACKROCK MUNIYIELD PA QLTY    COM            09255G107      239,164      16,460      X     28-5284      16460
                                                             680,454      46,831      X   X 28-5284      46831

BLACKROCK CREDIT ALL INC TR    COM            09255H105        5,604         600      X     28-5284        600

BLACKROCK CORPOR HIGH YLD FD   COM            09255L106       27,491       4,178      X   X 28-5284       4178

BLACKROCK CORPOR HI YLD FD V   COM            09255N102      166,752      15,440      X     28-5284      15440
                                                              79,445       7,356      X   X 28-5284       7356

BLACKROCK DEFINED OPPRTY CR    COM            09255Q105       17,115       1,396      X     28-5284       1396

BLACKROCK DEBT STRAT FD INC    COM            09255R103       52,716      13,800      X     28-5284      13800
                                                               1,914         501      X   X 28-13605       501

BLACKROCK SR HIGH INCOME FD    COM            09255T109       10,147       2,780      X     28-5284       2780

BLACKROCK FL RATE OME STRA I   COM SHS        09255Y108       29,075       2,500      X   X 28-5284       2500
               COLUMN TOTAL                                2,175,395







                                                                                                                   FILE NO. 28-1235
 PAGE    43 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 ENH CAP & INC FD I   COM            09256A109       18,813       1,593      X     28-5284       1593
                                                              23,620       2,000      X   X 28-5284       2000

BLACKROCK RES & COMM STRAT T   SHS            09257A108        5,474         407      X   X 28-5284        407

BLOCK H & R INC                COM            093671105      219,123      16,463      X     28-5284       8992                7471
                                                             442,384      33,237      X   X 28-5284      33069                 168
                                                             264,057      19,839      X     28-13605     16367                3472
                                                              65,698       4,936      X   X 28-13605                          4936
                                                              48,315       3,630      X     28-13663      3500                 130
                                                              14,135       1,062      X   X 28-13663      1062

BLOUNT INTL INC NEW            COM            095180105      210,340      15,744      X     28-13605     15744

BLUE COAT SYSTEMS INC          COM NEW        09534T508      162,063      11,676      X     28-5284        447               11229
                                                               5,469         394      X   X 28-5284                            394
                                                               6,912         498      X     28-13663                           498

BLYTH INC                      COM NEW        09643P207       89,774       1,619      X     28-13605      1619

BOARDWALK PIPELINE PARTNERS    UT LTD PARTNER 096627104    7,345,347     286,480      X     28-5284     286480
                                                           2,568,615     100,180      X   X 28-5284      93400                6780
                                                             135,892       5,300      X   X 28-13605      5300

BOB EVANS FARMS INC            COM            096761101        2,738          96      X   X 28-5284         96

BOEING CO                      COM            097023105   11,556,502     190,985      X     28-5284     182395                8590
                                                           8,677,981     143,414      X   X 28-5284     107939               35475
                                                           1,308,650      21,627      X     28-13605     12958                8669
                                                             623,132      10,298      X   X 28-13605      9923                 375
                                                             224,008       3,702      X     28-13663      3000                 702
                                                                 363           6      X   X 28-13663                             6

BOISE INC                      COM            09746Y105       63,436      12,270      X     28-13605     12270

BORGWARNER INC                 NOTE  3.500% 4 099724AF3      741,500       4,000      X   X 28-5284       4000

BORGWARNER INC                 COM            099724106   13,665,919     225,771      X     28-5284     204371               21400
                                                           2,489,417      41,127      X   X 28-5284      31797                9330
                                                          22,302,944     368,461      X     28-13605    338814               29647
                                                           4,271,723      70,572      X   X 28-13605     64041                6531
                                                             123,784       2,045      X     28-13663       640                1405
               COLUMN TOTAL                               77,678,128







                                                                                                                   FILE NO. 28-1235
 PAGE    44 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BOSTON BEER INC                CL A           100557107      975,707      13,421      X     28-13605     11070                2351
                                                               3,999          55      X   X 28-13605        55

BOSTON PRIVATE FINL HLDGS IN   COM            101119105        3,587         610      X     28-5284                            610

BOSTON PPTYS LTD PARTNERSHIP   NOTE  3.750% 5 10112RAG9      435,500       4,000      X   X 28-5284       4000

BOSTON PROPERTIES INC          COM            101121101    2,033,708      22,825      X     28-5284      22337                 488
                                                           4,182,265      46,939      X   X 28-5284      46339                 600
                                                             222,661       2,499      X     28-13605       769                1730
                                                              62,370         700      X   X 28-13605       700
                                                               3,475          39      X     28-13663                            39

BOSTON SCIENTIFIC CORP         COM            101137107       94,785      16,038      X     28-5284      11772                4266
                                                             235,389      39,829      X   X 28-5284      38424                1405
                                                             165,504      28,004      X     28-13605      9095               18909
                                                              21,607       3,656      X   X 28-13605      3656
                                                               4,078         690      X     28-13663                           690

BOTTOMLINE TECH DEL INC        COM            101388106      195,298       9,697      X     28-13605      9697

BOULDER GROWTH & INCOME FD I   COM            101507101       33,306       6,100      X   X 28-5284       6100

BOYD GAMING CORP               COM            103304101          368          75      X     28-5284         75
                                                               2,460         502      X   X 28-5284        502

BRADY CORP                     CL A           104674106      226,769       8,580      X     28-5284       8260                 320
                                                              74,004       2,800      X   X 28-5284                           2800

BRANDYWINE RLTY TR             SH BEN INT NEW 105368203        1,490         186      X     28-5284        186
                                                              44,680       5,578      X   X 28-5284        578                5000

BRASIL TELECOM SA              SPONS ADR PFD  10553M101      115,428       6,611      X     28-13605      6611

BREITBURN ENERGY PARTNERS LP   COM UT LTD PTN 106776107       17,400       1,000      X   X 28-5284       1000
                                                             246,715      14,179      X     28-13605     14179
                                                               3,480         200      X   X 28-13605       200

BRIGGS & STRATTON CORP         COM            109043109       25,939       1,920      X     28-5284       1600                 320
                                                             602,546      44,600      X   X 28-5284      44600
                                                                 986          73      X     28-13605        73
                                                               1,351         100      X   X 28-13605       100
               COLUMN TOTAL                               10,036,855







                                                                                                                   FILE NO. 28-1235
 PAGE    45 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BRIGHAM EXPLORATION CO         COM            109178103       82,279       3,256      X     28-5284        354                2902
                                                              64,792       2,564      X   X 28-5284       1464                1100
                                                              25,270       1,000      X   X 28-13605      1000

BRIGHTPOINT INC                COM NEW        109473405          756          82      X   X 28-13605                            82

BRINKER INTL INC               COM            109641100          209          10      X     28-5284         10
                                                              15,125         723      X   X 28-5284        723
                                                             186,293       8,905      X     28-13605      8905
                                                               1,360          65      X   X 28-13605        65

BRINKS CO                      COM            109696104        1,399          60      X   X 28-5284         60

BRISTOL MYERS SQUIBB CO        COM            110122108  101,453,235   3,233,054      X     28-5284    3151940               81114
                                                          78,670,350   2,507,022      X   X 28-5284    2430727      7344     68951
                                                          33,411,667   1,064,744      X     28-13605    954991              109753
                                                          12,194,299     388,601      X   X 28-13605    356527      1480     30594
                                                             765,672      24,400      X     28-13663     23289                1111
                                                             710,349      22,637      X   X 28-13663     22613                  24

BRISTOW GROUP INC              COM            110394103       26,052         614      X     28-5284        614
                                                               3,055          72      X   X 28-13605        72

BRITISH AMERN TOB PLC          SPONSORED ADR  110448107      187,931       2,218      X     28-5284       1863                 355
                                                             451,441       5,328      X   X 28-5284       5328
                                                              42,958         507      X   X 28-13605       507

BROADCOM CORP                  CL A           111320107    5,320,141     159,812      X     28-5284     158446                1366
                                                           2,362,025      70,953      X   X 28-5284      52881               18072
                                                             309,164       9,287      X     28-13605      3599                5688
                                                              93,046       2,795      X   X 28-13605      2795
                                                              65,848       1,978      X     28-13663      1501                 477
                                                             239,688       7,200      X   X 28-13663      7200

BROADSOFT INC                  COM            11133B409        5,372         177      X     28-5284        177

BROADRIDGE FINL SOLUTIONS IN   COM            11133T103      591,814      29,385      X     28-5284      27385                2000
                                                             515,403      25,591      X   X 28-5284      22941                2650
                                                               2,799         139      X     28-13605       139
                                                              20,140       1,000      X   X 28-13605      1000
               COLUMN TOTAL                              237,819,932







                                                                                                                   FILE NO. 28-1235
 PAGE    46 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BROCADE COMMUNICATIONS SYS I   COM NEW        111621306       15,850       3,669      X     28-5284       3669
                                                               7,102       1,644      X   X 28-5284       1644
                                                             209,710      48,544      X     28-13605     48544

BROOKDALE SR LIVING INC        COM            112463104       13,443       1,072      X   X 28-5284        272                 800

BROOKFIELD ASSET MGMT INC      CL A LTD VT SH 112585104      153,729       5,580      X     28-5284       5580
                                                           1,935,029      70,237      X   X 28-5284      22887               47350
                                                               5,510         200      X     28-13605       200
                                                           1,710,855      62,100      X   X 28-13605     62100

BROOKFIELD RESIDENTIAL PPTYS   COM            11283W104        1,283         193      X   X 28-5284                            193

BROOKFIELD OFFICE PPTYS INC    COM            112900105       26,163       1,900      X   X 28-5284                           1900

BROOKLINE BANCORP INC DEL      COM            11373M107       22,359       2,900      X     28-5284       2900
                                                              23,130       3,000      X   X 28-5284                           3000

BROOKS AUTOMATION INC          COM            114340102       26,080       3,200      X   X 28-5284                           3200

BROWN & BROWN INC              COM            115236101       92,204       5,180      X   X 28-5284       5180

BROWN FORMAN CORP              CL A           115637100   27,754,592     408,396      X     28-5284     403606                4790
                                                         221,084,957   3,253,163      X   X 28-5284    3158539               94624
                                                          60,305,054     887,361      X   X 28-13663    887361

BROWN FORMAN CORP              CL B           115637209   43,204,697     615,978      X     28-5284     614987                 991
                                                          75,765,438   1,080,203      X   X 28-5284    1080203
                                                             131,442       1,874      X     28-13605       476                1398
                                                               9,118         130      X     28-13663       125                   5

BROWN SHOE INC NEW             COM            115736100        2,150         302      X     28-5284                            302
                                                               1,068         150      X   X 28-5284        150

BRUKER CORP                    COM            116794108    1,163,255      85,976      X     28-5284       1096               84880
                                                             406,428      30,039      X   X 28-5284       1209               28830
                                                              91,463       6,760      X     28-13663                          6760

BRUNSWICK CORP                 COM            117043109       17,999       1,282      X     28-5284       1282

BRYN MAWR BK CORP              COM            117665109      156,968       9,473      X     28-5284       9473
                                                             192,212      11,600      X   X 28-5284       6500                5100
               COLUMN TOTAL                              434,529,288







                                                                                                                   FILE NO. 28-1235
 PAGE    47 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BUCKEYE PARTNERS L P           UNIT LTD PARTN 118230101    4,258,119      68,119      X     28-5284      68119
                                                           1,122,492      17,957      X   X 28-5284      17957

BUCKEYE TECHNOLOGIES INC       COM            118255108        6,028         250      X     28-5284                            250
                                                             206,261       8,555      X     28-13605      8555

BUCKLE INC                     COM            118440106        3,846         100      X     28-5284        100
                                                              20,384         530      X   X 28-5284        530
                                                           1,218,336      31,678      X     28-13605     26949                4729
                                                              81,997       2,132      X   X 28-13605      2132

BUFFALO WILD WINGS INC         COM            119848109       41,980         702      X     28-5284        702
                                                              29,900         500      X   X 28-5284        500
                                                               2,093          35      X     28-13605        35

CBS CORP NEW                   CL A           124857103       22,918       1,112      X     28-5284       1045                  67
                                                               3,339         162      X   X 28-5284         87                  75

CBS CORP NEW                   CL B           124857202      375,603      18,430      X     28-5284      14678                3752
                                                             817,320      40,104      X   X 28-5284      35634                4470
                                                             247,087      12,124      X     28-13605      4482                7642
                                                              66,989       3,287      X   X 28-13605      3237                  50
                                                               4,687         230      X     28-13663                           230
                                                               8,152         400      X   X 28-13663       400

CB RICHARD ELLIS GROUP INC     CL A           12497T101       10,701         795      X     28-5284        156                 639
                                                              58,713       4,362      X   X 28-5284       4362
                                                              76,668       5,696      X     28-13605      2367                3329
                                                               3,230         240      X   X 28-13605       240

CBOE HLDGS INC                 COM            12503M108       10,620         434      X   X 28-5284        434

CBRE CLARION GLOBAL REAL EST   COM            12504G100       26,894       4,020      X     28-5284       4020
                                                              17,394       2,600      X   X 28-5284       2600

C D I CORP                     COM            125071100          961          90      X     28-5284                             90

CEC ENTMT INC                  COM            125137109        3,416         120      X     28-5284                            120
                                                               4,982         175      X   X 28-5284        175

CFS BANCORP INC                COM            12525D102        7,812       1,800      X   X 28-5284                           1800
               COLUMN TOTAL                                8,758,922







                                                                                                                   FILE NO. 28-1235
 PAGE    48 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CF INDS HLDGS INC              COM            125269100      155,101       1,257      X     28-5284        970                 287
                                                             123,513       1,001      X   X 28-5284        993                   8
                                                             150,906       1,223      X     28-13605       339                 884
                                                              11,105          90      X   X 28-13605                            90
                                                                 864           7      X     28-13663                             7

CH ENERGY GROUP INC            COM            12541M102       86,081       1,650      X     28-5284       1550                 100

C H ROBINSON WORLDWIDE INC     COM NEW        12541W209      462,241       6,751      X     28-5284       1781                4970
                                                           2,245,405      32,794      X   X 28-5284      26596                6198
                                                             212,736       3,107      X     28-13605      1069                2038
                                                              10,271         150      X   X 28-13605                           150
                                                              25,402         371      X     28-13663                           371
                                                               1,780          26      X   X 28-13663                            26

CIGNA CORP                     COM            125509109    4,004,809      95,489      X     28-5284      94223                1266
                                                           8,490,334     202,440      X   X 28-5284     202358                  82
                                                             537,335      12,812      X     28-13605      9351                3461
                                                             248,536       5,926      X   X 28-13605      5926
                                                               1,090          26      X     28-13663                            26

CIT GROUP INC                  COM NEW        125581801       78,537       2,586      X     28-5284        466                2120
                                                             562,817      18,532      X   X 28-5284       1212               17320
                                                               1,519          50      X     28-13605        50

CLECO CORP NEW                 COM            12561W105      161,482       4,730      X     28-5284        548                4182
                                                              91,359       2,676      X   X 28-5284       2676
                                                             308,114       9,025      X     28-13605      9025

CKX LANDS INC                  COM            12562N104        3,498         300      X     28-5284        300

CME GROUP INC                  COM            12572Q105      465,942       1,891      X     28-5284        975                 916
                                                             524,339       2,128      X   X 28-5284       1077                1051
                                                             291,491       1,183      X     28-13605       386                 797
                                                              39,917         162      X   X 28-13605       122                  40

CMS ENERGY CORP                COM            125896100       60,023       3,033      X     28-5284       2372                 661
                                                             433,619      21,911      X   X 28-5284       2630               19281
                                                             327,445      16,546      X     28-13605     13556                2990
                                                              52,226       2,639      X   X 28-13663      2639

CPI CORP                       COM            125902106       32,017       5,164      X     28-5284       5164
               COLUMN TOTAL                               20,201,854







                                                                                                                   FILE NO. 28-1235
 PAGE    49 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CNA FINL CORP                  COM            126117100        2,472         110      X   X 28-5284        110
                                                               1,011          45      X     28-13605        45

CNB FINL CORP PA               COM            126128107        6,410         500      X     28-5284        500
                                                             138,456      10,800      X   X 28-5284      10800

CNOOC LTD                      SPONSORED ADR  126132109       13,626          85      X     28-5284         54                  31
                                                             264,495       1,650      X   X 28-5284       1385                 265
                                                              28,854         180      X     28-13605       180

CPFL ENERGIA S A               SPONSORED ADR  126153105       47,180       2,130      X     28-5284       2130
                                                              19,935         900      X   X 28-5284        900
                                                               6,645         300      X     28-13605       300
                                                              23,258       1,050      X   X 28-13605      1050

CNO FINL GROUP INC             COM            12621E103      111,019      20,521      X     28-5284       2000               18521
                                                             193,808      35,824      X     28-13605     35824

CRH PLC                        ADR            12626K203       17,635       1,137      X     28-5284       1137
                                                              23,265       1,500      X   X 28-5284       1500
                                                               1,551         100      X   X 28-13605       100

CSX CORP                       COM            126408103   19,564,013   1,047,885      X     28-5284    1027313               20572
                                                           8,327,287     446,025      X   X 28-5284     409492       600     35933
                                                           8,747,772     468,547      X     28-13605    380406               88141
                                                           2,555,102     136,856      X   X 28-13605    124566               12290
                                                              91,128       4,881      X     28-13663      4290                 591
                                                              15,403         825      X   X 28-13663       825

CTS CORP                       COM            126501105       10,325       1,270      X     28-5284       1000                 270

CVB FINL CORP                  COM            126600105      867,647     112,828      X     28-13605     92487               20341
                                                               3,791         493      X   X 28-13605       493

CVR ENERGY INC                 COM            12662P108      157,345       7,443      X     28-13605      7443

CVR PARTNERS LP                COM            126633106       16,471         700      X   X 28-5284        700
               COLUMN TOTAL                               41,255,904







                                                                                                                   FILE NO. 28-1235
 PAGE    50 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 CAREMARK CORPORATION       COM            126650100   17,654,501     525,588      X     28-5284     484085               41503
                                                          13,324,951     396,694      X   X 28-5284     358869               37825
                                                           7,945,278     236,537      X     28-13605    220485               16052
                                                             326,495       9,720      X   X 28-13605      9720
                                                             338,587      10,080      X     28-13663      4313                5767
                                                              45,783       1,363      X   X 28-13663      1200                 163

CYS INVTS INC                  COM            12673A108       36,270       3,000      X   X 28-5284       3000

CA INC                         COM            12673P105      272,730      14,051      X     28-5284      12649                1402
                                                              49,631       2,557      X   X 28-5284       2495                  62
                                                             116,402       5,997      X     28-13605      1763                4234
                                                              85,889       4,425      X   X 28-13605      4425

CABELAS INC                    COM            126804301        5,594         273      X     28-5284        273
                                                              11,310         552      X   X 28-5284        552

CABLEVISION SYS CORP           CL A NY CABLVS 12686C109      101,097       6,427      X     28-5284       5550                 877
                                                              26,002       1,653      X   X 28-5284       1653
                                                              60,104       3,821      X     28-13605      1134                2687
                                                               4,404         280      X   X 28-13605       280

CABOT CORP                     COM            127055101        3,098         125      X     28-5284        125
                                                              12,514         505      X   X 28-5284        505

CABOT MICROELECTRONICS CORP    COM            12709P103       15,166         441      X     28-5284        441
                                                                 688          20      X   X 28-5284         20
                                                               1,857          54      X   X 28-13605        54

CABOT OIL & GAS CORP           COM            127097103      281,257       4,543      X     28-5284       2661                1882
                                                             568,520       9,183      X   X 28-5284       1903                7280
                                                             103,823       1,677      X     28-13605       491                1186
                                                              11,887         192      X   X 28-13605       192
                                                               1,424          23      X     28-13663                            23

CACI INTL INC                  NOTE  2.125% 5 127190AD8      220,000       2,000      X     28-13605      2000

CACI INTL INC                  CL A           127190304       95,086       1,904      X     28-5284                           1904
                                                             138,584       2,775      X     28-13605      2775

CADENCE DESIGN SYSTEM INC      COM            127387108      194,114      21,008      X   X 28-5284       2218               18790

CAL DIVE INTL INC DEL          COM            12802T101        1,780         932      X     28-5284        932
               COLUMN TOTAL                               42,054,826







                                                                                                                   FILE NO. 28-1235
 PAGE    51 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CAL MAINE FOODS INC            COM NEW        128030202       25,144         800      X     28-5284        800

CALAMOS GBL DYN INCOME FUND    COM            12811L107       17,835       2,519      X     28-5284       2519
                                                              10,620       1,500      X   X 28-5284       1500

CALAMOS CONV & HIGH INCOME F   COM SHS        12811P108       32,190       2,900      X     28-5284       2900
                                                               8,170         736      X   X 28-5284        736

CALAMOS CONV OPP AND INC FD    SH BEN INT     128117108       20,430       1,800      X   X 28-13605      1800

CALAMOS STRATEGIC TOTL RETN    COM SH BEN INT 128125101        1,592         200      X     28-5284        200

CALAVO GROWERS INC             COM            128246105       10,260         500      X   X 28-5284        500

CALGON CARBON CORP             COM            129603106      145,700      10,000      X     28-5284      10000
                                                           2,792,035     191,629      X   X 28-5284       1329              190300
                                                               1,574         108      X     28-13605       108

CALIFORNIA WTR SVC GROUP       COM            130788102       17,710       1,000      X     28-5284       1000
                                                             123,970       7,000      X     28-13605      7000

CALLAWAY GOLF CO               COM            131193104          517         100      X     28-5284        100

CALPINE CORP                   COM NEW        131347304      148,136      10,521      X     28-5284       8021                2500
                                                             144,236      10,244      X   X 28-5284       3644                6600

CALUMET SPECIALTY PRODS PTNR   UT LTD PARTNER 131476103       16,940       1,000      X     28-5284       1000

CAMAC ENERGY INC               COM            131745101        6,144      10,240      X     28-5284      10240

CAMBREX CORP                   COM            132011107        6,678       1,325      X     28-5284       1325

CAMDEN NATL CORP               COM            133034108       27,230       1,000      X   X 28-5284                           1000

CAMDEN PPTY TR                 SH BEN INT     133131102      100,905       1,826      X     28-5284       1826
                                                              36,803         666      X   X 28-5284        666

CAMECO CORP                    COM            13321L108      156,471       8,541      X     28-5284       1723                6818
                                                             355,646      19,413      X   X 28-5284       9200               10213
                                                              36,640       2,000      X     28-13605      2000
                                                             221,855      12,110      X   X 28-13605     12110
               COLUMN TOTAL                                4,465,431







                                                                                                                   FILE NO. 28-1235
 PAGE    52 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CAMERON INTERNATIONAL CORP     COM            13342B105      401,900       9,675      X     28-5284       8493                1182
                                                             305,734       7,360      X   X 28-5284       5979                1381
                                                             180,242       4,339      X     28-13605      1342                2997
                                                               3,780          91      X   X 28-13605        91
                                                               1,246          30      X     28-13663                            30

CAMPBELL SOUP CO               COM            134429109    4,174,694     128,968      X     28-5284     127548                1420
                                                         155,070,460   4,790,561      X   X 28-5284      88342             4702219
                                                           9,215,836     284,703      X     28-13605    220494               64209
                                                           1,427,549      44,101      X   X 28-13605     43639       435        27
                                                              15,052         465      X   X 28-13663       465

CDN IMPERIAL BK OF COMMERCE    COM            136069101       13,964         200      X     28-5284        200
                                                              64,933         930      X   X 28-5284        800                 130

CANADIAN NATL RY CO            COM            136375102      501,281       7,529      X     28-5284       7197                 332
                                                           1,478,542      22,207      X   X 28-5284       8307               13900
                                                              18,709         281      X     28-13605       281
                                                           1,460,033      21,929      X   X 28-13605     14629                7300

CANADIAN NAT RES LTD           COM            136385101      871,251      29,766      X     28-5284      12531               17235
                                                             424,269      14,495      X   X 28-5284      10785       210      3500
                                                              85,615       2,925      X     28-13605      2925
                                                           1,007,386      34,417      X   X 28-13605     34417
                                                              57,545       1,966      X   X 28-13663      1966

CANADIAN PAC RY LTD            COM            13645T100      110,367       2,295      X     28-5284       2295
                                                             381,594       7,935      X   X 28-5284       1015                6920
                                                               3,366          70      X     28-13605        70

CANADIAN SOLAR INC             COM            136635109        3,680       1,000      X   X 28-5284       1000

CANO PETE INC                  COM            137801106        1,587      10,170      X   X 28-5284      10170

CANON INC                      ADR            138006309      118,083       2,609      X     28-5284       2041                 568
                                                             360,541       7,966      X   X 28-5284       1241                6725
                                                               2,354          52      X   X 28-13605        52

CANTEL MEDICAL CORP            COM            138098108        8,870         420      X     28-5284        420
                                                               1,140          54      X   X 28-13605        54
               COLUMN TOTAL                              177,771,603







                                                                                                                   FILE NO. 28-1235
 PAGE    53 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 ONE FINL CORP          COM            14040H105   17,543,725     442,688      X     28-5284     429616               13072
                                                           3,724,110      93,972      X   X 28-5284      83043      2300      8629
                                                          26,216,275     661,526      X     28-13605    587854               73672
                                                           5,020,844     126,693      X   X 28-13605    121137                5556
                                                             168,863       4,261      X     28-13663      2727                1534
                                                             219,947       5,550      X   X 28-13663      5550

CAPITAL SR LIVING CORP         COM            140475104      115,749      18,760      X     28-13605     18760

CAPITALSOURCE INC              COM            14055X102       22,663       3,691      X   X 28-5284       3691
                                                               6,140       1,000      X     28-13605      1000

CAPITOL FED FINL INC           COM            14057J101       11,447       1,084      X   X 28-5284       1084

CAPSTONE TURBINE CORP          COM            14067D102          100         100      X     28-5284        100

CAPSTEAD MTG CORP              COM NO PAR     14067E506      128,163      11,106      X     28-5284      11106
                                                              19,618       1,700      X   X 28-5284       1700
                                                               3,462         300      X   X 28-13605       300

CARBO CERAMICS INC             COM            140781105       10,253         100      X     28-5284        100
                                                              16,507         161      X   X 28-5284        161
                                                              87,048         849      X     28-13605       849

CARDINAL FINL CORP             COM            14149F109        4,526         525      X   X 28-13605       525

CARDINAL HEALTH INC            COM            14149Y108      905,529      21,622      X     28-5284      17994                3628
                                                             929,694      22,199      X   X 28-5284      18207                3992
                                                             244,202       5,831      X     28-13605      1680                4151
                                                              75,761       1,809      X   X 28-13605      1773                  36
                                                              11,601         277      X     28-13663                           277

CARDTRONICS INC                COM            14161H108      629,154      27,450      X     28-13605     27450

CAREFUSION CORP                COM            14170T101       73,982       3,089      X     28-5284       2152                 937
                                                             437,806      18,280      X   X 28-5284       4776               13504
                                                             301,746      12,599      X     28-13605     10117                2482
                                                                 431          18      X   X 28-13605                            18
                                                               1,892          79      X     28-13663                            79

CARLISLE COS INC               COM            142339100      326,292      10,235      X     28-5284      10235
                                                             285,039       8,941      X   X 28-5284       6771                2170
               COLUMN TOTAL                               57,542,569







                                                                                                                   FILE NO. 28-1235
 PAGE    54 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CARMAX INC                     COM            143130102      150,374       6,305      X     28-5284       3802                2503
                                                             697,970      29,265      X   X 28-5284      27823                1442
                                                             310,766      13,030      X     28-13605     10550                2480
                                                               3,816         160      X   X 28-13605       160
                                                                 477          20      X     28-13663                            20

CARNIVAL CORP                  PAIRED CTF     143658300    1,042,108      34,393      X     28-5284      24350               10043
                                                             989,537      32,658      X   X 28-5284      21310      1500      9848
                                                             233,855       7,718      X     28-13605      2293                5425
                                                              19,816         654      X   X 28-13605       654
                                                               2,424          80      X     28-13663        80
                                                              37,148       1,226      X   X 28-13663      1226

CARPENTER TECHNOLOGY CORP      COM            144285103    4,291,125      95,592      X     28-5284      19000               76592
                                                           7,481,412     166,661      X   X 28-5284     151861               14800

CARRIZO OIL & CO INC           COM            144577103        8,622         400      X   X 28-5284                            400

CASCADE CORP                   COM            147195101          768          23      X     28-13605        23

CASEYS GEN STORES INC          COM            147528103       56,309       1,290      X     28-5284                           1290
                                                             214,322       4,910      X   X 28-5284        100                4810

CASH AMER INTL INC             COM            14754D100       65,076       1,272      X     28-5284       1092                 180
                                                             625,431      12,225      X     28-13605     12225
                                                               5,986         117      X   X 28-13605       117

CASS INFORMATION SYS INC       COM            14808P109       83,183       2,679      X     28-13605      2679

CASTLE A M & CO                COM            148411101        1,203         110      X     28-5284                            110
                                                              51,965       4,750      X   X 28-5284                           4750

CATALYST HEALTH SOLUTIONS IN   COM            14888B103       92,535       1,604      X     28-5284       1604
                                                             103,611       1,796      X   X 28-5284       1796
                                                           2,342,041      40,597      X     28-13605     34541                6056
                                                             173,128       3,001      X   X 28-13605      3001

CATERPILLAR INC DEL            COM            149123101   19,952,602     270,214      X     28-5284     256454               13760
                                                           9,119,092     123,498      X   X 28-5284     117349                6149
                                                           4,251,190      57,573      X     28-13605     49977                7596
                                                           2,997,239      40,591      X   X 28-13605     40391                 200
                                                              71,625         970      X     28-13663       200                 770
                                                           1,255,132      16,998      X   X 28-13663     16970                  28
               COLUMN TOTAL                               56,731,888







                                                                                                                   FILE NO. 28-1235
 PAGE    55 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CATO CORP NEW                  CL A           149205106        3,948         175      X     28-5284                            175

CAVIUM INC                     COM            14964U108      202,575       7,500      X   X 28-5284                           7500

CBEYOND INC                    COM            149847105      182,508      25,851      X     28-5284                          25851
                                                               6,425         910      X   X 28-5284                            910
                                                               8,105       1,148      X     28-13663                          1148

CEDAR FAIR L P                 DEPOSITRY UNIT 150185106       28,350       1,500      X     28-5284       1500
                                                             116,613       6,170      X   X 28-5284       3510                2660

CELANESE CORP DEL              COM SER A      150870103   21,558,867     662,738      X     28-5284     654938                7800
                                                           5,281,603     162,361      X   X 28-5284     159266                3095
                                                          16,546,515     508,654      X     28-13605    500100                8554
                                                           3,398,344     104,468      X   X 28-13605     99686                4782
                                                              95,280       2,929      X     28-13663      2929
                                                              24,398         750      X   X 28-13663       750

CELL THERAPEUTICS INC          COM NO PAR NEW 150934602       43,460      41,000      X     28-5284      41000

CELGENE CORP                   COM            151020104    9,601,808     155,093      X     28-5284     153039                2054
                                                           4,741,254      76,583      X   X 28-5284      64098               12485
                                                           4,238,544      68,463      X     28-13605     62334                6129
                                                             734,996      11,872      X   X 28-13605     11872
                                                              79,554       1,285      X     28-13663       220                1065
                                                              57,514         929      X   X 28-13663       929

CELGENE CORP                   RIGHT 12/31/20 151020112           59          34      X   X 28-5284         34

CEMEX SAB DE CV                SPON ADR NEW   151290889        2,161         684      X     28-5284        684
                                                               1,457         461      X   X 28-5284        461

CENTENE CORP DEL               COM            15135B101       18,980         662      X     28-5284        662
                                                              23,796         830      X   X 28-5284        830

CENOVUS ENERGY INC             COM            15135U109      138,441       4,508      X     28-5284       4508
                                                             407,399      13,266      X   X 28-5284       2841               10425
                                                               7,678         250      X     28-13605       250
                                                             107,485       3,500      X   X 28-13605                          3500

CENTER FINL CORP CALIF         COM            15146E102        4,690       1,000      X     28-5284       1000
               COLUMN TOTAL                               67,662,807







                                                                                                                   FILE NO. 28-1235
 PAGE    56 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CENTERPOINT ENERGY INC         COM            15189T107      319,590      16,289      X     28-5284      13404                2885
                                                             393,970      20,080      X   X 28-5284      19696                 384
                                                             161,669       8,240      X     28-13605      3522                4718
                                                               9,516         485      X   X 28-13605       485
                                                               4,728         241      X     28-13663                           241
                                                              38,553       1,965      X   X 28-13663      1965

CENTERSTATE BANKS INC          COM            15201P109        1,569         300      X     28-5284        300

CENTRAIS ELETRICAS BRASILEIR   SPON ADR PFD B 15234Q108       23,731       2,030      X     28-5284                           2030

CENTRAIS ELETRICAS BRASILEIR   SPONSORED ADR  15234Q207       46,805       5,337      X     28-5284       1412                3925
                                                              74,098       8,449      X   X 28-5284                           8449

CENTRAL EUROPEAN DIST CORP     COM            153435102       10,515       1,500      X     28-5284       1500

CENTRAL EUROPE & RUSSIA FD I   COM            153436100       18,234         599      X     28-5284        599

CENTRAL FED CORP               COM            15346Q103        3,800       4,000      X   X 28-5284       4000

CENTRAL FD CDA LTD             CL A           153501101    1,380,644      66,730      X     28-5284      66730
                                                             113,795       5,500      X   X 28-5284       5500

CENTRAL SECS CORP              COM            155123102       29,565       1,500      X   X 28-5284       1500

CENTRAL VT PUB SVC CORP        COM            155771108       13,380         380      X     28-5284        300                  80
                                                               7,042         200      X   X 28-13605       200

CENTRAL VA BANKSHARES INC      COM            155792104          950       1,000      X     28-5284       1000

CENTURY ALUM CO                COM            156431108        3,308         370      X     28-5284                            370

CEPHEID                        COM            15670R107       77,660       2,000      X     28-5284       2000
                                                             418,199      10,770      X     28-13605     10770

CENVEO INC                     COM            15670S105        9,030       3,000      X     28-5284       3000

CENTURYLINK INC                COM            156700106    9,896,289     298,801      X     28-5284     284037               14764
                                                           6,624,629     200,019      X   X 28-5284     193148                6871
                                                           2,003,462      60,491      X     28-13605     53279                7212
                                                             613,879      18,535      X   X 28-13605     17635                 900
                                                              28,020         846      X     28-13663       822                  24
                                                              65,975       1,992      X   X 28-13663      1500                 492
               COLUMN TOTAL                               22,392,605







                                                                                                                   FILE NO. 28-1235
 PAGE    57 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CEPHALON INC                   COM            156708109      221,522       2,745      X     28-5284       2500                 245
                                                              69,806         865      X   X 28-5284        801                  64
                                                             183,108       2,269      X     28-13605      1201                1068
                                                             146,067       1,810      X   X 28-13605      1810

CERNER CORP                    COM            156782104      188,841       2,756      X     28-5284       2627                 129
                                                             305,805       4,463      X   X 28-5284       4454                   9
                                                             165,750       2,419      X     28-13605       661                1758
                                                                 822          12      X     28-13663                            12

CEVA INC                       COM            157210105      262,086      10,781      X     28-13605     10781

CHARLES RIV LABS INTL INC      COM            159864107       14,424         504      X     28-5284        504
                                                              28,133         983      X   X 28-5284        983

CHARMING SHOPPES INC           COM            161133103          182          70      X     28-5284         70
                                                                 390         150      X   X 28-5284        150

CHART INDS INC                 COM PAR $0.01  16115Q308        6,327         150      X     28-5284        150
                                                               2,404          57      X     28-13605        57

CHARTER COMMUNICATIONS INC D   CL A NEW       16117M305          234           5      X     28-5284          5
                                                              22,390         478      X   X 28-5284        478

CHECKPOINT SYS INC             COM            162825103       15,929       1,173      X     28-5284        923                 250
                                                              19,012       1,400      X   X 28-5284       1400
                                                               1,467         108      X   X 28-13605       108

CHEESECAKE FACTORY INC         COM            163072101        3,944         160      X     28-5284        160
                                                             167,127       6,780      X   X 28-5284                           6780
                                                             320,598      13,006      X     28-13605     13006

CHEMED CORP NEW                COM            16359R103       10,992         200      X     28-5284        200
                                                              46,826         852      X   X 28-5284        852
                                                             112,173       2,041      X     28-13605      2041

CHEMTURA CORP                  COM NEW        163893209          331          33      X   X 28-5284         33
                                                                  40           4      X   X 28-13605                             4

CHEROKEE INC DEL NEW           COM            16444H102        7,068         550      X     28-5284        550
               COLUMN TOTAL                                2,323,798







                                                                                                                   FILE NO. 28-1235
 PAGE    58 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CHESAPEAKE ENERGY CORP         COM            165167107    2,699,587     105,659      X     28-5284     100467                5192
                                                           3,380,699     132,317      X   X 28-5284     131674                 643
                                                           3,201,441     125,301      X     28-13605     69549               55752
                                                             253,149       9,908      X   X 28-13605      9908
                                                               5,263         206      X     28-13663                           206
                                                              42,362       1,658      X   X 28-13663      1500                 158

CHESAPEAKE ENERGY CORP         PFD CONV       165167842      186,000       2,000      X     28-13663      2000

CHESAPEAKE UTILS CORP          COM            165303108       70,193       1,750      X     28-5284       1750
                                                             272,507       6,794      X   X 28-5284       5594                1200
                                                              38,626         963      X     28-13605       963

CHEVRON CORP NEW               COM            166764100  252,681,443   2,729,036      X     28-5284    2690956               38080
                                                         172,672,387   1,864,914      X   X 28-5284    1634060      3150    227704
                                                          87,705,785     947,249      X     28-13605    841776              105473
                                                          27,524,877     297,277      X   X 28-13605    273755       650     22872
                                                           1,535,605      16,585      X     28-13663     15871                 714
                                                           2,316,417      25,018      X   X 28-13663     24853                 165

CHICAGO BRIDGE & IRON CO N V   N Y REGISTRY S 167250109      370,415      12,938      X     28-5284         97               12841
                                                              86,463       3,020      X   X 28-5284       2389                 631
                                                              12,884         450      X     28-13605       450
                                                              15,804         552      X     28-13663                           552

CHICOS FAS INC                 COM            168615102       49,446       4,326      X     28-5284       4326
                                                              39,834       3,485      X   X 28-5284       3485
                                                             202,768      17,740      X     28-13605     17740
                                                              15,145       1,325      X   X 28-13605      1325

CHIMERA INVT CORP              COM            16934Q109       36,802      13,286      X     28-5284      13286
                                                              18,213       6,575      X   X 28-5284       6575

CHINA FD INC                   COM            169373107       71,829       3,123      X   X 28-5284       2990                 133

CHINA LIFE INS CO LTD          SPON ADR REP H 16939P106      821,169      23,125      X     28-5284       1740               21385
                                                             150,562       4,240      X   X 28-5284                           4240
                                                              20,241         570      X     28-13663                           570

CHINA MOBILE LIMITED           SPONSORED ADR  16941M109      216,808       4,451      X     28-5284       4451
                                                             132,735       2,725      X   X 28-5284       1450                1275
                                                              54,799       1,125      X     28-13605      1125
                                                              19,484         400      X   X 28-13605       400
               COLUMN TOTAL                              556,921,742







                                                                                                                   FILE NO. 28-1235
 PAGE    59 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CHINA PETE & CHEM CORP         SPON ADR H SHS 16941R108        4,119          43      X     28-5284         43
                                                              19,447         203      X   X 28-5284        203

CHINA TELECOM CORP LTD         SPON ADR H SHS 169426103       27,170         439      X     28-5284        439

CHINA NEPSTAR CHAIN DRUGSTOR   SPONSORED ADR  16943C109        6,600       3,000      X   X 28-5284                           3000

CHINA GREEN AGRICULTURE INC    COM            16943W105        4,780       1,000      X   X 28-5284       1000

CHINA UNICOM (HONG KONG) LTD   SPONSORED ADR  16945R104        1,163          57      X     28-5284         57
                                                                 184           9      X   X 28-5284          9
                                                              20,400       1,000      X   X 28-13605      1000

CHIPOTLE MEXICAN GRILL INC     COM            169656105    2,664,445       8,795      X     28-5284       8795
                                                             920,059       3,037      X   X 28-5284       2903                 134
                                                           3,038,286      10,029      X     28-13605      9584                 445
                                                             498,353       1,645      X   X 28-13605      1635                  10
                                                              21,207          70      X     28-13663        70
                                                              15,148          50      X   X 28-13663        50

CHOICE HOTELS INTL INC         COM            169905106       47,136       1,586      X   X 28-5284       1586

CHIQUITA BRANDS INTL INC       COM            170032809      229,350      27,500      X     28-5284      27500

CHRISTOPHER & BANKS CORP       COM            171046105        1,041         295      X     28-5284                            295

CHUBB CORP                     COM            171232101   85,728,829   1,429,052      X     28-5284    1419645                9407
                                                          38,594,986     643,357      X   X 28-5284     626401      1900     15056
                                                          39,049,351     650,931      X     28-13605    595645               55286
                                                          12,127,098     202,152      X   X 28-13605    192620       335      9197
                                                             542,850       9,049      X     28-13663      8807                 242
                                                             579,023       9,652      X   X 28-13663      9652

CHUNGHWA TELECOM CO LTD        SPON ADR NEW11 17133Q502        4,950         150      X     28-5284        150

CHURCH & DWIGHT INC            COM            171340102   13,980,548     316,302      X     28-5284     316302
                                                           1,728,927      39,116      X   X 28-5284      12016               27100
                                                             133,484       3,020      X     28-13605      3020
                                                             975,494      22,070      X   X 28-13605     22070
                                                          18,564,000     420,000      X     28-11439    420000
               COLUMN TOTAL                              219,528,428







                                                                                                                   FILE NO. 28-1235
 PAGE    60 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CHURCHILL DOWNS INC            COM            171484108    2,203,361      56,453      X     28-5284      56453
                                                             275,005       7,046      X   X 28-5284       7046
                                                             125,364       3,212      X     28-13605      3212

CIBER INC                      COM            17163B102        1,151         380      X     28-5284                            380

CIENA CORP                     COM NEW        171779309        1,512         135      X     28-5284                            135
                                                               4,256         380      X   X 28-5284        380
                                                              12,947       1,156      X     28-13605      1156
                                                               1,008          90      X   X 28-13605        90

CIMAREX ENERGY CO              COM            171798101      445,154       7,992      X     28-5284       7512                 480
                                                             172,781       3,102      X   X 28-5284       2207                 895

CINCINNATI BELL INC NEW        COM            171871106       25,029       8,100      X     28-5284       8100
                                                                  99          32      X   X 28-5284         32

CINCINNATI BELL INC NEW        PFD CV DEP1/20 171871403       39,500       1,000      X     28-5284       1000
                                                             127,585       3,230      X   X 28-5284       3230

CINCINNATI FINL CORP           COM            172062101    9,389,357     356,603      X     28-5284     195726              160877
                                                           1,545,913      58,713      X   X 28-5284      58446                 267
                                                              93,287       3,543      X     28-13605      1758                1785
                                                               1,027          39      X   X 28-13605        39
                                                               2,896         110      X     28-13663                           110

CINEDIGM DIGITAL CINEMA CORP   COM            172407108        3,094       2,600      X   X 28-5284       2600

CIRCOR INTL INC                COM            17273K109       41,118       1,400      X   X 28-5284        500                 900

CISCO SYS INC                  COM            17275R102   54,996,620   3,548,169      X     28-5284    3469529               78640
                                                          35,704,762   2,303,533      X   X 28-5284    2181189       285    122059
                                                          22,175,602   1,430,684      X     28-13605   1238799              191885
                                                           9,411,073     607,166      X   X 28-13605    599999      1770      5397
                                                             199,997      12,903      X     28-13663     10572                2331
                                                             339,590      21,909      X   X 28-13663     19426                2483

CIRRUS LOGIC INC               COM            172755100        7,562         513      X   X 28-5284        513
                                                               1,695         115      X     28-13605       115

CINTAS CORP                    COM            172908105      771,993      27,434      X     28-5284      26823                 611
                                                             563,166      20,013      X   X 28-5284      17415                2598
                                                             301,182      10,703      X     28-13605      9344                1359
               COLUMN TOTAL                              138,984,686







                                                                                                                   FILE NO. 28-1235
 PAGE    61 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CITIZENS & NORTHN CORP         COM            172922106      107,334       7,223      X     28-5284       7223
                                                             341,780      23,000      X   X 28-5284      23000
                                                             173,609      11,683      X     28-13605     11683

CITIGROUP INC                  *W EXP 10/28/2 172967234        2,400      30,000      X   X 28-5284      30000

CITIGROUP INC                  COM NEW        172967424   11,833,413     461,972      X     28-5284     436887               25085
                                                           3,684,820     143,854      X   X 28-5284     134753       198      8903
                                                          19,100,542     745,678      X     28-13605    630245              115433
                                                           3,308,536     129,164      X   X 28-13605    123108                6056
                                                              80,303       3,135      X     28-13663      1452                1683
                                                              25,333         989      X   X 28-13663       935                  54

CITI TRENDS INC                COM            17306X102        2,211         188      X     28-5284        188

CITIZENS REPUBLIC BANCORP IN   COM NEW        174420307       22,815       3,297      X     28-5284       3297

CITRIX SYS INC                 COM            177376100    1,403,275      25,734      X     28-5284       9145               16589
                                                             499,713       9,164      X   X 28-5284       2173       130      6861
                                                             227,336       4,169      X     28-13605      1991                2178
                                                               5,344          98      X   X 28-13605        98
                                                              20,067         368      X     28-13663                           368
                                                               4,035          74      X   X 28-13663                            74

CITY HLDG CO                   COM            177835105       91,604       3,394      X     28-13605      3394

CITY NATL CORP                 COM            178566105      202,960       5,375      X     28-5284       5375
                                                              23,109         612      X   X 28-5284        312                 300

CLARCOR INC                    COM            179895107      261,108       6,310      X     28-5284       6000                 310
                                                             257,384       6,220      X   X 28-5284                           6220
                                                             156,789       3,789      X     28-13605      3789
                                                              28,966         700      X   X 28-13605       700

CLAYMORE EXCHANGE TRD FD TR    GUGG BRIC ETF  18383M100       30,924         900      X   X 28-5284        300                 600

CLAYMORE EXCHANGE TRD FD TR    GUG MULTI ASSE 18383M506       25,923       1,387      X     28-5284       1387

CLAYMORE EXCHANGE TRD FD TR    GUGG SOLAR ETF 18383M621       61,693      19,100      X     28-5284      19100
                                                               6,460       2,000      X   X 28-5284       2000

CLAYMORE EXCHANGE TRD FD TR    GUGG CHN SML C 18383Q853       14,488         800      X     28-5284        800
               COLUMN TOTAL                               42,004,274







                                                                                                                   FILE NO. 28-1235
 PAGE    62 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CLEAN HARBORS INC              COM            184496107       49,658         968      X     28-5284        968
                                                               5,130         100      X   X 28-5284        100

CLEAN ENERGY FUELS CORP        COM            184499101        2,224         200      X     28-5284        200
                                                               2,780         250      X     28-13605       250
                                                               3,336         300      X   X 28-13605       300

CLEAR CHANNEL OUTDOOR HLDGS    CL A           18451C109        3,126         334      X     28-5284        334
                                                               1,133         121      X   X 28-5284        121

CLEARWIRE CORP NEW             CL A           18538Q105        1,577         677      X   X 28-5284        677

CLIFFS NATURAL RESOURCES INC   COM            18683K101      621,153      12,139      X     28-5284      11677                 462
                                                             554,222      10,831      X   X 28-5284      10302                 529
                                                             162,311       3,172      X     28-13605      1396                1776
                                                              60,432       1,181      X   X 28-13605      1181
                                                               1,637          32      X     28-13663                            32

CLOROX CO DEL                  COM            189054109   15,659,651     236,087      X     28-5284     233366                2721
                                                           7,020,036     105,835      X   X 28-5284      99942                5893
                                                             346,574       5,225      X     28-13605      3535                1690
                                                             446,733       6,735      X   X 28-13605      6235                 500
                                                             206,286       3,110      X     28-13663      3070                  40
                                                             198,990       3,000      X   X 28-13663      3000

CLOUD PEAK ENERGY INC          COM            18911Q102       18,001       1,062      X     28-5284       1062

COACH INC                      COM            189754104   12,159,681     234,607      X     28-5284     213951               20656
                                                           7,487,517     144,463      X   X 28-5284     140292      1000      3171
                                                           1,437,661      27,738      X     28-13605     24420                3318
                                                             416,558       8,037      X   X 28-13605      7537                 500
                                                             108,739       2,098      X     28-13663      1806                 292
                                                             140,200       2,705      X   X 28-13663      2705

COBALT INTL ENERGY INC         COM            19075F106        9,460       1,227      X   X 28-5284       1227

COCA COLA HELLENIC BTTLG CO    SPONSORED ADR  1912EP104        3,579         200      X     28-5284        200
               COLUMN TOTAL                               47,128,385







                                                                                                                   FILE NO. 28-1235
 PAGE    63 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COCA COLA CO                   COM            191216100  163,225,433   2,416,007      X     28-5284    2338879               77128
                                                         113,941,967   1,686,530      X   X 28-5284    1486430      2080    198020
                                                          50,668,784     749,982      X     28-13605    690085               59897
                                                          21,256,335     314,629      X   X 28-13605    299762       305     14562
                                                           1,202,298      17,796      X     28-13663     15913                1883
                                                           2,902,445      42,961      X   X 28-13663     42764                 197

COCA COLA ENTERPRISES INC NE   COM            19122T109      114,523       4,603      X     28-5284       1731                2872
                                                             176,772       7,105      X   X 28-5284       3696                3409
                                                             133,158       5,352      X     28-13605      1638                3714
                                                               6,742         271      X     28-13663                           271
                                                               3,807         153      X   X 28-13663                           153

COCA COLA FEMSA S A B DE C V   SPON ADR REP L 191241108        9,583         108      X   X 28-5284        108

CODORUS VY BANCORP INC         COM            192025104       33,565       3,522      X     28-5284       2199                1323

COEUR D ALENE MINES CORP IDA   COM NEW        192108504       11,192         522      X     28-5284        522
                                                              37,520       1,750      X   X 28-5284       1750
                                                               2,144         100      X   X 28-13605       100

COGENT COMM GROUP INC          COM NEW        19239V302      127,815       9,503      X     28-13605      9503

COGNEX CORP                    COM            192422103       15,854         585      X     28-5284        325                 260
                                                               2,087          77      X     28-13605        77

COGNIZANT TECHNOLOGY SOLUTIO   CL A           192446102    3,980,823      63,490      X     28-5284      48484               15006
                                                           1,695,596      27,043      X   X 28-5284      19112       125      7806
                                                             427,426       6,817      X     28-13605      3242                3575
                                                              52,355         835      X     28-13663       800                  35
                                                              87,090       1,389      X   X 28-13663      1380                   9

COHEN & STEERS INC             COM            19247A100       32,344       1,125      X   X 28-5284       1125

COHEN & STEERS QUALITY RLTY    COM            19247L106      104,350      13,605      X     28-5284      13605
                                                              25,817       3,366      X   X 28-5284       3366
                                                              16,506       2,152      X     28-13605      2152

COHEN & STEERS REIT & PFD IN   COM            19247X100       45,010       3,500      X     28-5284       3500

COHERENT INC                   COM            192479103       19,676         458      X     28-5284        458
                                                             145,720       3,392      X     28-13605      3392
               COLUMN TOTAL                              360,504,737







                                                                                                                   FILE NO. 28-1235
 PAGE    64 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COHEN & STEERS INFRASTRUCTUR   COM            19248A109       28,587       1,836      X     28-5284       1836
                                                              64,662       4,153      X   X 28-5284       4153
                                                              12,799         822      X     28-13605       822

COHEN & STEERS GLOBAL INC BL   COM            19248M103       14,192       1,635      X   X 28-5284       1635

COHU INC                       COM            192576106        1,680         170      X     28-5284                            170
                                                              14,820       1,500      X   X 28-5284                           1500

COINSTAR INC                   COM            19259P300      209,920       5,248      X     28-5284                           5248
                                                              10,960         274      X   X 28-5284                            274
                                                           1,828,240      45,706      X     28-13605     37593                8113
                                                               8,040         201      X   X 28-13605       201
                                                               8,920         223      X     28-13663                           223

COLDWATER CREEK INC            COM            193068103          129         103      X     28-5284        103

COLEMAN CABLE INC              COM            193459302        5,922         700      X   X 28-5284        700

COLFAX CORP                    COM            194014106      403,620      19,922      X     28-5284                          19922
                                                             223,346      11,024      X   X 28-5284                          11024
                                                           2,097,032     103,506      X     28-13605     89904               13602
                                                               8,935         441      X   X 28-13605       441
                                                              17,201         849      X     28-13663                           849

COLGATE PALMOLIVE CO           COM            194162103   52,482,509     591,819      X     28-5284     587991                3828
                                                          39,747,351     448,211      X   X 28-5284     426526      1500     20185
                                                           2,858,955      32,239      X     28-13605     26328                5911
                                                           2,502,018      28,214      X   X 28-13605     27460                 754
                                                             426,196       4,806      X     28-13663      4585                 221
                                                             415,111       4,681      X   X 28-13663      4681

COLLECTIVE BRANDS INC          COM            19421W100        3,421         264      X     28-5284        264
                                                               5,132         396      X   X 28-13605       396

COLONIAL PPTYS TR              COM SH BEN INT 195872106      508,988      28,028      X     28-5284                          28028
                                                              19,068       1,050      X   X 28-5284        107                 943
                                                              21,411       1,179      X     28-13663                          1179

COLONY FINL INC                COM            19624R106       12,920       1,000      X     28-5284       1000

COLUMBIA SPORTSWEAR CO         COM            198516106       82,314       1,774      X   X 28-5284        420                1354
               COLUMN TOTAL                              104,044,399







                                                                                                                   FILE NO. 28-1235
 PAGE    65 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COLUMBUS MCKINNON CORP N Y     COM            199333105       21,920       2,000      X   X 28-5284                           2000

COMCAST CORP NEW               CL A           20030N101   10,364,793     495,449      X     28-5284     469670               25779
                                                           8,300,951     396,795      X   X 28-5284     391582                5213
                                                           6,647,225     317,745      X     28-13605    179093              138652
                                                           1,177,650      56,293      X   X 28-13605     55476                 817
                                                             105,562       5,046      X     28-13663      3750                1296
                                                              84,496       4,039      X   X 28-13663      3961                  78

COMCAST CORP NEW               CL A SPL       20030N200   14,350,465     692,590      X     28-5284     599912               92678
                                                           3,617,753     174,602      X   X 28-5284      90112               84490
                                                             102,688       4,956      X     28-13605      4956
                                                              29,319       1,415      X   X 28-13605      1415
                                                              78,736       3,800      X     28-13663                          3800

COMERICA INC                   COM            200340107      535,247      23,302      X     28-5284       2799               20503
                                                             183,921       8,007      X   X 28-5284        887                7120
                                                             157,322       6,849      X     28-13605      4858                1991
                                                              28,713       1,250      X   X 28-13605      1250
                                                              16,309         710      X     28-13663                           710

COMMERCE BANCSHARES INC        COM            200525103    1,922,683      55,329      X   X 28-5284       1667               53662
                                                             205,407       5,911      X     28-13605      5911

COMMERCEFIRST BANCORP INC      COM            200845105       17,375       2,500      X   X 28-5284                           2500

COMMERCIAL METALS CO           COM            201723103       17,051       1,793      X     28-5284       1793
                                                               2,378         250      X   X 28-5284        250
                                                             148,965      15,664      X   X 28-13605     15664

COMMONWEALTH REIT              COM SH BEN INT 203233101      135,636       7,150      X     28-5284       5300                1850
                                                             221,304      11,666      X   X 28-5284       2791                8875

COMMUNITY BK SYS INC           COM            203607106      136,503       6,016      X     28-5284       6016
                                                             457,907      20,181      X     28-13605     20181
                                                              22,690       1,000      X   X 28-13605      1000

COMMUNITY HEALTH SYS INC NEW   COM            203668108       13,062         785      X     28-5284        397                 388

COMMUNICATIONS SYS INC         COM            203900105      265,733      20,441      X     28-13605     20441

COMMUNITY TR BANCORP INC       COM            204149108        8,501         365      X     28-5284        365
               COLUMN TOTAL                               49,378,265







                                                                                                                   FILE NO. 28-1235
 PAGE    66 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COMMVAULT SYSTEMS INC          COM            204166102      229,401       6,190      X     28-5284                           6190
                                                               7,783         210      X   X 28-5284                            210
                                                             154,318       4,164      X     28-13605      4164
                                                               9,636         260      X     28-13663                           260

CGG VERITAS                    SPONSORED ADR  204386106        7,964         452      X   X 28-5284        452

COMPANHIA SIDERURGICA NACION   SPONSORED ADR  20440W105       25,408       3,200      X   X 28-5284       3200

COMPANHIA ENERGETICA DE MINA   SP ADR N-V PFD 204409601        1,885         127      X     28-5284        127
                                                              16,324       1,100      X   X 28-5284       1100

COMPANHIA DE SANEAMENTO BASI   SPONSORED ADR  20441A102        7,787         168      X     28-5284        168

COMPANHIA PARANAENSE ENERG C   SPON ADR PFD   20441B407        6,738         370      X     28-5284        370
                                                             155,186       8,522      X     28-13605      8522

COMPANHIA DE BEBIDAS DAS AME   SPON ADR PFD   20441W203       10,237         334      X     28-5284        334
                                                              89,651       2,925      X   X 28-5284        350                2575

COMPANIA DE MINAS BUENAVENTU   SPONSORED ADR  204448104        7,548         200      X     28-5284        200
                                                               3,774         100      X   X 28-5284        100

COMPASS MINERALS INTL INC      COM            20451N101       97,298       1,457      X     28-5284       1457
                                                             222,511       3,332      X   X 28-5284        547                2785

COMPASS DIVERSIFIED HOLDINGS   SH BEN INT     20451Q104       23,142       1,900      X     28-5284       1900
                                                              12,180       1,000      X   X 28-5284       1000

COMPLETE PRODUCTION SERVICES   COM            20453E109       36,267       1,924      X     28-5284        104                1820
                                                               5,523         293      X   X 28-5284        293
                                                           1,545,643      81,997      X     28-13605     69354               12643
                                                               5,919         314      X   X 28-13605       314

COMPUTER PROGRAMS & SYS INC    COM            205306103      300,255       4,539      X     28-13605      4539

COMPUTER SCIENCES CORP         COM            205363104       85,007       3,166      X     28-5284       2878                 288
                                                             100,204       3,732      X   X 28-5284       3732
                                                              80,335       2,992      X     28-13605       944                2048
                                                               2,685         100      X   X 28-13605       100

COMPX INTERNATIONAL INC        CL A           20563P101          635          50      X     28-5284         50
               COLUMN TOTAL                                3,251,244







                                                                                                                   FILE NO. 28-1235
 PAGE    67 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COMPUWARE CORP                 COM            205638109        4,588         599      X     28-5284                            599
                                                               8,074       1,054      X   X 28-5284        704                 350
                                                              41,180       5,376      X     28-13605      1042                4334
                                                                 521          68      X     28-13663                            68

COMSTOCK MNG INC               COM            205750102        2,000       1,000      X     28-5284       1000
                                                             374,000     187,000      X   X 28-5284     187000

COMSTOCK RES INC               COM NEW        205768203      365,644      23,651      X     28-5284       2000               21651
                                                              11,270         729      X   X 28-5284                            729
                                                              14,316         926      X     28-13663                           926

COMTECH TELECOMMUNICATIONS C   COM NEW        205826209       14,101         502      X     28-5284        502

CONAGRA FOODS INC              COM            205887102      846,877      34,966      X     28-5284      28906                6060
                                                           1,666,724      68,816      X   X 28-5284      68102                 714
                                                             302,944      12,508      X     28-13605      7610                4898
                                                             129,020       5,327      X   X 28-13605      4577                 750
                                                              17,269         713      X   X 28-13663       713

CON-WAY INC                    COM            205944101        1,549          70      X     28-5284         70
                                                              14,053         635      X   X 28-5284        635

CONCHO RES INC                 COM            20605P101      185,889       2,613      X     28-5284       2613
                                                              82,736       1,163      X   X 28-5284        963                 200
                                                              19,279         271      X     28-13605        21                 250
                                                             128,052       1,800      X   X 28-13605      1800

CONCUR TECHNOLOGIES INC        COM            206708109       56,217       1,510      X     28-5284       1510
                                                             212,211       5,700      X   X 28-5284        800                4900
                                                              33,507         900      X   X 28-13605       600                 300

CONMED CORP                    COM            207410101        4,142         180      X     28-5284                            180
                                                              11,505         500      X   X 28-5284        500

CONNECTICUT WTR SVC INC        COM            207797101        5,004         200      X     28-5284        200

CONOCOPHILLIPS                 COM            20825C104   79,524,411   1,255,913      X     28-5284    1232032               23881
                                                          36,419,511     575,166      X   X 28-5284     536881       700     37585
                                                           9,584,368     151,364      X     28-13605    134586               16778
                                                           5,597,425      88,399      X   X 28-13605     84751       515      3133
                                                           1,863,191      29,425      X     28-13663     27877                1548
                                                           8,432,261     133,169      X   X 28-13663    133131                  38
               COLUMN TOTAL                              145,973,839







                                                                                                                   FILE NO. 28-1235
 PAGE    68 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CONSOL ENERGY INC              COM            20854P109      458,360      13,509      X     28-5284      11774                1735
                                                             378,727      11,162      X   X 28-5284      10551                 611
                                                             132,938       3,918      X     28-13605      1360                2558
                                                               6,786         200      X   X 28-13605       200
                                                               2,647          78      X     28-13663                            78

CONSOLIDATED COMM HLDGS INC    COM            209034107      323,203      17,906      X     28-5284      17906
                                                               5,054         280      X   X 28-5284                            280

CONSOLIDATED EDISON INC        COM            209115104   20,243,069     355,017      X     28-5284     336780               18237
                                                          17,063,748     299,259      X   X 28-5284     287122      1500     10637
                                                           3,165,522      55,516      X     28-13605     51853                3663
                                                           1,180,713      20,707      X   X 28-13605     20371       315        21
                                                             196,605       3,448      X     28-13663      3247                 201
                                                             449,147       7,877      X   X 28-13663      7799                  78

CONSOLIDATED GRAPHICS INC      COM            209341106       70,101       1,919      X     28-5284                           1919

CONSTELLATION BRANDS INC       CL A           21036P108       17,892         994      X     28-5284        949                  45
                                                              30,852       1,714      X   X 28-5284       1588                 126
                                                              58,626       3,257      X     28-13605      1238                2019

CONSTELLATION ENERGY GROUP I   COM            210371100    1,078,392      28,334      X     28-5284      27429                 905
                                                             427,909      11,243      X   X 28-5284      10336                 907
                                                           1,682,404      44,204      X     28-13605     41937                2267
                                                           2,220,078      58,331      X   X 28-13605     57076                1255
                                                                 647          17      X     28-13663                            17
                                                               3,806         100      X   X 28-13663                           100

CONSUMER PORTFOLIO SVCS INC    COM            210502100       29,640      30,000      X   X 28-5284      30000

CONTANGO OIL & GAS COMPANY     COM NEW        21075N204      325,360       5,947      X     28-5284                           5947
                                                              11,051         202      X   X 28-5284                            202
                                                           2,521,365      46,086      X     28-13605     39035                7051
                                                              70,466       1,288      X   X 28-13605      1288
                                                              13,951         255      X     28-13663                           255

CONTINENTAL RESOURCES INC      COM            212015101          726          15      X     28-5284         15
                                                              45,178         934      X   X 28-5284        934
                                                               7,594         157      X     28-13605       157

CONTINUCARE CORP               COM            212172100          638         100      X     28-5284        100
               COLUMN TOTAL                               52,223,195







                                                                                                                   FILE NO. 28-1235
 PAGE    69 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CONVERGYS CORP                 COM            212485106    1,218,209     129,873      X     28-5284      18356              111517
                                                             244,002      26,013      X   X 28-5284      25677                 336
                                                              81,484       8,687      X     28-13605      8643                  44
                                                               8,442         900      X   X 28-13605                           900

COOPER COS INC                 COM NEW        216648402       27,703         350      X     28-5284        350
                                                              40,683         514      X   X 28-5284        514

COOPER TIRE & RUBR CO          COM            216831107      163,350      15,000      X     28-5284      15000
                                                              21,780       2,000      X   X 28-5284       2000

COPANO ENERGY L L C            COM UNITS      217202100       32,791       1,100      X     28-5284       1100
                                                              58,130       1,950      X   X 28-5284       1950

COPART INC                     COM            217204106       15,804         404      X     28-5284        404
                                                              22,650         579      X   X 28-5284        579

CORE MARK HOLDING CO INC       COM            218681104       98,376       3,217      X     28-13605      3217

CORESITE RLTY CORP             COM            21870Q105      217,130      15,131      X     28-13605     15131

CORELOGIC INC                  COM            21871D103       45,017       4,219      X   X 28-5284       4219

CORN PRODS INTL INC            COM            219023108      980,451      24,986      X     28-5284      24986
                                                             996,578      25,397      X   X 28-5284      22397                3000
                                                           1,276,399      32,528      X     28-13605     27083                5445
                                                               5,023         128      X   X 28-13605       128

CORNING INC                    COM            219350105    8,936,886     723,049      X     28-5284     613548              109501
                                                           5,578,884     451,366      X   X 28-5284     399507               51859
                                                           1,394,047     112,787      X     28-13605     94373               18414
                                                             434,096      35,121      X   X 28-13605     24552       535     10034
                                                             205,312      16,611      X     28-13663      4456               12155
                                                              35,411       2,865      X   X 28-13663      2500                 365

CORPORATE EXECUTIVE BRD CO     COM            21988R102      400,840      13,451      X     28-5284                          13451
                                                             175,611       5,893      X   X 28-5284                           5893
                                                              17,224         578      X     28-13663                           578
               COLUMN TOTAL                               22,732,313







                                                                                                                   FILE NO. 28-1235
 PAGE    70 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108       52,795       2,424      X     28-5284       2424
                                                              48,177       2,212      X   X 28-5284       2212
                                                             108,900       5,000      X     28-13605      5000
                                                              27,225       1,250      X     28-13663      1250
                                                               8,712         400      X   X 28-13663       400

CORRECTIONS CORP AMER NEW      COM NEW        22025Y407      212,492       9,365      X     28-5284        793                8572
                                                              27,160       1,197      X   X 28-5284       1197

COSTCO WHSL CORP NEW           COM            22160K105    6,948,116      84,599      X     28-5284      61462               23137
                                                           4,870,391      59,301      X   X 28-5284      51695       130      7476
                                                           1,120,992      13,649      X     28-13605      8626                5023
                                                             658,026       8,012      X   X 28-13605      8012
                                                              98,802       1,203      X     28-13663                          1203
                                                             115,885       1,411      X   X 28-13663      1411

COSTAR GROUP INC               COM            22160N109      249,456       4,800      X   X 28-5284        600                4200

COTT CORP QUE                  COM            22163N106       11,339       1,665      X     28-5284       1665

COUSINS PPTYS INC              COM            222795106        7,605       1,300      X   X 28-5284                           1300

COVANCE INC                    COM            222816100    1,008,990      22,200      X     28-5284       8226               13974
                                                             222,160       4,888      X   X 28-5284       2423       165      2300
                                                              62,085       1,366      X     28-13605      1366
                                                              48,677       1,071      X   X 28-13605      1071
                                                              49,404       1,087      X   X 28-13663      1087

COVANTA HLDG CORP              COM            22282E102        8,005         527      X   X 28-5284        527

COVENTRY HEALTH CARE INC       COM            222862104      389,799      13,530      X     28-5284        718               12812
                                                             455,198      15,800      X   X 28-5284       1284               14516
                                                             150,331       5,218      X     28-13605      3492                1726
                                                               4,610         160      X   X 28-13605       160
                                                              22,241         772      X     28-13663                           772

CRACKER BARREL OLD CTRY STOR   COM            22410J106       36,627         915      X     28-5284        915
                                                              20,015         500      X   X 28-5284        500
                                                              12,009         300      X     28-13605       300

CRANE CO                       COM            224399105       83,408       2,337      X     28-5284       2337
                                                              79,553       2,229      X   X 28-5284       1829                 400
                                                              67,811       1,900      X   X 28-13605      1900
               COLUMN TOTAL                               17,286,996







                                                                                                                   FILE NO. 28-1235
 PAGE    71 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 ASSET MGMT INC   COM            224916106       79,350      23,000      X     28-5284      23000

CREDIT ACCEP CORP MICH         COM            225310101       12,550         195      X   X 28-5284        195
                                                             187,352       2,911      X     28-13605      2911

CREDIT SUISSE GROUP            SPONSORED ADR  225401108    1,399,458      53,333      X     28-5284       5061               48272
                                                             238,312       9,082      X   X 28-5284        802                8280
                                                               7,216         275      X   X 28-13605       275
                                                              33,062       1,260      X     28-13663                          1260

CREE INC                       COM            225447101      218,284       8,402      X     28-5284       8402
                                                              73,030       2,811      X   X 28-5284       2736                  75
                                                               2,910         112      X     28-13605       112
                                                              25,175         969      X   X 28-13605       969

CRESTWOOD MIDSTREAM PRTNERS    COM UNITS REPS 226372100       25,720       1,000      X   X 28-5284       1000

CRESUD S A C I F Y A           SPONSORED ADR  226406106       10,820       1,000      X   X 28-5284       1000

CROCS INC                      COM            227046109      423,943      17,903      X     28-13605     17903

CROSSTEX ENERGY L P            COM            22765U102       21,086       1,300      X   X 28-5284       1300

CROSSTEX ENERGY INC            COM            22765Y104      121,320       9,000      X     28-5284       9000

CROWN CASTLE INTL CORP         COM            228227104       80,283       1,974      X     28-5284        484                1490
                                                             123,596       3,039      X   X 28-5284       3039
                                                              33,756         830      X     28-13605       580                 250
                                                               8,622         212      X   X 28-13605       212

CROWN HOLDINGS INC             COM            228368106      841,010      27,475      X     28-5284      27475
                                                             194,710       6,361      X   X 28-5284       4111                2250
                                                           5,707,265     186,451      X     28-13605    152052               34399
                                                             677,614      22,137      X   X 28-13605     22137

CRYOLIFE INC                   COM            228903100          943         210      X     28-5284                            210

CTRIP COM INTL LTD             AMERICAN DEP S 22943F100        3,216         100      X     28-5284        100
                                                              24,759         770      X   X 28-5284        770

CUBIC CORP                     COM            229669106       15,355         393      X     28-5284        393
                                                              11,721         300      X   X 28-5284        300
               COLUMN TOTAL                               10,602,438







                                                                                                                   FILE NO. 28-1235
 PAGE    72 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CUBIST PHARMACEUTICALS INC     COM            229678107       17,660         500      X     28-13605       500

CULLEN FROST BANKERS INC       COM            229899109    8,723,627     190,223      X     28-5284     190223
                                                             123,730       2,698      X   X 28-5284       2398                 300
                                                              11,465         250      X     28-13605       250
                                                             183,440       4,000      X   X 28-13663      4000

CUMMINS INC                    COM            231021106   26,488,789     324,379      X     28-5284     305087               19292
                                                           7,925,920      97,060      X   X 28-5284      86876      2899      7285
                                                          23,278,081     285,061      X     28-13605    263373               21688
                                                           4,618,526      56,558      X   X 28-13605     51401       185      4972
                                                             362,897       4,444      X     28-13663      3280                1164
                                                             142,252       1,742      X   X 28-13663      1710                  32

CURIS INC                      COM            231269101      153,260      48,500      X     28-5284      48500

CURRENCYSHARES AUSTRALIAN DL   AUSTRALIAN DOL 23129U101        9,709         100      X   X 28-5284        100
                                                                 971          10      X   X 28-13605        10

CURRENCYSHARES SWISS FRANC T   SWISS FRANC SH 23129V109       10,905         100      X     28-13605       100

CURRENCYSHARES CDN DLR TR      CDN DOLLAR SHS 23129X105       56,928         600      X   X 28-5284        600

CURRENCYSHS JAPANESE YEN TR    JAPANESE YEN   23130A102       67,734         530      X   X 28-5284        530

CURTISS WRIGHT CORP            COM            231561101       41,688       1,446      X     28-5284       1156                 290
                                                              20,181         700      X   X 28-5284                            700
                                                             995,558      34,532      X     28-13605     25755                8777
                                                               4,094         142      X   X 28-13605       142

CYBERDEFENDER CORP             COM            23248L107        2,880       8,000      X     28-5284       8000

CYMER INC                      COM            232572107       11,814         318      X     28-5284        138                 180

CYPRESS SEMICONDUCTOR CORP     COM            232806109      120,748       8,066      X   X 28-5284       8066

CYTEC INDS INC                 COM            232820100        1,230          35      X     28-5284         35
                                                              21,154         602      X   X 28-5284        503                  99

DCP MIDSTREAM PARTNERS LP      COM UT LTD PTN 23311P100    1,010,905      25,260      X     28-5284      25260
                                                             101,611       2,539      X   X 28-5284       2539
                                                             122,061       3,050      X     28-13605      3050
                                                              40,020       1,000      X     28-13663      1000
               COLUMN TOTAL                               74,669,838







                                                                                                                   FILE NO. 28-1235
 PAGE    73 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DCT INDUSTRIAL TRUST INC       COM            233153105       54,137      12,332      X     28-5284      12332
                                                                  66          15      X   X 28-5284         15

DDR CORP                       COM            23317H102          360          33      X     28-5284         33
                                                              11,881       1,090      X   X 28-5284       1090

DFC GLOBAL CORP                COM            23324T107      168,014       7,700      X   X 28-5284                           7700

DNP SELECT INCOME FD           COM            23325P104      108,840      10,884      X     28-5284      10884
                                                              32,000       3,200      X   X 28-5284       3200

DG FASTCHANNEL INC             COM            23326R109        5,509         325      X   X 28-5284        325

DPL INC                        COM            233293109    2,278,433      75,595      X     28-5284      75595
                                                           1,349,488      44,774      X   X 28-5284      44274                 500
                                                              55,156       1,830      X     28-13605       890                 940
                                                             140,543       4,663      X   X 28-13605      4646                  17

D R HORTON INC                 COM            23331A109       17,827       1,972      X     28-5284        841                1131
                                                              21,705       2,401      X   X 28-5284       2339                  62
                                                              40,165       4,443      X     28-13605      1314                3129

DST SYS INC DEL                COM            233326107        8,766         200      X     28-5284        200
                                                              16,129         368      X   X 28-5284        368
                                                              73,021       1,666      X     28-13605      1666

DTE ENERGY CO                  COM            233331107      709,712      14,478      X     28-5284      13073                1405
                                                             150,933       3,079      X   X 28-5284       3035                  44
                                                             159,266       3,249      X     28-13605      1336                1913
                                                               9,804         200      X   X 28-13605       200
                                                               2,108          43      X     28-13663                            43
                                                              35,589         726      X   X 28-13663       726

DSW INC                        CL A           23334L102       21,428         464      X   X 28-5284        464
                                                             560,487      12,137      X     28-13605     12137

DTS INC                        COM            23335C101       13,905         560      X     28-5284        560

DWS MULTI MKT INCOME TR        SHS            23338L108        9,580       1,000      X     28-5284       1000
                                                              11,496       1,200      X   X 28-5284       1200
                                                               1,198         125      X   X 28-13605       125

DWS GLOBAL HIGH INCOME FD      COM            23338W104       17,975       2,500      X     28-5284       2500
               COLUMN TOTAL                                6,085,521







                                                                                                                   FILE NO. 28-1235
 PAGE    74 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 HIGH INCOME OPPORT FD IN   COM NEW        23339M204       27,931       2,137      X     28-5284       2137

DAKTRONICS INC                 COM            234264109       68,554       7,990      X     28-5284       4000                3990
                                                             261,047      30,425      X   X 28-5284      30425

DANA HLDG CORP                 COM            235825205       44,951       4,281      X     28-5284         41                4240

DANAHER CORP DEL               COM            235851102    4,674,129     111,448      X     28-5284      80837               30611
                                                           3,227,702      76,960      X   X 28-5284      59110       140     17710
                                                           2,819,878      67,236      X     28-13605     60760                6476
                                                             601,378      14,339      X   X 28-13605     12339                2000
                                                               3,817          91      X     28-13663                            91
                                                              51,502       1,228      X   X 28-13663      1228

DARDEN RESTAURANTS INC         COM            237194105    8,397,725     196,438      X     28-5284     195730                 708
                                                             527,706      12,344      X   X 28-5284      10688                1656
                                                             413,564       9,674      X     28-13605      8116                1558
                                                             153,900       3,600      X   X 28-13605      3600
                                                                 470          11      X     28-13663                            11
                                                              13,381         313      X   X 28-13663       313

DARLING INTL INC               COM            237266101      847,987      67,354      X     28-5284      67354
                                                              21,730       1,726      X   X 28-5284       1726

DAVITA INC                     COM            23918K108      695,261      11,094      X     28-5284       3390                7704
                                                              63,923       1,020      X   X 28-5284        980                  40
                                                             150,032       2,394      X     28-13605      1282                1112
                                                               1,441          23      X     28-13663                            23

DAWSON GEOPHYSICAL CO          COM            239359102        4,716         200      X     28-5284        200

DAYSTAR TECHNOLOGIES INC       COM NEW        23962Q308           22         112      X   X 28-5284        112

DEALERTRACK HLDGS INC          COM            242309102      111,367       7,107      X   X 28-5284                           7107
                                                              18,804       1,200      X     28-13605                          1200
                                                              64,247       4,100      X   X 28-13605      4100

DEAN FOODS CO NEW              COM            242370104        6,537         737      X     28-5284        425                 312
                                                               4,710         531      X   X 28-5284        531
                                                              31,010       3,496      X     28-13605      1313                2183
               COLUMN TOTAL                               23,309,422







                                                                                                                   FILE NO. 28-1235
 PAGE    75 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DECKERS OUTDOOR CORP           COM            243537107      469,526       5,040      X     28-5284        679                4361
                                                             184,550       1,981      X   X 28-5284        366                1615
                                                              15,371         165      X     28-13663                           165

DEERE & CO                     COM            244199105   21,519,373     333,272      X     28-5284     327997                5275
                                                           8,187,670     126,803      X   X 28-5284     119765                7038
                                                             913,472      14,147      X     28-13605      9216                4931
                                                           1,260,084      19,515      X   X 28-13605     17515                2000
                                                             124,556       1,929      X     28-13663      1677                 252
                                                             188,738       2,923      X   X 28-13663      2850                  73

DELAWARE INVTS DIV & INCOME    COM            245915103        8,313       1,250      X     28-5284       1250

DELL INC                       COM            24702R101    1,490,681     105,423      X     28-5284      96940                8483
                                                           1,589,209     112,391      X   X 28-5284     108927      1848      1616
                                                             460,172      32,544      X     28-13605     16951               15593
                                                              84,218       5,956      X   X 28-13605      5631                 325

DELPHI FINL GROUP INC          CL A           247131105       24,232       1,126      X     28-5284        796                 330
                                                              12,912         600      X   X 28-5284        300                 300
                                                             172,246       8,004      X     28-13605      8004
                                                               3,486         162      X   X 28-13605       162

DELTA AIR LINES INC DEL        COM NEW        247361702       51,255       6,834      X     28-5284       6833                   1
                                                              49,860       6,648      X   X 28-5284       6648

DELTA NAT GAS INC              COM            247748106       10,794         350      X   X 28-5284        350

DELTIC TIMBER CORP             COM            247850100        4,178          70      X     28-5284                             70

DENBURY RES INC                COM NEW        247916208       78,235       6,803      X     28-5284       1959                4844
                                                             303,221      26,367      X   X 28-5284       6045               20322
                                                              84,065       7,310      X     28-13605      2141                5169
                                                                 725          63      X   X 28-13605        63
                                                               1,162         101      X     28-13663                           101

DELUXE CORP                    COM            248019101      115,320       6,200      X     28-5284       6200
                                                              35,433       1,905      X     28-13605      1905

DEMANDTEC INC                  COM NEW        24802R506      116,654      17,837      X     28-5284                          17837
                                                               4,081         624      X   X 28-5284                            624
                                                               5,167         790      X     28-13663                           790
               COLUMN TOTAL                               37,568,959







                                                                                                                   FILE NO. 28-1235
 PAGE    76 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DENDREON CORP                  COM            24823Q107      584,325      64,925      X     28-5284                          64925
                                                             252,270      28,030      X   X 28-5284        300               27730
                                                               9,000       1,000      X     28-13605      1000
                                                              53,370       5,930      X     28-13663                          5930

DENTSPLY INTL INC NEW          COM            249030107      138,657       4,518      X     28-5284       4226                 292
                                                             356,955      11,631      X   X 28-5284      11561                  70
                                                              67,150       2,188      X     28-13605       649                1539
                                                              48,367       1,576      X   X 28-13605      1050                 526

DESCARTES SYS GROUP INC        COM            249906108       61,800      10,000      X     28-5284      10000

DESTINATION MATERNITY CORP     COM            25065D100    1,123,628      87,306      X     28-5284      87306

DEUTSCHE BK AG LDN BRH         PS GOLD DL ETN 25154H749       21,008         400      X     28-5284        400

DEVON ENERGY CORP NEW          COM            25179M103    7,223,056     130,286      X     28-5284     127842                2444
                                                           3,888,174      70,133      X   X 28-5284      65670                4463
                                                           2,800,829      50,520      X     28-13605     45083                5437
                                                           1,026,139      18,509      X   X 28-13605     18253       240        16
                                                              44,407         801      X     28-13663       528                 273
                                                              93,638       1,689      X   X 28-13663      1689

DEVRY INC DEL                  COM            251893103        6,875         186      X     28-5284        135                  51
                                                             201,432       5,450      X   X 28-5284       1850                3600
                                                             210,894       5,706      X     28-13605      5009                 697
                                                                 370          10      X     28-13663                            10

DIAGEO P L C                   SPON ADR NEW   25243Q205    4,454,585      58,667      X     28-5284      26002               32665
                                                           2,038,265      26,844      X   X 28-5284      19264                7580
                                                             145,558       1,917      X     28-13605      1917
                                                             377,980       4,978      X   X 28-13605      2778                2200
                                                              65,300         860      X     28-13663                           860
                                                             379,650       5,000      X   X 28-13663      5000

DIAMOND FOODS INC              COM            252603105        9,975         125      X     28-5284        125
                                                              89,775       1,125      X   X 28-5284         75                1050
                                                             159,600       2,000      X   X 28-13605                          2000
               COLUMN TOTAL                               25,933,032







                                                                                                                   FILE NO. 28-1235
 PAGE    77 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DIAMOND OFFSHORE DRILLING IN   COM            25271C102      251,859       4,601      X     28-5284       4078                 523
                                                             550,192      10,051      X   X 28-5284       9066                 985
                                                             173,909       3,177      X     28-13605      2376                 801
                                                               2,901          53      X   X 28-13605        53
                                                              13,466         246      X   X 28-13663       246

DIAMONDROCK HOSPITALITY CO     COM            252784301       17,999       2,575      X     28-5284       2575
                                                              39,186       5,606      X   X 28-5284                           5606

DICKS SPORTING GOODS INC       COM            253393102      363,476      10,863      X     28-5284      10863
                                                             558,012      16,677      X   X 28-5284      16677

DIEBOLD INC                    COM            253651103      161,209       5,860      X     28-5284       4738                1122
                                                              63,135       2,295      X   X 28-5284       2295
                                                              13,755         500      X     28-13605       500

DIGI INTL INC                  COM            253798102        1,980         180      X     28-5284                            180

DIGITAL RLTY TR INC            COM            253868103       82,740       1,500      X     28-5284       1500
                                                              79,706       1,445      X   X 28-5284       1445

DIGITAL RIV INC                COM            25388B104       14,179         684      X     28-5284        684
                                                               2,322         112      X   X 28-13605       112

DIME CMNTY BANCSHARES          COM            253922108        2,330         230      X     28-5284                            230
                                                              16,208       1,600      X   X 28-5284                           1600
                                                             158,646      15,661      X     28-13605     15661

DILLARDS INC                   CL A           254067101        9,609         221      X   X 28-5284        221
                                                             274,837       6,321      X     28-13605      6321

DIREXION SHS ETF TR            DLY SMCAP BEAR 25459W110        3,443          65      X     28-5284         65

DIREXION SHS ETF TR            DLY FIN BEAR N 25459W144       49,478         750      X     28-5284        750

DIREXION SHS ETF TR            DLY GLD MIN BL 25459W250       81,099       2,785      X     28-5284       2785

DIREXION SHS ETF TR            DLY EMRGMKT BU 25459W300        2,664         200      X     28-5284        200

DIREXION SHS ETF TR            DLY FIN BULL N 25459W516      164,610      15,500      X     28-5284      15500

DIREXION SHS ETF TR            20YR TRES BEAR 25459W532       85,234       5,510      X     28-5284       5510
                                                              77,345       5,000      X     28-13605      5000
               COLUMN TOTAL                                3,315,529







                                                                                                                   FILE NO. 28-1235
 PAGE    78 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DISCOVERY LABORATORIES INC N   COM NEW        254668403        1,960       1,000      X     28-5284       1000
                                                               1,305         666      X   X 28-5284        666

DISNEY WALT CO                 COM DISNEY     254687106   34,286,793   1,136,830      X     28-5284    1120250               16580
                                                          29,978,527     993,983      X   X 28-5284     921776      5499     66708
                                                           5,089,500     168,750      X     28-13605    145803               22947
                                                           2,957,942      98,075      X   X 28-13605     97318       430       327
                                                             196,824       6,526      X     28-13663      4362                2164
                                                             295,387       9,794      X   X 28-13663      9783                  11

DISCOVERY COMMUNICATNS NEW     COM SER A      25470F104    1,957,971      52,046      X     28-5284      48193                3853
                                                           1,775,476      47,195      X   X 28-5284      41109                6086
                                                             259,578       6,900      X     28-13605      3695                3205
                                                           1,365,192      36,289      X   X 28-13605     36289
                                                              17,644         469      X     28-13663       380                  89

DISCOVERY COMMUNICATNS NEW     COM SER C      25470F302      821,702      23,377      X     28-5284        327               23050
                                                             458,286      13,038      X   X 28-5284       3828                9210
                                                              20,492         583      X     28-13605       583
                                                           1,207,719      34,359      X   X 28-13605     34359

DISH NETWORK CORP              CL A           25470M109       77,855       3,108      X     28-5284       3108
                                                             120,240       4,800      X   X 28-5284       4800
                                                             255,234      10,189      X     28-13605     10189
                                                              82,916       3,310      X   X 28-13605      3310

DISCOVER FINL SVCS             COM            254709108    2,265,921      98,776      X     28-5284      81892               16884
                                                           5,155,329     224,731      X   X 28-5284     201609               23122
                                                           8,487,915     370,005      X     28-13605    255418              114587
                                                           1,069,371      46,616      X   X 28-13605     45566       635       415
                                                              23,514       1,025      X     28-13663       600                 425
                                                              43,815       1,910      X   X 28-13663      1910

DIRECTV                        COM CL A       25490A101      793,197      18,765      X     28-5284      12555                6210
                                                             679,913      16,085      X   X 28-5284      13017                3068
                                                             467,548      11,061      X     28-13605      4069                6992
                                                              55,162       1,305      X   X 28-13605      1305
                                                             118,356       2,800      X     28-13663                          2800
                                                               5,199         123      X   X 28-13663                           123

DR REDDYS LABS LTD             ADR            256135203      119,528       4,011      X     28-5284       4011
                                                              14,155         475      X   X 28-5284        475
                                                              17,880         600      X     28-13663       600
               COLUMN TOTAL                              100,545,346







                                                                                                                   FILE NO. 28-1235
 PAGE    79 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DOLBY LABORATORIES INC         COM            25659T107    2,094,468      76,329      X     28-5284      75329                1000
                                                             737,532      26,878      X   X 28-5284      25318                1560
                                                             103,806       3,783      X     28-13605      3783
                                                             174,903       6,374      X   X 28-13605      6374
                                                              18,330         668      X     28-13663       668
                                                               8,232         300      X   X 28-13663       300

DOLE FOOD CO INC NEW           COM            256603101        4,000         400      X     28-5284        400

DOLLAR GEN CORP NEW            COM            256677105       55,772       1,477      X     28-5284       1477
                                                              42,216       1,118      X   X 28-5284       1118

DOLLAR TREE INC                COM            256746108   39,838,852     530,195      X     28-5284     521783                8412
                                                          11,525,048     153,381      X   X 28-5284     149222       360      3799
                                                          35,201,362     468,477      X     28-13605    429939               38538
                                                           6,991,627      93,048      X   X 28-13605     88706                4342
                                                             411,767       5,480      X     28-13663      4480                1000
                                                             561,596       7,474      X   X 28-13663      7474

DOMINION RES INC VA NEW        COM            25746U109   61,884,670   1,218,922      X     28-5284    1211598                7324
                                                          50,263,265     990,019      X   X 28-5284     909315      1776     78928
                                                           3,524,453      69,420      X     28-13605     62445                6975
                                                           2,957,099      58,245      X   X 28-13605     54649                3596
                                                             126,214       2,486      X     28-13663      2148                 338
                                                             808,258      15,920      X   X 28-13663     15920

DOMINOS PIZZA INC              COM            25754A201      157,996       5,798      X     28-13605      5798

DOMTAR CORP                    COM NEW        257559203        8,044         118      X     28-5284        118
                                                              34,971         513      X   X 28-5284        213                 300

DONALDSON INC                  COM            257651109    1,523,440      27,800      X     28-5284      27800
                                                           1,546,675      28,224      X   X 28-5284      28224
                                                              42,470         775      X     28-13605       775
                                                             130,150       2,375      X   X 28-13605      2375

DONEGAL GROUP INC              CL A           257701201       52,832       4,388      X     28-5284       4388

DONEGAL GROUP INC              CL B           257701300        8,932         616      X     28-5284        616
               COLUMN TOTAL                              220,838,980







                                                                                                                   FILE NO. 28-1235
 PAGE    80 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DONNELLEY R R & SONS CO        COM            257867101      359,326      25,448      X     28-5284      10448               15000
                                                             190,606      13,499      X   X 28-5284      13499
                                                              52,710       3,733      X     28-13605      1397                2336
                                                              93,192       6,600      X   X 28-13605      6500                 100
                                                              32,179       2,279      X   X 28-13663      2279

DORCHESTER MINERALS LP         COM UNIT       25820R105       77,071       3,241      X     28-5284       3241
                                                              23,780       1,000      X   X 28-5284       1000

DORMAN PRODUCTS INC            COM            258278100       39,660       1,200      X   X 28-5284                           1200
                                                           1,256,065      38,005      X     28-13605     31466                6539
                                                               5,420         164      X   X 28-13605       164

DOT HILL SYS CORP              COM            25848T109       30,200      20,000      X     28-5284      20000
                                                               4,530       3,000      X   X 28-5284       3000

DOUGLAS EMMETT INC             COM            25960P109       14,279         835      X   X 28-5284        835

DOVER CORP                     COM            260003108   19,793,630     424,756      X     28-5284     414003               10753
                                                           8,569,600     183,897      X   X 28-5284     175028                8869
                                                          23,725,225     509,125      X     28-13605    498413               10712
                                                           6,295,660     135,100      X   X 28-13605    128505                6595
                                                             146,743       3,149      X     28-13663      2051                1098
                                                              29,125         625      X   X 28-13663       625

DOW CHEM CO                    COM            260543103    9,723,361     432,919      X     28-5284     381385               51534
                                                          10,262,378     456,918      X   X 28-5284     420932               35986
                                                           1,175,983      52,359      X     28-13605     38572               13787
                                                           1,064,290      47,386      X   X 28-13605     45084                2302
                                                             234,662      10,448      X     28-13663      6000                4448
                                                              72,995       3,250      X   X 28-13663      3250

DOW 30 PREMIUM & DIV INC FD    COM            260582101       25,523       2,050      X     28-5284       2050

DR PEPPER SNAPPLE GROUP INC    COM            26138E109      106,451       2,745      X     28-5284       2316                 429
                                                             496,811      12,811      X   X 28-5284       7341                5470
                                                             142,749       3,681      X     28-13605      1084                2597

DRDGOLD LIMITED                SPON ADR NEW   26152H301        5,141       1,012      X     28-5284       1012

DREAMWORKS ANIMATION SKG INC   CL A           26153C103        9,999         550      X   X 28-5284        550
               COLUMN TOTAL                               84,059,344







                                                                                                                   FILE NO. 28-1235
 PAGE    81 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DRESSER-RAND GROUP INC         COM            261608103       62,295       1,537      X     28-5284       1537
                                                             170,956       4,218      X   X 28-5284       2118                2100
                                                             105,378       2,600      X   X 28-13605      2600

DREW INDS INC                  COM NEW        26168L205       53,946       2,700      X   X 28-5284       2700

DREYFUS STRATEGIC MUNS INC     COM            261932107       62,161       7,313      X     28-5284       7313
                                                               1,046         123      X   X 28-13605       123

DREYFUS STRATEGIC MUN BD FD    COM            26202F107       35,952       4,200      X   X 28-5284       4200

DRIL-QUIP INC                  COM            262037104      109,437       2,030      X     28-5284        350                1680

DU PONT E I DE NEMOURS & CO    COM            263534109   72,424,241   1,811,965      X     28-5284    1786345               25620
                                                          59,183,899   1,480,708      X   X 28-5284    1429924      2950     47834
                                                          31,576,180     789,997      X     28-13605    736851               53146
                                                          12,681,602     317,278      X   X 28-13605    308277       605      8396
                                                           5,121,276     128,128      X     28-13663    125616                2512
                                                           6,876,439     172,040      X   X 28-13663    172040

DUCOMMUN INC DEL               COM            264147109       20,792       1,388      X   X 28-5284                           1388
                                                              71,859       4,797      X     28-13605      4797

DUFF & PHELPS UTIL CORP BD T   COM            26432K108       10,368         900      X   X 28-5284        900

DUFF & PHELPS CORP NEW         CL A           26433B107        5,010         470      X     28-5284        470
                                                              14,924       1,400      X   X 28-5284                           1400

DUKE ENERGY CORP NEW           COM            26441C105    8,759,258     438,182      X     28-5284     420876               17306
                                                           9,402,237     470,347      X   X 28-5284     433425               36922
                                                             913,023      45,674      X     28-13605     29639               16035
                                                             795,362      39,788      X   X 28-13605     39788
                                                              29,545       1,478      X     28-13663      1200                 278
                                                              41,659       2,084      X   X 28-13663       584                1500

DUKE REALTY CORP               COM NEW        264411505      190,071      18,102      X     28-5284      17382                 720
                                                             389,120      37,059      X   X 28-5284      35559                1500
                                                              10,500       1,000      X     28-13605      1000
                                                               4,200         400      X     28-13663       400
               COLUMN TOTAL                              209,122,736







                                                                                                                   FILE NO. 28-1235
 PAGE    82 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DUN & BRADSTREET CORP DEL NE   COM            26483E100      858,253      14,010      X     28-5284      13410                 600
                                                             408,604       6,670      X   X 28-5284       6470       100       100
                                                              48,640         794      X     28-13605       221                 573
                                                              11,211         183      X   X 28-13605       183

DUNKIN BRANDS GROUP INC        COM            265504100       74,790       2,700      X     28-5284       2700
                                                               2,770         100      X   X 28-5284        100

DUOYUAN GLOBAL WTR INC         SPONSORED ADR  266043108            0         230      X     28-5284        230

DUPONT FABROS TECHNOLOGY INC   COM            26613Q106          512          26      X     28-5284         26
                                                               1,556          79      X     28-13605        79

DURECT CORP                    COM            266605104       16,100      10,000      X   X 28-5284      10000

DYAX CORP                      COM            26746E103       25,200      20,000      X     28-5284      20000

DYNAVAX TECHNOLOGIES CORP      COM            268158102        9,300       5,000      X     28-5284       5000

DYNEGY INC DEL                 COM            26817G300           41          10      X     28-5284         10

ECA MARCELLUS TR I             COM UNIT       26827L109       12,565         500      X     28-5284        500
                                                              40,208       1,600      X   X 28-5284       1600

EGA EMERGING GLOBAL SHS TR     EGSHARE FINL G 268461506        3,689         220      X     28-5284        220

EGA EMERGING GLOBAL SHS TR     EGS CHIN INF E 268461837       40,833       3,000      X     28-5284       3000

E M C CORP MASS                NOTE  1.750%12 268648AK8      261,500       2,000      X   X 28-5284       2000

E M C CORP MASS                NOTE  1.750%12 268648AM4      564,500       4,000      X     28-5284       4000
                                                             282,250       2,000      X   X 28-5284       2000
                                                             564,500       4,000      X     28-13605      4000

E M C CORP MASS                COM            268648102   37,863,000   1,803,859      X     28-5284    1744122               59737
                                                          15,297,785     728,813      X   X 28-5284     684057      2000     42756
                                                          32,831,571   1,564,153      X     28-13605   1444769              119384
                                                           6,534,607     311,320      X   X 28-13605    295454               15866
                                                             247,976      11,814      X     28-13663      9432                2382
                                                             142,564       6,792      X   X 28-13663      6500                 292
               COLUMN TOTAL                               96,144,525







                                                                                                                   FILE NO. 28-1235
 PAGE    83 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ENI S P A                      SPONSORED ADR  26874R108      379,790      10,811      X     28-5284      10811
                                                              67,169       1,912      X   X 28-5284       1012                 900
                                                              27,647         787      X     28-13663       787

EOG RES INC                    COM            26875P101    8,256,049     116,266      X     28-5284     107762                8504
                                                           5,271,285      74,233      X   X 28-5284      69987                4246
                                                             355,618       5,008      X     28-13605      1826                3182
                                                               2,130          30      X   X 28-13605        30
                                                              60,359         850      X     28-13663       200                 650
                                                               7,101         100      X   X 28-13663       100

EPIQ SYS INC                   COM            26882D109      214,639      17,130      X     28-13605     17130

EQT CORP                       COM            26884L109   90,779,074   1,701,257      X     28-5284     545326             1155931
                                                          35,654,832     668,194      X   X 28-5284     653225      1500     13469
                                                          26,807,957     502,398      X     28-13605    490492               11906
                                                           6,787,926     127,210      X   X 28-13605    122444                4766
                                                              34,417         645      X     28-13663       645
                                                              26,680         500      X   X 28-13663       500

ETFS PLATINUM TR               SH BEN INT     26922V101      213,454       1,420      X     28-5284       1420
                                                              22,548         150      X   X 28-5284        150

ETFS PRECIOUS METALS BASKET    PHYS PM BSKT   26922W109       46,175         510      X     28-5284        510

ETFS SILVER TR                 SILVER SHS     26922X107       16,236         550      X     28-5284        550
                                                              82,656       2,800      X   X 28-5284       2800

ETFS GOLD TR                   SHS            26922Y105      221,780       1,377      X     28-5284       1377
                                                              20,133         125      X   X 28-5284        125

ETFS PALLADIUM TR              SH BEN INT     26923A106       30,000         500      X     28-5284        500

ETFS WHITE METALS BASKET TR    PHY WM BSK SHS 26923B104        9,900         200      X     28-5284        200

E TRADE FINANCIAL CORP         COM NEW        269246401       61,820       6,786      X     28-5284       5000                1786
                                                              12,544       1,377      X   X 28-5284       1188                 189
                                                              47,600       5,225      X     28-13605      1558                3667
                                                               1,631         179      X     28-13663                           179

EV ENERGY PARTNERS LP          COM UNITS      26926V107       86,016       1,200      X     28-5284       1200
               COLUMN TOTAL                              175,605,166







                                                                                                                   FILE NO. 28-1235
 PAGE    84 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EXCO RESOURCES INC             COM            269279402      174,747      16,301      X     28-5284      16301
                                                              18,224       1,700      X     28-13605      1700

EAGLE MATERIALS INC            COM            26969P108        2,564         154      X   X 28-5284                            154

EAGLE ROCK ENERGY PARTNERS L   UNIT           26985R104        7,283         750      X     28-5284        750
                                                             214,688      22,110      X     28-13605     22110

EAST WEST BANCORP INC          COM            27579R104      392,759      26,342      X     28-5284       1800               24542
                                                             167,916      11,262      X   X 28-5284        776               10486
                                                               1,566         105      X   X 28-13605       105
                                                              15,670       1,051      X     28-13663                          1051

EASTERN AMERN NAT GAS TR       UNIT 99/99/999 276217106        5,738         250      X     28-5284        250
                                                              68,850       3,000      X   X 28-5284       3000

EASTGROUP PPTY INC             COM            277276101       22,884         600      X     28-5284        600

EASTMAN CHEM CO                COM            277432100    1,468,529      21,429      X     28-5284      20455                 974
                                                             549,953       8,025      X   X 28-5284       6454                1571
                                                           7,295,909     106,463      X     28-13605     85858               20605
                                                             909,599      13,273      X   X 28-13605     13273
                                                               3,289          48      X     28-13663                            48

EASTMAN KODAK CO               COM            277461109        3,409       4,370      X     28-5284       4370
                                                               6,084       7,800      X   X 28-5284       7800
                                                              15,944      20,441      X   X 28-13605     20441

EATON CORP                     COM            278058102   21,394,288     602,656      X     28-5284     589124               13532
                                                           9,441,864     265,968      X   X 28-5284     255593      1200      9175
                                                          23,630,717     665,654      X     28-13605    617713               47941
                                                           5,268,413     148,406      X   X 28-13605    142992       380      5034
                                                             221,627       6,243      X     28-13663      6215                  28
                                                             250,985       7,070      X   X 28-13663      7070

EATON VANCE OH MUNI INCOME T   SH BEN INT     27826G109       19,466       1,488      X     28-5284       1488

EATON VANCE SR INCOME TR       SH BEN INT     27826S103       19,340       3,065      X   X 28-5284                           3065

EATON VANCE PA MUNI INCOME T   SH BEN INT     27826T101      348,224      27,205      X   X 28-5284      27205

EATON VANCE MUNI INCOME TRUS   SH BEN INT     27826U108       72,958       5,990      X     28-5284       5990
               COLUMN TOTAL                               72,013,487







                                                                                                                   FILE NO. 28-1235
 PAGE    85 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 CORP               COM NON VTG    278265103      100,928       4,532      X     28-5284       3292                1240
                                                              42,090       1,890      X   X 28-5284       1890
                                                               3,452         155      X   X 28-13605       155

EATON VANCE MUN BD FD II       COM            27827K109      365,200      27,500      X     28-5284      27500

EATON VANCE MUN BD FD          COM            27827X101      377,416      30,560      X     28-5284      30560
                                                               8,336         675      X   X 28-5284        675

EATON VANCE ENHANCED EQ INC    COM            278274105       11,736       1,200      X     28-5284       1200

EATON VANCE ENH EQTY INC FD    COM            278277108       34,214       3,470      X     28-5284       3470
                                                               8,006         812      X   X 28-5284        812

EATON VANCE TAX ADVT DIV INC   COM            27828G107      177,710      13,000      X   X 28-5284      13000

EATON VANCE LTD DUR INCOME F   COM            27828H105       38,116       2,600      X     28-5284       2600
                                                              14,660       1,000      X   X 28-5284       1000

EATON VANCE TX MGD DIV EQ IN   COM            27828N102       51,146       5,996      X     28-5284       5996
                                                              41,029       4,810      X   X 28-5284       4810

EATON VANCE SR FLTNG RTE TR    COM            27828Q105       28,917       2,035      X     28-5284       2035
                                                               4,263         300      X   X 28-13605       300

EATON VANCE TX ADV GLBL DIV    COM            27828S101      158,340      13,000      X   X 28-5284      13000

EATON VANCE TX ADV GLB DIV O   COM            27828U106        9,804         600      X   X 28-5284        600

EATON VANCE PA MUN BD FD       COM            27828W102        3,258         250      X     28-5284        250
                                                             156,360      12,000      X   X 28-5284      12000

EATON VANCE TAX MNGED BUY WR   COM            27828X100       14,525       1,250      X     28-5284       1250
                                                              11,620       1,000      X   X 28-5284       1000

EATON VANCE TX MNG BY WRT OP   COM            27828Y108       10,920       1,000      X     28-5284       1000
                                                               4,368         400      X   X 28-5284        400

EATON VANCE TXMGD GL BUYWR O   COM            27829C105       97,161       9,955      X     28-5284       9955
                                                             248,880      25,500      X   X 28-5284      25500

EATON VANCE TAX MNGD GBL DV    COM            27829F108       31,392       3,924      X     28-5284       3924
                                                             140,000      17,500      X   X 28-5284      17500
               COLUMN TOTAL                                2,193,847







                                                                                                                   FILE NO. 28-1235
 PAGE    86 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 RISK MNGD DIV EQ   COM            27829G106       17,520       1,600      X     28-5284       1600
                                                              32,850       3,000      X   X 28-5284       3000

EATON VANCE TAX-ADV BD & OPT   COM SH BEN INT 27829M103       18,216       1,100      X   X 28-5284       1100

EBAY INC                       COM            278642103   16,332,004     553,815      X     28-5284     537462               16353
                                                           4,067,143     137,916      X   X 28-5284     115828               22088
                                                          24,042,047     815,261      X     28-13605    725658               89603
                                                           4,474,842     151,741      X   X 28-13605    145434                6307
                                                             154,646       5,244      X     28-13663      4980                 264
                                                               5,898         200      X   X 28-13663       200

EBIX INC                       COM NEW        278715206        4,410         300      X     28-5284        300

ECHOSTAR CORP                  CL A           278768106          610          27      X     28-5284         27
                                                               3,618         160      X   X 28-5284        160

ECOLAB INC                     COM            278865100    2,899,079      59,298      X     28-5284      28728               30570
                                                           4,391,446      89,823      X   X 28-5284      66413               23410
                                                             224,552       4,593      X     28-13605      1224                3369
                                                             104,869       2,145      X   X 28-13605      2145
                                                               2,933          60      X     28-13663                            60

EDISON INTL                    COM            281020107      415,433      10,861      X     28-5284       9838                1023
                                                             180,158       4,710      X   X 28-5284       4358                 352
                                                           2,877,165      75,220      X     28-13605     71233                3987
                                                             181,305       4,740      X   X 28-13605      4740
                                                               3,557          93      X     28-13663                            93

EDUCATION MGMT CORP NEW        COM            28140M103        4,452         300      X     28-5284        300
                                                               4,318         291      X   X 28-5284        291
                                                             122,148       8,231      X     28-13605      8231

EDWARDS LIFESCIENCES CORP      COM            28176E108      841,175      11,801      X     28-5284      10999                 802
                                                             447,496       6,278      X   X 28-5284       5445                 833
                                                             131,583       1,846      X     28-13605       545                1301
                                                               4,277          60      X   X 28-13605                            60
                                                              42,768         600      X     28-13663       600

8X8 INC NEW                    COM            282914100          406         100      X     28-5284        100
               COLUMN TOTAL                               62,032,924







                                                                                                                   FILE NO. 28-1235
 PAGE    87 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EL PASO CORP                   COM            28336L109      309,990      17,734      X     28-5284      16544                1190
                                                             263,808      15,092      X   X 28-5284      15063                  29
                                                             226,576      12,962      X     28-13605      3592                9370
                                                              46,305       2,649      X   X 28-13605      2649
                                                               4,003         229      X     28-13663                           229

EL PASO ELEC CO                COM NEW        283677854      171,136       5,333      X     28-5284        500                4833
                                                             593,344      18,490      X     28-13605     18490

EL PASO ENERGY CAP TR I        PFD CV TR SECS 283678209       23,494         525      X     28-5284        525
                                                              11,188         250      X   X 28-5284        250

EL PASO PIPELINE PARTNERS L    COM UNIT LPI   283702108    2,022,499      57,020      X     28-5284      57020
                                                             700,533      19,750      X   X 28-5284      15275                4475
                                                              13,479         380      X     28-13663       380

ELAN PLC                       ADR            284131208       25,272       2,400      X     28-5284       2400
                                                              36,329       3,450      X   X 28-5284       3450
                                                              21,060       2,000      X     28-13605      2000

ELDORADO GOLD CORP NEW         COM            284902103       37,828       2,207      X     28-5284       2207
                                                               5,142         300      X   X 28-5284        300

ELECTRO SCIENTIFIC INDS        COM            285229100        1,902         160      X     28-5284                            160

ELECTRONIC ARTS INC            COM            285512109      136,933       6,696      X     28-5284       5696                1000
                                                             120,900       5,912      X   X 28-5284       5385                 527
                                                             108,467       5,304      X     28-13605      1554                3750
                                                              50,307       2,460      X   X 28-13605      2460

ELECTRONICS FOR IMAGING INC    COM            286082102        1,374         102      X   X 28-5284        102

ELIZABETH ARDEN INC            COM            28660G106       57,733       2,030      X     28-5284                           2030
                                                             163,103       5,735      X     28-13605      5735

ELLIS PERRY INTL INC           COM            288853104          602          32      X     28-13605        32

ELSTER GROUP SE                SPONSORED ADR  290348101      145,015       9,700      X   X 28-5284                           9700
                                                             144,103       9,639      X     28-13605      9639

EMBRAER S A                    SP ADR REP 4 C 29082A107       15,831         624      X     28-5284        436                 188
                                                             108,761       4,287      X   X 28-5284       2087                2200
               COLUMN TOTAL                                5,567,017







                                                                                                                   FILE NO. 28-1235
 PAGE    88 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EMCOR GROUP INC                COM            29084Q100        8,335         410      X     28-5284                            410
                                                              24,396       1,200      X   X 28-5284        500                 700
                                                               6,607         325      X   X 28-13605       325

EMDEON INC                     CL A           29084T104        4,190         223      X   X 28-5284        223

EMCORE CORP                    COM            290846104          693         700      X     28-5284        700

EMERGENT BIOSOLUTIONS INC      COM            29089Q105        3,086         200      X   X 28-5284        200

EMERSON ELEC CO                COM            291011104   58,101,730   1,406,481      X     28-5284    1390758               15723
                                                          66,465,105   1,608,935      X   X 28-5284    1516215               92720
                                                           5,366,623     129,911      X     28-13605    120574                9337
                                                           3,886,486      94,081      X   X 28-13605     88801                5280
                                                             838,015      20,286      X     28-13663     20024                 262
                                                           1,718,496      41,600      X   X 28-13663     41600

EMPIRE DIST ELEC CO            COM            291641108       43,663       2,253      X     28-5284       2253
                                                               3,682         190      X   X 28-5284        190
                                                               1,938         100      X   X 28-13605                           100

EMULEX CORP                    COM NEW        292475209        1,920         300      X   X 28-5284        300

ENBRIDGE INC                   COM            29250N105       73,343       2,297      X     28-5284       2297
                                                             584,319      18,300      X   X 28-5284       6600               11700
                                                             119,738       3,750      X   X 28-13605      3750

ENBRIDGE ENERGY PARTNERS L P   COM            29250R106    2,477,794      90,200      X     28-5284      90200
                                                           9,927,933     361,410      X   X 28-5284     361410
                                                              63,730       2,320      X     28-13605      2320
                                                             104,496       3,804      X   X 28-13605      3804

ENBRIDGE ENERGY MANAGEMENT L   SHS UNITS LLI  29250X103    1,240,706      45,133      X   X 28-5284      45133

ENCANA CORP                    COM            292505104      149,550       7,785      X     28-5284       7785
                                                              76,091       3,961      X   X 28-5284       2811                1150
                                                               2,882         150      X     28-13605       150
                                                             225,871      11,758      X   X 28-13605      7308                4450

ENCORE CAP GROUP INC           COM            292554102       10,925         500      X   X 28-5284        500
                                                             140,321       6,422      X     28-13605      6422
               COLUMN TOTAL                              151,672,664







                                                                                                                   FILE NO. 28-1235
 PAGE    89 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ENCORE WIRE CORP               COM            292562105       39,925       1,940      X     28-5284                           1940
                                                             193,452       9,400      X   X 28-5284                           9400

ENCORE ENERGY PARTNERS LP      COM UNIT       29257A106        9,360         500      X     28-5284        500
                                                              93,600       5,000      X   X 28-5284                           5000

ENDEAVOUR SILVER CORP          COM            29258Y103        4,490         500      X     28-5284        500
                                                               8,980       1,000      X   X 28-5284       1000

ENDO PHARMACEUTICALS HLDGS I   COM            29264F205      287,429      10,269      X     28-5284        510                9759
                                                             328,463      11,735      X   X 28-5284       1650               10085
                                                               4,059         145      X     28-13605       145
                                                              15,395         550      X     28-13663                           550

ENERGEN CORP                   COM            29265N108      518,076      12,670      X     28-5284      12670
                                                             229,761       5,619      X   X 28-5284       5319                 300
                                                               6,134         150      X     28-13663       150

ENERGIZER HLDGS INC            COM            29266R108      446,610       6,722      X     28-5284       6322                 400
                                                             421,761       6,348      X   X 28-5284       6123                 225
                                                           2,552,425      38,417      X     28-13605     38417
                                                             135,205       2,035      X   X 28-13605      2035

ENERGY TRANSFER PRTNRS L P     UNIT LTD PARTN 29273R109    7,808,140     190,396      X     28-5284     190296                 100
                                                           2,028,724      49,469      X   X 28-5284      49469
                                                             475,716      11,600      X     28-13605     11300                 300
                                                             335,257       8,175      X   X 28-13605      7875                 300
                                                              41,010       1,000      X     28-13663      1000
                                                              82,020       2,000      X   X 28-13663      2000

ENERGY TRANSFER EQUITY L P     COM UT LTD PTN 29273V100      542,568      15,600      X     28-5284      15600
                                                           2,829,701      81,360      X   X 28-5284      80270                1090
                                                             173,900       5,000      X   X 28-13605      5000

ENERSIS S A                    SPONSORED ADR  29274F104        1,285          76      X     28-5284         76

ENERSYS                        COM            29275Y102       16,897         844      X     28-5284        844
                                                           1,629,087      81,373      X     28-13605     67033               14340
                                                               9,309         465      X   X 28-13605       465

ENERNOC INC                    COM            292764107       57,600       6,400      X   X 28-5284       6400
               COLUMN TOTAL                               21,326,339







                                                                                                                   FILE NO. 28-1235
 PAGE    90 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ENERPLUS CORP                  COM            292766102      165,645       6,750      X     28-5284       6750
                                                             156,663       6,384      X   X 28-5284       6384
                                                              16,270         663      X     28-13605       663
                                                              14,111         575      X   X 28-13605       575

ENNIS INC                      COM            293389102       11,101         850      X   X 28-5284                            850

ENPRO INDS INC                 COM            29355X107        3,710         125      X   X 28-5284        125

ENSCO PLC                      SPONSORED ADR  29358Q109      133,338       3,298      X     28-5284       2409                 889
                                                              86,722       2,145      X   X 28-5284       2145
                                                             352,428       8,717      X     28-13605      8705                  12
                                                             117,651       2,910      X   X 28-13605      2910
                                                              13,867         343      X     28-13663                           343

ENTEGRIS INC                   COM            29362U104       38,280       6,000      X   X 28-5284                           6000
                                                               2,074         325      X     28-13605       325

ENTERGY CORP NEW               COM            29364G103    3,022,824      45,600      X     28-5284      44879                 721
                                                           3,252,784      49,069      X   X 28-5284      47170                1899
                                                             201,654       3,042      X     28-13605      1020                2022
                                                              26,516         400      X   X 28-13605       400
                                                              23,202         350      X     28-13663       350
                                                              48,988         739      X   X 28-13663       739

ENTERPRISE PRODS PARTNERS L    COM            293792107   19,582,881     487,743      X     28-5284     485613                2130
                                                          19,542,571     486,739      X   X 28-5284     467477               19262
                                                           3,074,245      76,569      X     28-13605     76387                 182
                                                           1,520,601      37,873      X   X 28-13605     36538       315      1020
                                                             197,538       4,920      X     28-13663      4670                 250
                                                             120,450       3,000      X   X 28-13663      3000

ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105       50,674       1,300      X   X 28-5284       1300
                                                              37,031         950      X     28-13605       950
                                                              10,720         275      X   X 28-13605       275

ENTROPIC COMMUNICATIONS INC    COM            29384R105       37,851       9,165      X     28-13605      9165

ENZON PHARMACEUTICALS INC      COM            293904108       14,080       2,000      X     28-5284       2000

ENZO BIOCHEM INC               COM            294100102          640         249      X     28-5284                            249
                                                              10,280       4,000      X   X 28-5284       4000
               COLUMN TOTAL                               51,887,390







                                                                                                                   FILE NO. 28-1235
 PAGE    91 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EPLUS INC                      COM            294268107      159,442       6,463      X     28-13605      6463

EQUIFAX INC                    COM            294429105      184,040       5,987      X     28-5284       5485                 502
                                                              91,175       2,966      X   X 28-5284       1466                1500
                                                              60,250       1,960      X     28-13605       578                1382
                                                                 338          11      X   X 28-13663                            11

EQUINIX INC                    COM NEW        29444U502       15,368         173      X     28-5284        173
                                                             146,125       1,645      X   X 28-5284       1645
                                                               5,152          58      X   X 28-13605        58

EQUITY LIFESTYLE PPTYS INC     COM            29472R108      277,322       4,423      X     28-13605      4423

EQUITY ONE                     COM            294752100       33,306       2,100      X   X 28-5284                           2100
                                                               3,172         200      X   X 28-13605       200

EQUITY RESIDENTIAL             SH BEN INT     29476L107   15,639,531     301,514      X     28-5284     295947                5567
                                                           6,654,143     128,285      X   X 28-5284     123893                4392
                                                          21,354,049     411,684      X     28-13605    353014               58670
                                                           3,767,629      72,636      X   X 28-13605     69306                3330
                                                              82,421       1,589      X     28-13663      1476                 113
                                                              28,995         559      X   X 28-13663       475                  84

ERICSSON L M TEL CO            ADR B SEK 10   294821608       89,092       9,329      X     28-5284       9329
                                                             237,805      24,901      X   X 28-5284       2501               22400
                                                              61,120       6,400      X     28-13605      6400
                                                               2,626         275      X   X 28-13605       275

ERIE INDTY CO                  CL A           29530P102  340,636,232   4,785,561      X     28-5284    4785561
                                                             572,002       8,036      X   X 28-5284       8036

ESCO TECHNOLOGIES INC          COM            296315104      324,437      12,723      X     28-5284       1637               11086
                                                               9,563         375      X   X 28-5284                            375
                                                              12,113         475      X     28-13663                           475

ESSA BANCORP INC               COM            29667D104      157,650      15,000      X     28-5284      15000

ESSEX PPTY TR INC              COM            297178105       32,891         274      X   X 28-5284        274

ESTERLINE TECHNOLOGIES CORP    COM            297425100    2,355,350      45,435      X     28-13605     39308                6127
                                                             130,378       2,515      X   X 28-13605      2515
               COLUMN TOTAL                              393,123,717







                                                                                                                   FILE NO. 28-1235
 PAGE    92 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ETABLISSEMENTS DELHAIZE FRER   SPONSORED ADR  29759W101        4,558          78      X     28-5284         78
                                                                 292           5      X   X 28-5284          5

ETHAN ALLEN INTERIORS INC      COM            297602104        2,314         170      X     28-5284                            170

EXACT SCIENCES CORP            COM            30063P105        4,164         628      X     28-5284        628

EXAR CORP                      COM            300645108        1,827         320      X     28-5284                            320
                                                                 805         141      X   X 28-5284        141

EXAMWORKS GROUP INC            COM            30066A105        5,090         500      X   X 28-5284        500

EXELON CORP                    COM            30161N101   11,851,077     278,129      X     28-5284     271095                7034
                                                          12,802,558     300,459      X   X 28-5284     288799      2000      9660
                                                           5,373,121     126,100      X     28-13605    118101                7999
                                                             792,461      18,598      X   X 28-13605     15598                3000
                                                              40,863         959      X     28-13663       800                 159
                                                             195,026       4,577      X   X 28-13663      4577

EXELIXIS INC                   COM            30161Q104        5,460       1,000      X     28-5284       1000

EXIDE TECHNOLOGIES             COM NEW        302051206       32,000       8,000      X   X 28-5284       8000

EXLSERVICE HOLDINGS INC        COM            302081104        6,688         304      X     28-13605       304

EXPEDIA INC DEL                COM            30212P105       66,384       2,578      X     28-5284       2253                 325
                                                              71,534       2,778      X   X 28-5284       2690                  88
                                                              83,430       3,240      X     28-13605      1071                2169
                                                               2,446          95      X   X 28-13605        95
                                                               4,532         176      X     28-13663                           176

EXPEDITORS INTL WASH INC       COM            302130109      190,950       4,709      X     28-5284        466                4243
                                                           1,713,643      42,260      X   X 28-5284      14017               28243
                                                             243,300       6,000      X     28-13605      3110                2890
                                                             247,355       6,100      X   X 28-13605      6100
                                                                 649          16      X     28-13663                            16

EXPONENT INC                   COM            30214U102      106,301       2,572      X     28-13605      2572
               COLUMN TOTAL                               33,848,828







                                                                                                                   FILE NO. 28-1235
 PAGE    93 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EXPRESS SCRIPTS INC            COM            302182100    2,149,578      57,987      X     28-5284      45406               12581
                                                           1,369,885      36,954      X   X 28-5284      33231       125      3598
                                                             902,321      24,341      X     28-13605     17996                6345
                                                              83,408       2,250      X   X 28-13605      2250
                                                             119,365       3,220      X     28-13663      1300                1920
                                                               4,300         116      X   X 28-13663                           116

EXPRESS INC                    COM            30219E103      463,931      22,865      X     28-13605     22865

EXTRA SPACE STORAGE INC        COM            30225T102          652          35      X     28-5284         35
                                                             307,730      16,518      X     28-13605     16518

EXTREME NETWORKS INC           COM            30226D106        2,650       1,000      X     28-5284       1000

EZCORP INC                     CL A NON VTG   302301106          371          13      X     28-5284         13
                                                             266,478       9,337      X     28-13605      9337

EXXON MOBIL CORP               COM            30231G102  536,275,952   7,383,670      X     28-5284    7287406               96264
                                                         591,647,757   8,146,052      X   X 28-5284    7438485      8970    698597
                                                         121,866,676   1,677,911      X     28-13605   1575510              102401
                                                          67,618,966     931,006      X   X 28-13605    896606       225     34175
                                                           3,949,256      54,375      X     28-13663     51419                2956
                                                          41,264,444     568,146      X   X 28-13663    567274                 872

FBL FINL GROUP INC             CL A           30239F106       23,958         900      X     28-5284                            900

FEI CO                         COM            30241L109          749          25      X     28-5284         25
                                                              66,182       2,209      X     28-13605      2209

FLIR SYS INC                   COM            302445101       82,415       3,290      X     28-5284       3092                 198
                                                              25,651       1,024      X   X 28-5284       1024
                                                              63,076       2,518      X     28-13605       748                1770
                                                             357,188      14,259      X   X 28-13605       259               14000

FMC TECHNOLOGIES INC           COM            30249U101    2,210,993      58,803      X     28-5284      29168               29635
                                                             613,519      16,317      X   X 28-5284       8067       210      8040
                                                             264,215       7,027      X     28-13605      4368                2659
                                                             315,652       8,395      X   X 28-13605      8000                 395
                                                              35,532         945      X     28-13663                           945
               COLUMN TOTAL                            1,372,352,850







                                                                                                                   FILE NO. 28-1235
 PAGE    94 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
F M C CORP                     COM NEW        302491303    2,343,556      33,886      X     28-5284      19984               13902
                                                           1,388,456      20,076      X   X 28-5284      11831                8245
                                                           1,431,335      20,696      X     28-13605     19761                 935
                                                             540,900       7,821      X   X 28-13605      7624       185        12
                                                             102,841       1,487      X     28-13663       100                1387
                                                              25,589         370      X   X 28-13663       370

FNB CORP PA                    COM            302520101    1,547,159     180,532      X     28-5284     180532
                                                             522,110      60,923      X   X 28-5284      27385               33538
                                                             342,800      40,000      X     28-13663     40000

FXCM INC                       COM CL A       302693106      102,486       7,310      X   X 28-5284                           7310

FX ENERGY INC                  COM            302695101       24,780       6,000      X     28-5284       6000

FTI CONSULTING INC             COM            302941109       20,393         554      X     28-5284        554
                                                              12,626         343      X   X 28-5284        343
                                                             102,626       2,788      X     28-13605      2788
                                                              14,798         402      X   X 28-13605       402

FACTSET RESH SYS INC           COM            303075105    1,085,523      12,201      X     28-5284      12201
                                                           1,416,491      15,921      X   X 28-5284      15921
                                                             387,464       4,355      X     28-13605      4355
                                                             122,779       1,380      X   X 28-13605      1380
                                                               8,897         100      X     28-13663       100

FAIR ISAAC CORP                COM            303250104      133,447       6,113      X     28-5284       6113
                                                              16,373         750      X   X 28-5284        750
                                                               8,732         400      X   X 28-13605       400

FAIRCHILD SEMICONDUCTOR INTL   COM            303726103        6,480         600      X     28-5284        600
                                                               6,901         639      X   X 28-5284        639

FAMILY DLR STORES INC          COM            307000109    1,000,569      19,673      X     28-5284      16492                3181
                                                           1,613,584      31,726      X   X 28-5284      20787               10939
                                                             111,129       2,185      X     28-13605       748                1437
                                                              10,935         215      X   X 28-13605       215
                                                                 305           6      X     28-13663                             6
                                                               3,662          72      X   X 28-13663                            72

FARMERS CAP BK CORP            COM            309562106       10,775       2,500      X     28-5284       2500
               COLUMN TOTAL                               14,466,501







                                                                                                                   FILE NO. 28-1235
 PAGE    95 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FASTENAL CO                    COM            311900104      506,455      15,218      X     28-5284      14667                 551
                                                           3,341,811     100,415      X   X 28-5284      57635               42780
                                                             832,000      25,000      X     28-13605     20282                4718
                                                           1,639,373      49,260      X   X 28-13605     49260
                                                               3,328         100      X     28-13663                           100

FAUQUIER BANKSHARES INC VA     COM            312059108       22,760       2,000      X   X 28-5284       2000
                                                             130,870      11,500      X   X 28-13605     11500

FEDERAL AGRIC MTG CORP         CL C           313148306       86,320       4,536      X     28-13605      4536

FEDERAL MOGUL CORP             COM            313549404          870          59      X   X 28-5284         59

FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206      742,102       9,005      X     28-5284       9005
                                                           2,243,612      27,225      X   X 28-5284      26725                 500
                                                              41,205         500      X     28-13605       500
                                                              16,482         200      X   X 28-13605       200

FEDERATED ENHANC TREAS INCM    COM SH BEN INT 314162108       15,000       1,000      X   X 28-5284       1000

FEDERATED INVS INC PA          CL B           314211103    3,257,670     185,834      X     28-5284     179409                6425
                                                           1,773,843     101,189      X   X 28-5284      95111                6078
                                                           1,626,206      92,767      X     28-13605     90685                2082
                                                             597,370      34,077      X   X 28-13605     33276       755        46
                                                               7,889         450      X     28-13663                           450
                                                              26,207       1,495      X   X 28-13663      1495

FEDEX CORP                     COM            31428X106    4,023,305      59,446      X     28-5284      53567                5879
                                                           1,530,651      22,616      X   X 28-5284      21537                1079
                                                             628,003       9,279      X     28-13605      5521                3758
                                                              91,909       1,358      X   X 28-13605      1038                 320
                                                              13,536         200      X     28-13663       200
                                                              18,071         267      X   X 28-13663       200                  67

FEDFIRST FINL CORP NEW         COM            31429C101      465,743      34,423      X     28-5284      24423               10000

FEMALE HEALTH CO               COM            314462102        1,224         300      X     28-5284        300
                                                               1,020         250      X   X 28-5284        250

FERRELLGAS PARTNERS L.P.       UNIT LTD PART  315293100       25,805       1,300      X     28-5284       1300
                                                              11,910         600      X   X 28-5284        600
                                                             136,092       6,856      X     28-13605      6856
               COLUMN TOTAL                               23,858,642







                                                                                                                   FILE NO. 28-1235
 PAGE    96 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FERRO CORP                     COM            315405100       36,900       6,000      X     28-5284                           6000
                                                              18,450       3,000      X   X 28-5284       1000                2000

F5 NETWORKS INC                COM            315616102      455,857       6,416      X     28-5284         43                6373
                                                             357,666       5,034      X   X 28-5284       1019                4015
                                                             124,622       1,754      X     28-13605       788                 966
                                                              14,778         208      X   X 28-13605        13                 195
                                                              33,394         470      X     28-13663                           470

FIBERTOWER CORP                COM NEW        31567R209        2,171       2,290      X   X 28-5284       2290

FIBRIA CELULOSE S A            SP ADR REP COM 31573A109          151          20      X     28-5284         20
                                                               2,544         336      X   X 28-5284        336

FIDELITY BANCORP INC           COM            315831107       13,205       1,426      X     28-5284       1426

FIDELITY NATL INFORMATION SV   COM            31620M106      372,291      15,308      X     28-5284       4776               10532
                                                           2,840,600     116,801      X   X 28-5284      92307               24494
                                                             104,600       4,301      X     28-13605      1272                3029
                                                              40,785       1,677      X     28-13663                          1677

FIDELITY NATIONAL FINANCIAL    CL A           31620R105    2,663,149     175,438      X   X 28-5284     175438
                                                              33,396       2,200      X     28-13605      2200
                                                              10,247         675      X   X 28-13605       675

FIFTH THIRD BANCORP            COM            316773100    1,045,431     103,508      X     28-5284      87724               15784
                                                             725,756      71,857      X   X 28-5284      53175               18682
                                                             157,368      15,581      X     28-13605      4994               10587
                                                               5,050         500      X   X 28-13605       500

FIFTH STREET FINANCE CORP      COM            31678A103       49,023       5,260      X     28-5284       5260
                                                              18,640       2,000      X   X 28-5284       2000

FINISAR CORP                   COM NEW        31787A507    9,154,793     521,938      X     28-5284     521938
                                                           1,102,810      62,874      X     28-13605     51777               11097
                                                               4,876         278      X   X 28-13605       278

FINISH LINE INC                CL A           317923100       75,962       3,800      X   X 28-5284                           3800

FIRST AMERN FINL CORP          COM            31847R102      366,733      28,651      X   X 28-5284                          28651

FIRST BUSEY CORP               COM            319383105      135,342      31,113      X     28-13605     31113
               COLUMN TOTAL                               19,966,590







                                                                                                                   FILE NO. 28-1235
 PAGE    97 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 CASH FINL SVCS INC       COM            31942D107      143,972       3,432      X     28-5284       1533                1899
                                                              58,730       1,400      X   X 28-5284       1400
                                                             372,894       8,889      X     28-13605      8889

FIRST CTZNS BANCSHARES INC N   CL A           31946M103        7,177          50      X     28-5284         50
                                                              66,890         466      X   X 28-5284         16                 450

FIRST CLOVER LEAF FIN CORP     COM            31969M105       15,625       2,500      X     28-5284       2500

FIRST COMWLTH FINL CORP PA     COM            319829107      346,723      93,709      X     28-5284      93709
                                                              54,856      14,826      X   X 28-5284      12476                2350

FIRST CMNTY BANCSHARES INC N   COM            31983A103       25,500       2,500      X   X 28-5284                           2500

FIRST FINL BANCORP OH          COM            320209109       13,800       1,000      X     28-5284       1000

FIRST HORIZON NATL CORP        COM            320517105       33,388       5,602      X     28-5284       1124                4478
                                                              34,586       5,803      X   X 28-5284       5303                 500
                                                              22,839       3,832      X     28-13605      1208                2624
                                                               3,397         570      X     28-13663                           570

FIRST INDUSTRIAL REALTY TRUS   COM            32054K103        8,000       1,000      X     28-5284       1000

FIRST INTST BANCSYSTEM INC     COM CL A       32055Y201       14,994       1,400      X     28-5284       1400

FIRST MAJESTIC SILVER CORP     COM            32076V103        7,605         500      X     28-5284        500

FIRST MIDWEST BANCORP DEL      COM            320867104       23,871       3,261      X     28-5284       2761                 500

FIRST NIAGARA FINL GP INC      COM            33582V108    2,542,602     277,880      X     28-5284     277653                 227
                                                           2,832,447     309,557      X   X 28-5284     279723               29834
                                                           1,883,692     205,868      X     28-13605    204423                1445
                                                             618,192      67,562      X   X 28-13605     65504      1940       118
                                                              22,875       2,500      X   X 28-13663      2500

FIRST POTOMAC RLTY TR          COM            33610F109       31,624       2,536      X     28-5284       2536
                                                              54,868       4,400      X   X 28-5284       4400
                                                               1,796         144      X   X 28-13605       144

FIRST REP BK SAN FRAN CALI N   COM            33616C100        5,929         256      X   X 28-5284        256
               COLUMN TOTAL                                9,248,872







                                                                                                                   FILE NO. 28-1235
 PAGE    98 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 SOLAR INC                COM            336433107      104,297       1,650      X     28-5284       1650
                                                             125,598       1,987      X   X 28-5284       1437                 550
                                                              55,435         877      X     28-13605       261                 616

1ST SOURCE CORP                COM            336901103    2,047,881      98,314      X     28-5284      98314

FIRST TR MORNINGSTAR DIV LEA   SHS            336917109        9,672         600      X   X 28-5284        600

FIRST TR ENHANCED EQTY INC F   COM            337318109        8,160         800      X   X 28-5284        800

FIRST TR EXCHANGE TRADED FD    DJ INTERNT IDX 33733E302      175,980       6,000      X     28-5284       6000

FIRST TR VALUE LINE DIVID IN   SHS            33734H106       98,301       6,800      X     28-5284       6800

FIRST TR ISE REVERE NAT GAS    COM            33734J102      805,792      50,935      X     28-5284      50935
                                                              28,682       1,813      X   X 28-5284       1813
                                                             181,930      11,500      X     28-13605     11500
                                                              31,640       2,000      X   X 28-13605      2000

FIRST TR EXCHANGE TRADED FD    HLTH CARE ALPH 33734X143        7,683         300      X     28-5284        300

FIRST TR EXCHANGE TRADED FD    ISE CLOUD COMP 33734X192       23,910       1,500      X     28-5284       1500
                                                             271,777      17,050      X   X 28-5284      17050

FIRST TR ISE GLB WIND ENRG E   COM SHS        33736G106          645          80      X     28-13605        80

FIRSTSERVICE CORP              SUB VTG SH     33761N109    1,170,209      45,498      X     28-13605     38256                7242
                                                               6,327         246      X   X 28-13605       246

FIRSTCITY FINL CORP            COM            33761X107       33,200       5,000      X     28-5284       5000

FISERV INC                     COM            337738108      260,298       5,127      X     28-5284       3513                1614
                                                           1,400,338      27,582      X   X 28-5284      25433                2149
                                                             134,134       2,642      X     28-13605       692                1950
                                                              52,039       1,025      X   X 28-13605      1025
                                                               3,351          66      X     28-13663                            66

FIRSTMERIT CORP                COM            337915102      214,397      18,873      X     28-5284      10046                8827
                                                             138,285      12,173      X   X 28-5284      12173
               COLUMN TOTAL                                7,389,961







                                                                                                                   FILE NO. 28-1235
 PAGE    99 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FIRSTENERGY CORP               COM            337932107    3,268,280      72,774      X     28-5284      68299                4475
                                                           2,743,462      61,088      X   X 28-5284      59069       480      1539
                                                             458,756      10,215      X     28-13605      4973                5242
                                                             109,625       2,441      X   X 28-13605      2441
                                                               2,470          55      X     28-13663                            55
                                                               1,572          35      X   X 28-13663        35

FIVE STAR QUALITY CARE INC     COM            33832D106           63          25      X     28-5284         25

FLAHERTY & CRMN/CLYMR PFD SE   COM SHS        338478100        3,312         207      X     28-5284        207

FLAHERTY & CRMRN CLYMRE T R    COM            338479108       33,098       1,900      X   X 28-5284       1900

FLAHERTY & CRUMRINE PFD INC    COM            338480106       12,042         900      X   X 28-5284        900

FLUOR CORP NEW                 COM            343412102      723,434      15,541      X     28-5284      14889                 652
                                                           1,138,892      24,466      X   X 28-5284      23252                1214
                                                             356,713       7,663      X     28-13605      5686                1977
                                                              53,998       1,160      X   X 28-13605      1010                 150
                                                              49,017       1,053      X     28-13663      1000                  53
                                                               2,281          49      X   X 28-13663                            49

FLOW INTL CORP                 COM            343468104        4,420       2,000      X     28-5284       2000

FLOWERS FOODS INC              COM            343498101      131,491       6,757      X     28-5284       6757
                                                              57,388       2,949      X   X 28-5284       2949
                                                               2,919         150      X   X 28-13605       150

FLOWSERVE CORP                 COM            34354P105      130,906       1,769      X     28-5284       1534                 235
                                                             120,916       1,634      X   X 28-5284       1634
                                                              66,156         894      X     28-13605       265                 629
                                                               1,332          18      X   X 28-13605        18

FLUIDIGM CORP DEL              COM            34385P108        3,218         231      X     28-5284        231

FLY LEASING LTD                SPONSORED ADR  34407D109       79,632       7,016      X     28-13605      7016

FOCUS MEDIA HLDG LTD           SPONSORED ADR  34415V109      169,545      10,071      X     28-5284        589                9482
                                                             198,148      11,770      X   X 28-5284                          11770
                                                              10,101         600      X     28-13663                           600

FOMENTO ECONOMICO MEXICANO S   SPON ADR UNITS 344419106       17,437         269      X     28-5284        269
               COLUMN TOTAL                                9,950,624







                                                                                                                   FILE NO. 28-1235
 PAGE   100 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FOOT LOCKER INC                COM            344849104      171,468       8,535      X     28-5284       1625                6910
                                                             677,676      33,732      X   X 28-5284      13652               20080
                                                              24,108       1,200      X   X 28-13605      1200

FORD MTR CO DEL                COM PAR $0.01  345370860    6,240,931     645,391      X     28-5284     621054               24337
                                                           2,623,307     271,283      X   X 28-5284     262111                9172
                                                             897,221      92,784      X     28-13605     48600               44184
                                                             260,790      26,969      X   X 28-13605     26469                 500
                                                             136,154      14,080      X     28-13663     13089                 991
                                                             222,555      23,015      X   X 28-13663     22430                 585

FOREST CITY ENTERPRISES INC    CL A           345550107    1,707,924     160,218      X     28-5284     156515                3703
                                                              57,511       5,395      X   X 28-5284       5395
                                                           2,584,997     242,495      X     28-11439    242495

FOREST LABS INC                COM            345838106      259,560       8,430      X     28-5284       7286                1144
                                                             132,643       4,308      X   X 28-5284       4308
                                                             131,566       4,273      X     28-13605      1380                2893
                                                             164,727       5,350      X   X 28-13605      5350

FOREST OIL CORP                COM PAR $0.01  346091705       13,464         935      X     28-5284        935
                                                              10,598         736      X   X 28-5284        736

FORESTAR GROUP INC             COM            346233109          120          11      X     28-5284         11

FORMFACTOR INC                 COM            346375108        2,909         467      X     28-5284        467

FORTRESS INVESTMENT GROUP LL   CL A           34958B106        5,268       1,750      X     28-5284       1750

FORTINET INC                   COM            34959E109      197,232      11,740      X   X 28-5284                          11740
                                                              25,200       1,500      X     28-13605                          1500
                                                             142,800       8,500      X   X 28-13605      8500

FORTUNE BRANDS INC             COM            349631101    4,220,836      78,048      X     28-5284      77492                 556
                                                           6,168,473     114,062      X   X 28-5284     107128                6934
                                                             446,701       8,260      X     28-13605      6506                1754
                                                             357,144       6,604      X   X 28-13605      6604
                                                               6,003         111      X     28-13663       100                  11
                                                               5,408         100      X   X 28-13663       100

FORWARD AIR CORP               COM            349853101      353,551      13,892      X     28-5284                          13892
                                                              11,987         471      X   X 28-5284                            471
                                                              14,990         589      X     28-13663                           589
               COLUMN TOTAL                               28,275,822







                                                                                                                   FILE NO. 28-1235
 PAGE   101 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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      494,385       6,099      X     28-5284       5999                 100
                                                             268,390       3,311      X   X 28-5284       3311
                                                           2,788,383      34,399      X     28-13605     34134                 265
                                                             399,707       4,931      X   X 28-13605      4931

FOSTER L B CO                  COM            350060109       27,232       1,225      X   X 28-5284                           1225

FRANCE TELECOM                 SPONSORED ADR  35177Q105       32,069       1,959      X     28-5284       1959
                                                              47,620       2,909      X   X 28-5284       2909

FRANCO NEVADA CORP             COM            351858105       57,712       1,600      X     28-5284       1600
                                                               9,018         250      X     28-13605       250

FRANKLIN ELEC INC              COM            353514102      383,516      10,571      X     28-5284        488               10083
                                                              12,335         340      X   X 28-5284                            340
                                                               1,959          54      X   X 28-13605        54
                                                              15,528         428      X     28-13663                           428

FRANKLIN RES INC               COM            354613101    9,300,703      97,247      X     28-5284      93704                3543
                                                           5,561,944      58,155      X   X 28-5284      51548       875      5732
                                                           3,420,278      35,762      X     28-13605     21102               14660
                                                             700,659       7,326      X   X 28-13605      7326
                                                              72,591         759      X     28-13663       730                  29
                                                              62,166         650      X   X 28-13663       650

FRANKLIN UNVL TR               SH BEN INT     355145103        6,240       1,000      X     28-5284       1000
                                                              56,628       9,075      X   X 28-5284       9075

FREDS INC                      CL A           356108100        2,985         280      X     28-5284                            280

FREEPORT-MCMORAN COPPER & GO   COM            35671D857   16,356,400     537,156      X     28-5284     527635                9521
                                                           8,697,860     285,644      X   X 28-5284     269727               15917
                                                           3,059,403     100,473      X     28-13605     89205               11268
                                                           3,467,372     113,871      X   X 28-13605    102994       355     10522
                                                             123,566       4,058      X     28-13663      3920                 138
                                                              70,005       2,299      X   X 28-13663      1750                 549

FREIGHTCAR AMER INC            COM            357023100        1,441         100      X     28-5284        100

FRESENIUS MED CARE AG&CO KGA   SPONSORED ADR  358029106    2,471,193      36,594      X     28-5284       3537               33057
                                                             284,977       4,220      X   X 28-5284        780                3440
                                                              17,625         261      X   X 28-13605       261
                                                              58,076         860      X     28-13663                           860
               COLUMN TOTAL                               58,329,966







                                                                                                                   FILE NO. 28-1235
 PAGE   102 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FRESH MKT INC                  COM            35804H106       17,783         466      X     28-5284        466

FRONTIER COMMUNICATIONS CORP   COM            35906A108    1,605,415     262,752      X     28-5284     238568               24184
                                                           2,107,693     344,958      X   X 28-5284     328446        60     16452
                                                             172,009      28,152      X     28-13605     17039               11113
                                                             114,184      18,688      X   X 28-13605     17680                1008
                                                               4,253         696      X     28-13663       696
                                                               1,466         240      X   X 28-13663       240

FUELCELL ENERGY INC            COM            35952H106          840       1,000      X   X 28-5284       1000

FUEL SYS SOLUTIONS INC         COM            35952W103       15,368         800      X   X 28-5284        800

FUEL TECH INC                  COM            359523107       17,460       3,000      X     28-5284       3000

FULTON FINL CORP PA            COM            360271100      428,821      56,055      X     28-5284      54571                1484
                                                             949,702     124,144      X   X 28-5284      72888               51256
                                                              62,355       8,151      X     28-13605      8130                  21
                                                              62,026       8,108      X   X 28-13605      8108

FURIEX PHARMACEUTICALS INC     COM            36106P101           43           3      X     28-13605         3
                                                                 527          37      X   X 28-13605        37

FUSION-IO INC                  COM            36112J107        4,104         216      X     28-5284        216

FUSHI COPPERWELD INC           COM            36113E107        1,980         400      X     28-13605       400

G & K SVCS INC                 CL A           361268105       15,579         610      X     28-5284        500                 110
                                                              22,986         900      X   X 28-5284        900

GAMCO INVESTORS INC            COM            361438104      123,015       3,123      X     28-5284                           3123
                                                               3,939         100      X     28-13663                           100

GATX CORP                      COM            361448103       52,466       1,693      X     28-5284       1693
                                                              53,055       1,712      X   X 28-5284       1712

GDL FUND                       COM SH BEN IT  361570104       12,444       1,044      X     28-5284       1044

GEO GROUP INC                  COM            36159R103       16,110         868      X     28-5284        868
                                                             180,960       9,750      X   X 28-5284                           9750

GNC HLDGS INC                  COM CL A       36191G107       15,412         766      X     28-5284        766
               COLUMN TOTAL                                6,061,995







                                                                                                                   FILE NO. 28-1235
 PAGE   103 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GSV CAP CORP                   COM            36191J101        2,712         200      X   X 28-5284        200

GT ADVANCED TECHNOLOGIES INC   COM            36191U106       67,933       9,677      X     28-13605      9677

GP STRATEGIES CORP             COM            36225V104        6,244         625      X     28-5284        625

G-III APPAREL GROUP LTD        COM            36237H101       20,574         900      X   X 28-5284                            900
                                                                 800          35      X     28-13605        35

GSI TECHNOLOGY                 COM            36241U106        2,460         500      X     28-5284        500

GABELLI DIVD & INCOME TR       COM            36242H104       26,668       1,948      X     28-5284       1948

GABELLI GLB GLD NAT RES & IN   COM SHS BN INT 36244N109       56,539       3,951      X     28-5284       3951
                                                              92,300       6,450      X   X 28-5284       6450

GAIAM INC                      CL A           36268Q103          119          35      X     28-5284         35
                                                              13,560       4,000      X   X 28-5284       4000

GALLAGHER ARTHUR J & CO        COM            363576109       13,729         522      X     28-5284        521                   1
                                                              19,462         740      X   X 28-5284        740

GAMESTOP CORP NEW              CL A           36467W109       57,796       2,502      X     28-5284       2005                 497
                                                             107,230       4,642      X   X 28-5284       4442                 200
                                                              63,918       2,767      X     28-13605      1032                1735
                                                               1,733          75      X     28-13663                            75

GANNETT INC                    COM            364730101       91,069       9,556      X     28-5284       4195                5361
                                                             236,239      24,789      X   X 28-5284      24789
                                                              47,250       4,958      X     28-13605      1473                3485
                                                              13,342       1,400      X   X 28-13605      1400
                                                                 848          89      X     28-13663                            89
                                                               3,774         396      X   X 28-13663                           396

GAP INC DEL                    COM            364760108      377,369      23,237      X     28-5284      19881                3356
                                                              99,519       6,128      X   X 28-5284       3668                2460
                                                             114,443       7,047      X     28-13605      2280                4767
                                                               3,573         220      X   X 28-13605       220

GARDNER DENVER INC             COM            365558105      206,474       3,249      X   X 28-5284        529                2720
                                                               9,533         150      X     28-13605                           150
                                                              34,317         540      X   X 28-13605       540
               COLUMN TOTAL                                1,791,527







                                                                                                                   FILE NO. 28-1235
 PAGE   104 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GARTNER INC                    COM            366651107       32,359         928      X   X 28-5284        928
                                                               1,813          52      X   X 28-13605        52

GASTAR EXPL LTD                COM NEW        367299203        3,000       1,000      X     28-5284       1000

GAYLORD ENTMT CO NEW           COM            367905106       19,340       1,000      X     28-5284       1000

GEN-PROBE INC NEW              COM            36866T103      108,832       1,901      X   X 28-5284       1901

GENCORP INC                    COM            368682100        1,886         420      X     28-5284                            420
                                                               7,633       1,700      X   X 28-5284       1700

GENERAL AMERN INVS INC         COM            368802104      124,604       5,427      X   X 28-5284       5427

GENERAL CABLE CORP DEL NEW     COM            369300108        8,359         358      X   X 28-5284        358

GENERAL COMMUNICATION INC      CL A           369385109        4,838         590      X     28-5284        300                 290

GENERAL DYNAMICS CORP          COM            369550108   10,679,505     187,722      X     28-5284     185243                2479
                                                           6,142,527     107,972      X   X 28-5284     104814                3158
                                                           4,874,506      85,683      X     28-13605     82028                3655
                                                             709,817      12,477      X   X 28-13605      5977                6500
                                                               9,956         175      X     28-13663       103                  72

GENERAL ELECTRIC CO            COM            369604103  166,434,688  10,935,262      X     28-5284   10758055              177207
                                                         195,600,713  12,851,558      X   X 28-5284   11907578     12620    931360
                                                          49,942,619   3,281,381      X     28-13605   2861646              419735
                                                          23,546,116   1,547,051      X   X 28-13605   1461253      2920     82878
                                                             995,890      65,433      X     28-13663     62337                3096
                                                           3,061,518     201,151      X   X 28-13663    199110                2041

GENERAL GROWTH PPTYS INC NEW   COM            370023103       19,372       1,601      X   X 28-5284       1601

GENERAL MLS INC                COM            370334104   44,004,847   1,143,280      X     28-5284    1128129               15151
                                                          41,239,264   1,071,428      X   X 28-5284    1029355      3200     38873
                                                           7,330,921     190,463      X     28-13605    182504                7959
                                                           5,510,921     143,178      X   X 28-13605    142878                 300
                                                             622,037      16,161      X     28-13663     15734                 427
                                                             650,866      16,910      X   X 28-13663     16910
               COLUMN TOTAL                              561,688,747







                                                                                                                   FILE NO. 28-1235
 PAGE   105 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 MTRS CO                COM            37045V100       84,534       4,189      X     28-5284       4189
                                                             443,193      21,962      X   X 28-5284      21962
                                                             109,598       5,431      X     28-13605      5431
                                                             105,138       5,210      X   X 28-13663      5210

GENERAL MTRS CO                *W EXP 07/10/2 37045V118        2,130         183      X     28-5284        183
                                                               3,387         291      X   X 28-5284        291
                                                              55,348       4,755      X     28-13605      4755

GENERAL MTRS CO                *W EXP 07/10/2 37045V126        1,451         183      X     28-5284        183
                                                               2,308         291      X   X 28-5284        291
                                                              37,707       4,755      X     28-13605      4755

GENERAL STEEL HOLDINGS INC     COM            370853103       29,750      25,000      X     28-5284      25000

GENESCO INC                    COM            371532102       46,841         909      X     28-5284        759                 150
                                                              12,883         250      X   X 28-5284        250
                                                             250,797       4,867      X     28-13605      4867

GENESEE & WYO INC              CL A           371559105       23,260         500      X     28-5284        500
                                                             814,100      17,500      X   X 28-5284      11500                6000
                                                             929,981      19,991      X     28-13605     17022                2969
                                                               3,675          79      X   X 28-13605        79

GENTEX CORP                    COM            371901109      102,333       4,255      X     28-5284       4255
                                                              28,331       1,178      X   X 28-5284       1178

GENESIS ENERGY L P             UNIT LTD PARTN 371927104       12,105         500      X     28-5284        500
                                                             348,624      14,400      X   X 28-5284      12400                2000

GENOMIC HEALTH INC             COM            37244C101      219,800      10,000      X     28-5284      10000

GENON ENERGY INC               COM            37244E107           22           8      X     28-5284          8
                                                               2,024         728      X   X 28-5284        728
                                                                 475         171      X     28-13605       171
                                                                  53          19      X   X 28-13605        19

GENVEC INC                     COM NEW        37246C307          702         243      X   X 28-13605       243
               COLUMN TOTAL                                3,670,550







                                                                                                                   FILE NO. 28-1235
 PAGE   106 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GENUINE PARTS CO               COM            372460105    2,390,394      47,055      X     28-5284      44657                2398
                                                           3,017,164      59,393      X   X 28-5284      54086                5307
                                                             159,309       3,136      X     28-13605      1138                1998
                                                              71,120       1,400      X   X 28-13605      1400
                                                             209,753       4,129      X     28-13663      4000                 129
                                                              15,342         302      X   X 28-13663       302

GENTIVA HEALTH SERVICES INC    COM            37247A102          442          80      X     28-13605        80

GENWORTH FINL INC              COM CL A       37247D106       31,570       5,500      X     28-5284                           5500
                                                              15,544       2,708      X   X 28-5284       2708
                                                              45,616       7,947      X     28-13605      2362                5585
                                                               4,104         715      X     28-13663                           715

GEOEYE INC                     COM            37250W108        8,505         300      X     28-13605       300

GERON CORP                     COM            374163103          742         350      X   X 28-5284        350

GETTY RLTY CORP NEW            COM            374297109       12,935         897      X     28-5284        897
                                                             103,564       7,182      X   X 28-5284       7182

GIBRALTAR INDS INC             COM            374689107       21,559       2,655      X   X 28-5284                           2655

GILEAD SCIENCES INC            COM            375558103    9,024,453     232,589      X     28-5284     212058               20531
                                                           3,927,491     101,224      X   X 28-5284      94540                6684
                                                           5,067,629     130,609      X     28-13605    120463               10146
                                                           1,971,350      50,808      X   X 28-13605     50808
                                                              44,387       1,144      X     28-13663       900                 244
                                                               7,178         185      X   X 28-13663        50                 135

GILDAN ACTIVEWEAR INC          COM            375916103      829,903      32,117      X     28-13605     26773                5344
                                                              15,013         581      X   X 28-13605       581

GLACIER BANCORP INC NEW        COM            37637Q105       88,537       9,449      X     28-5284        300                9149
                                                               2,895         309      X   X 28-5284                            309
                                                              14,055       1,500      X   X 28-13605      1500
                                                               3,673         392      X     28-13663                           392

GLADSTONE COML CORP            COM            376536108       10,976         700      X     28-5284        700
                                                               8,546         545      X   X 28-5284        545
               COLUMN TOTAL                               27,123,749







                                                                                                                   FILE NO. 28-1235
 PAGE   107 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GLATFELTER                     COM            377316104    4,024,228     304,635      X     28-5284     304235                 400
                                                          14,403,471   1,090,346      X   X 28-5284    1088146                2200
                                                             218,797      16,563      X     28-13605     16563

GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105   10,174,930     246,426      X     28-5284     242231                4195
                                                          15,903,752     385,172      X   X 28-5284     347540     17000     20632
                                                           1,395,850      33,806      X     28-13605     33806
                                                           2,209,717      53,517      X   X 28-13605     42137               11380
                                                              16,516         400      X   X 28-13663       400

GLOBALSTAR INC                 COM            378973408       12,270      30,000      X   X 28-13605     30000

GLOBALSCAPE INC                COM            37940G109        7,750       5,000      X     28-13605      5000

GLOBAL PMTS INC                COM            37940X102      554,635      13,732      X     28-5284      13732
                                                              31,464         779      X   X 28-5284        779
                                                             245,935       6,089      X     28-13605      6089
                                                               5,533         137      X   X 28-13605       137

GLOBAL GEOPHYSICAL SVCS INC    COM            37946S107      105,276      13,209      X     28-5284                          13209
                                                               3,579         449      X   X 28-5284                            449
                                                               4,511         566      X     28-13663                           566

GLOBAL X FDS                   CHINA CONS ETF 37950E408      191,619      15,100      X   X 28-5284      15100

GLOBAL X FDS                   SILVER MNR ETF 37950E853        3,644         175      X     28-5284        175
                                                              18,738         900      X   X 28-5284        900

GOL LINHAS AEREAS INTLG S A    SP ADR REP PFD 38045R107       12,232       2,200      X   X 28-5284       2200

GOLD FIELDS LTD NEW            SPONSORED ADR  38059T106      156,157      10,193      X     28-5284       2875                7318
                                                             146,643       9,572      X   X 28-5284                           9572
                                                               2,666         174      X   X 28-13605       174

GOLD RESOURCE CORP             COM            38068T105       23,443       1,408      X     28-5284       1408

GOLDCORP INC NEW               COM            380956409      512,948      11,239      X     28-5284      11239
                                                             452,475       9,914      X   X 28-5284       9914
                                                             214,919       4,709      X     28-13605      4709
                                                              53,171       1,165      X   X 28-13605      1165

GOLDEN ENTERPRISES INC         COM            381010107          322         100      X     28-5284        100
               COLUMN TOTAL                               51,107,191







                                                                                                                   FILE NO. 28-1235
 PAGE   108 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GOLDEN STAR RES LTD CDA        COM            38119T104        1,860       1,000      X     28-5284       1000

GOLDMAN SACHS GROUP INC        COM            38141G104   20,588,452     217,752      X     28-5284     196395               21357
                                                          11,318,959     119,714      X   X 28-5284      97298      1100     21316
                                                           4,717,667      49,896      X     28-13605     34918               14978
                                                             837,524       8,858      X   X 28-13605      8687        95        76
                                                             321,565       3,401      X     28-13663      1457                1944
                                                             215,858       2,283      X   X 28-13663      2280                   3

GOODRICH CORP                  COM            382388106    4,005,973      33,195      X     28-5284      32705                 490
                                                           2,832,601      23,472      X   X 28-5284      20686                2786
                                                             768,732       6,370      X     28-13605      4725                1645
                                                             185,485       1,537      X   X 28-13605      1537
                                                              14,723         122      X     28-13663       100                  22
                                                              52,979         439      X   X 28-13663       400                  39

GOODYEAR TIRE & RUBR CO        COM            382550101       19,332       1,916      X     28-5284       1900                  16
                                                              28,101       2,785      X   X 28-5284       2673                 112
                                                              36,627       3,630      X     28-13605       797                2833
                                                              23,207       2,300      X   X 28-13605      2300
                                                                 747          74      X     28-13663                            74

GOOGLE INC                     CL A           38259P508   63,481,255     123,255      X     28-5284     114243                9012
                                                          26,599,241      51,645      X   X 28-5284      44983       399      6263
                                                          41,395,825      80,374      X     28-13605     76155                4219
                                                           8,299,355      16,114      X   X 28-13605     15402                 712
                                                             989,392       1,921      X     28-13663      1255                 666
                                                             411,002         798      X   X 28-13663       776                  22

GORMAN RUPP CO                 COM            383082104      126,536       5,125      X     28-5284       5125
                                                             149,671       6,062      X     28-13605      6062

GOVERNMENT PPTYS INCOME TR     COM SHS BEN IN 38376A103       95,160       4,424      X     28-5284                           4424
                                                              25,812       1,200      X   X 28-5284       1200
                                                              43,020       2,000      X   X 28-13663      2000

GRACE W R & CO DEL NEW         COM            38388F108       40,027       1,202      X   X 28-5284        544                 658
                                                             282,684       8,489      X     28-13605      8489
                                                               7,326         220      X   X 28-13605       220
               COLUMN TOTAL                              187,916,698







                                                                                                                   FILE NO. 28-1235
 PAGE   109 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GRACO INC                      COM            384109104      191,696       5,615      X     28-5284       5615
                                                           1,301,144      38,112      X   X 28-5284      36547                1565
                                                             126,659       3,710      X     28-13605      3710
                                                             368,712      10,800      X   X 28-13605     10800

GRAFTECH INTL LTD              COM            384313102       30,544       2,405      X     28-5284       2405
                                                              21,666       1,706      X   X 28-5284       1706

GRAINGER W W INC               COM            384802104   16,110,393     107,733      X     28-5284     103716                4017
                                                           4,317,668      28,873      X   X 28-5284      22698                6175
                                                           1,270,492       8,496      X     28-13605      7778                 718
                                                             516,661       3,455      X   X 28-13605      3350                 105
                                                             126,511         846      X     28-13663       570                 276

GRAN TIERRA ENERGY INC         COM            38500T101          954         200      X   X 28-5284        200

GRAND CANYON ED INC            COM            38526M106      389,909      24,143      X     28-5284                          24143
                                                              13,308         824      X   X 28-5284                            824
                                                              16,651       1,031      X     28-13663                          1031

GRANITE CONSTR INC             COM            387328107          657          35      X   X 28-13605        35

GREAT SOUTHN BANCORP INC       COM            390905107       16,780       1,000      X     28-5284       1000

GREAT NORTHN IRON ORE PPTYS    CTFS BEN INT   391064102       20,339         195      X     28-5284        195
                                                               4,694          45      X   X 28-5284         45

GREAT PLAINS ENERGY INC        COM            391164100      155,481       8,056      X     28-5284       8055                   1
                                                              34,759       1,801      X   X 28-5284       1801
                                                              26,055       1,350      X   X 28-13605      1350

GREAT WOLF RESORTS INC         COM            391523107          256         100      X   X 28-5284        100

GREATBATCH INC                 COM            39153L106      260,470      13,017      X     28-13605     13017

GREATER CHINA FD INC           COM            39167B102       35,858       3,674      X     28-5284       3674

GREEN DOT CORP                 CL A           39304D102        5,700         182      X   X 28-5284        182
               COLUMN TOTAL                               25,364,017







                                                                                                                   FILE NO. 28-1235
 PAGE   110 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GREEN MTN COFFEE ROASTERS IN   COM            393122106    1,859,172      20,004      X     28-5284      20004
                                                             376,314       4,049      X   X 28-5284       4049
                                                           4,141,221      44,558      X     28-13605     44215                 343
                                                             587,846       6,325      X   X 28-13605      6325
                                                              65,058         700      X     28-13663       100                 600

GREENBRIER COS INC             COM            393657101        5,825         500      X   X 28-5284                            500

GREENHAVEN CONT CMDTY INDEX    UNIT BEN INT   395258106        8,222         271      X     28-5284        271
                                                              30,340       1,000      X   X 28-5284       1000
                                                              18,052         595      X   X 28-13605                           595

GREENHILL & CO INC             COM            395259104       18,898         661      X     28-5284        661

GREIF INC                      CL A           397624107       51,468       1,200      X     28-5284       1200
                                                             107,225       2,500      X   X 28-5284       2500
                                                             261,672       6,101      X     28-13605      6101

GRIFFON CORP                   COM            398433102        2,798         342      X     28-5284          2                 340
                                                             267,192      32,664      X     28-13605     32664

GROUP 1 AUTOMOTIVE INC         COM            398905109        4,977         140      X     28-5284                            140
                                                             102,135       2,873      X     28-13605      2873

GROUPE CGI INC                 CL A SUB VTG   39945C109        1,994         106      X     28-5284        106

GRUPO FINANCIERO GALICIA S A   SP ADR 10 SH B 399909100       94,823      11,452      X     28-13605     11452

GRUBB & ELLIS CO               COM PAR $0.01  400095204        1,692       4,000      X   X 28-5284       4000

GRUPO TELEVISA SA DE CV        SP ADR REP ORD 40049J206        3,678         200      X   X 28-13605                           200

GRUPO TMM S A B                SP ADR 5 A SHS 40051D303        5,400       3,000      X   X 28-13605      3000

GUANWEI RECYCLING CORP         COM            400685103        2,840       2,000      X     28-5284       2000

GUESS INC                      COM            401617105       16,325         573      X     28-5284        573
                                                              15,242         535      X   X 28-5284        535

GULFMARK OFFSHORE INC          CL A NEW       402629208       18,170         500      X   X 28-5284        500

GULFPORT ENERGY CORP           COM NEW        402635304        2,418         100      X   X 28-5284        100
               COLUMN TOTAL                                8,070,997







                                                                                                                   FILE NO. 28-1235
 PAGE   111 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 & E EQUIPMENT SERVICES INC   COM            404030108        8,753       1,061      X     28-5284       1061

H & Q HEALTHCARE INVESTORS     SH BEN INT     404052102        7,127         542      X     28-5284        542

H & Q LIFE SCIENCES INVS       SH BEN INT     404053100       79,705       7,620      X     28-5284       7620

HCA HOLDINGS INC               COM            40412C101       13,386         664      X   X 28-5284        664

HCC INS HLDGS INC              COM            404132102      283,673      10,487      X     28-5284       1826                8661
                                                              21,207         784      X   X 28-5284        784
                                                              82,367       3,045      X   X 28-13605      3000                  45

HCP INC                        COM            40414L109    1,613,742      46,028      X     28-5284      44050                1978
                                                           2,342,218      66,806      X   X 28-5284      57836                8970
                                                             327,776       9,349      X     28-13605      4058                5291
                                                              87,089       2,484      X   X 28-13605      2484
                                                               5,154         147      X     28-13663                           147
                                                              21,036         600      X   X 28-13663       600

HDFC BANK LTD                  ADR REPS 3 SHS 40415F101          583          20      X   X 28-5284         20

HMS HLDGS CORP                 COM            40425J101      433,313      17,766      X     28-13605     17766
                                                             951,210      39,000      X   X 28-13605     39000

HNI CORP                       COM            404251100       83,005       4,339      X     28-5284       4339
                                                              19,130       1,000      X   X 28-5284                           1000

HSBC HLDGS PLC                 SPON ADR NEW   404280406    1,313,293      34,524      X     28-5284      12872               21652
                                                             534,918      14,062      X   X 28-5284      11702        70      2290
                                                              15,216         400      X     28-13605       400
                                                              33,019         868      X   X 28-13605       868
                                                              22,177         583      X     28-13663                           583
                                                             152,160       4,000      X   X 28-13663      4000

HSBC HLDGS PLC                 ADR A 1/40PF A 404280604       95,634       4,200      X     28-5284       4200
                                                              63,642       2,795      X   X 28-5284       2795
                                                              31,878       1,400      X   X 28-13605      1400

HSN INC                        COM            404303109          298           9      X     28-5284          9
                                                                 398          12      X   X 28-5284         12
                                                               2,120          64      X   X 28-13605        64
               COLUMN TOTAL                                8,645,227







                                                                                                                   FILE NO. 28-1235
 PAGE   112 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HAEMONETICS CORP               COM            405024100        9,357         160      X     28-5284                            160
                                                              11,696         200      X   X 28-5284        200
                                                             109,942       1,880      X     28-13605      1880

HAIN CELESTIAL GROUP INC       COM            405217100    1,100,411      36,020      X     28-5284       1410               34610
                                                             499,706      16,357      X   X 28-5284        500               15857
                                                              87,679       2,870      X     28-13663                          2870

HALLIBURTON CO                 COM            406216101    5,040,897     165,167      X     28-5284     103565               61602
                                                           5,449,621     178,559      X   X 28-5284     151517               27042
                                                           1,310,895      42,952      X     28-13605     32290               10662
                                                           1,272,898      41,707      X   X 28-13605     33879                7828
                                                             157,331       5,155      X     28-13663                          5155

HAMPTON ROADS BANKSHARES INC   COM NEW        409321502        1,692         360      X   X 28-13605       360

JOHN HANCOCK BK &THRIFT OPP    SH BEN INT NEW 409735206       31,175       2,500      X   X 28-5284       2500

HANCOCK HLDG CO                COM            410120109       28,928       1,079      X   X 28-13605      1079

HANCOCK JOHN INCOME SECS TR    COM            410123103        4,536         300      X     28-5284        300

HANCOCK JOHN PREMUIM DIV FD    COM SH BEN INT 41013T105      359,272      30,115      X     28-5284      30115
                                                               2,386         200      X     28-13605       200
                                                               2,386         200      X   X 28-13605       200

HANCOCK JOHN TAX-ADV DIV INC   COM            41013V100       36,324       2,324      X     28-5284       2324

HANCOCK JOHN INVS TR           COM            410142103        9,648         450      X     28-13605       450

HANESBRANDS INC                COM            410345102       79,382       3,174      X     28-5284       3154                  20
                                                             158,738       6,347      X   X 28-5284       6316                  31
                                                               6,253         250      X   X 28-13605       250

HANGER ORTHOPEDIC GROUP INC    COM NEW        41043F208        1,530          81      X     28-13605        81

HANOVER INS GROUP INC          COM            410867105       93,294       2,628      X     28-5284       2628
                                                              41,393       1,166      X   X 28-5284        475                 691

HANSEN NAT CORP                COM            411310105      236,119       2,705      X     28-5284       2705
                                                              59,794         685      X   X 28-5284        685
                                                             174,580       2,000      X     28-13605      2000
                                                             152,758       1,750      X   X 28-13605                          1750
               COLUMN TOTAL                               16,530,621







                                                                                                                   FILE NO. 28-1235
 PAGE   113 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HARLEY DAVIDSON INC            COM            412822108      511,242      14,892      X     28-5284      14022                 870
                                                           1,430,600      41,672      X   X 28-5284      34254                7418
                                                             148,580       4,328      X     28-13605      1745                2583
                                                              15,449         450      X   X 28-13605       450
                                                               1,614          47      X     28-13663                            47
                                                               3,845         112      X   X 28-13663                           112

HARLEYSVILLE GROUP INC         COM            412824104       95,942       1,630      X     28-5284       1630
                                                             185,409       3,150      X   X 28-5284       3150

HARMAN INTL INDS INC           COM            413086109      273,453       9,568      X     28-5284                           9568
                                                             135,469       4,740      X   X 28-5284       3424                1316
                                                              32,238       1,128      X     28-13605       334                 794
                                                              12,089         423      X     28-13663                           423

HARMONIC INC                   COM            413160102        3,621         850      X     28-5284                            850
                                                              26,412       6,200      X   X 28-5284       2200                4000
                                                                 469         110      X     28-13605       110
                                                               3,621         850      X   X 28-13605       850

HARMONY GOLD MNG LTD           SPONSORED ADR  413216300       22,874       1,950      X     28-5284       1950
                                                               5,865         500      X   X 28-5284        500

HARRIS & HARRIS GROUP INC      COM            413833104       35,500      10,000      X   X 28-5284      10000
                                                              10,650       3,000      X   X 28-13605      3000

HARRIS CORP DEL                COM            413875105      523,177      15,311      X     28-5284      14497                 814
                                                             538,963      15,773      X   X 28-5284      11898                3875
                                                             144,744       4,236      X     28-13605      2801                1435
                                                             153,765       4,500      X   X 28-13605                          4500
                                                               3,246          95      X   X 28-13663                            95

HARSCO CORP                    COM            415864107      228,337      11,776      X     28-5284       9596                2180
                                                             105,113       5,421      X   X 28-5284       4571                 850
                                                              45,547       2,349      X     28-13605      2349
                                                              14,077         726      X   X 28-13605       726

HARTFORD FINL SVCS GROUP INC   COM            416515104      155,170       9,614      X     28-5284       7082                2532
                                                             160,157       9,923      X   X 28-5284       8299                1624
                                                             128,168       7,941      X     28-13605      2916                5025
                                                              87,866       5,444      X   X 28-13605      1444                4000

HARTFORD FINL SVCS GROUP INC   DEP CONV PFD   416515708        5,778         300      X   X 28-13605       300
               COLUMN TOTAL                                5,249,050







                                                                                                                   FILE NO. 28-1235
 PAGE   114 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HASBRO INC                     COM            418056107    1,768,538      54,233      X     28-5284      53085                1148
                                                             611,014      18,737      X   X 28-5284      16137                2600
                                                             115,015       3,527      X     28-13605      1991                1536
                                                              28,208         865      X   X 28-13605       865
                                                                 750          23      X     28-13663                            23
                                                             107,613       3,300      X   X 28-13663      3300

HATTERAS FINL CORP             COM            41902R103       98,099       3,899      X     28-5284       3899
                                                              40,256       1,600      X   X 28-5284       1600
                                                             263,274      10,464      X     28-13605     10464
                                                               5,032         200      X   X 28-13605       200

HAWAIIAN ELEC INDUSTRIES       COM            419870100        9,712         400      X     28-5284        400
                                                             275,068      11,329      X   X 28-5284      10329                1000
                                                              19,424         800      X   X 28-13605       800

HEALTHCARE SVCS GRP INC        COM            421906108      254,205      15,750      X   X 28-5284       3000               12750
                                                              24,210       1,500      X     28-13605                          1500
                                                             159,705       9,895      X   X 28-13605      9895

HEALTHSOUTH CORP               COM NEW        421924309        1,090          73      X     28-5284         73

HEALTH MGMT ASSOC INC NEW      CL A           421933102      229,197      33,121      X     28-5284       2080               31041
                                                               7,238       1,046      X   X 28-5284                           1046
                                                             500,268      72,293      X     28-13605     72293
                                                               9,183       1,327      X     28-13663                          1327

HEALTHCARE RLTY TR             COM            421946104       17,440       1,035      X     28-5284       1035
                                                               9,268         550      X   X 28-5284        550
                                                               6,740         400      X     28-13605       400

HEALTH CARE REIT INC           NOTE  4.750% 7 42217KAQ9      319,500       3,000      X     28-13605      3000

HEALTH CARE REIT INC           COM            42217K106   13,247,255     283,061      X     28-5284     282242                 819
                                                           9,831,838     210,082      X   X 28-5284     202537                7545
                                                           3,803,717      81,276      X     28-13605     78880                2396
                                                           1,197,004      25,577      X   X 28-13605     24424       685       468
                                                             334,292       7,143      X     28-13663      7100                  43
                                                             289,458       6,185      X   X 28-13663      6185

HEALTH NET INC                 COM            42222G108        9,816         414      X     28-5284        414
                                                               7,137         301      X   X 28-5284        301
               COLUMN TOTAL                               33,600,564







                                                                                                                   FILE NO. 28-1235
 PAGE   115 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HEALTHSTREAM INC               COM            42222N103       84,409       6,579      X     28-13605      6579

HEALTHSPRING INC               COM            42224N101       27,309         749      X   X 28-5284        749
                                                             217,921       5,977      X     28-13605      5977

HEALTHWAYS INC                 COM            422245100       18,009       1,832      X     28-5284       1832
                                                              12,779       1,300      X   X 28-5284                           1300
                                                               1,543         157      X   X 28-13605       157

HEARTLAND FINL USA INC         COM            42234Q102        4,254         300      X     28-5284        300

HEARTLAND EXPRESS INC          COM            422347104        5,600         413      X     28-5284                            413
                                                             151,872      11,200      X   X 28-5284                          11200

HEARTLAND PMT SYS INC          COM            42235N108       35,437       1,797      X   X 28-5284       1797

HECKMANN CORP                  COM            422680108       21,160       4,000      X     28-5284       4000

HECLA MNG CO                   COM            422704106        5,692       1,062      X     28-5284       1062
                                                               5,494       1,025      X   X 28-5284       1025

HECLA MNG CO                   PFD CV SER B   422704205       10,598         200      X   X 28-5284        200
                                                               2,650          50      X     28-13605        50

HEICO CORP NEW                 COM            422806109        7,681         156      X   X 28-5284        156
                                                           1,943,601      39,472      X     28-13605     36096                3376
                                                               7,632         155      X   X 28-13605       155

HEIDRICK & STRUGGLES INTL IN   COM            422819102        1,810         110      X     28-5284                            110

HEINZ H J CO                   COM            423074103   27,936,238     553,412      X     28-5284     548918                4494
                                                          37,227,990     737,480      X   X 28-5284     689152               48328
                                                           1,039,989      20,602      X     28-13605     16616                3986
                                                           1,441,204      28,550      X   X 28-13605      7744               20806
                                                             610,657      12,097      X     28-13663     11975                 122
                                                             366,182       7,254      X   X 28-13663      7254

HELIOS STRATEGIC INCOME FD I   COM NEW        42328A203        4,788         900      X   X 28-5284        900

HELIX ENERGY SOLUTIONS GRP I   COM            42330P107       34,204       2,611      X     28-5284       2611
               COLUMN TOTAL                               71,226,703







                                                                                                                   FILE NO. 28-1235
 PAGE   116 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HELMERICH & PAYNE INC          COM            423452101      445,666      10,977      X     28-5284       2619                8358
                                                             674,163      16,605      X   X 28-5284       8805                7800
                                                              82,377       2,029      X     28-13605       596                1433
                                                              21,721         535      X     28-13663                           535

HENRY JACK & ASSOC INC         COM            426281101          667          23      X     28-5284         23
                                                              60,858       2,100      X   X 28-5284       1500                 600

HERCULES OFFSHORE INC          COM            427093109          146          50      X   X 28-5284         50

HERCULES TECH GROWTH CAP INC   COM            427096508        9,892       1,161      X     28-5284       1161

HERSHEY CO                     COM            427866108   37,011,789     624,777      X     28-5284     616065                8712
                                                           7,884,962     133,102      X   X 28-5284     124627      1800      6675
                                                          35,569,177     600,425      X     28-13605    588147               12278
                                                           7,937,390     133,987      X   X 28-13605    128385                5602
                                                             142,828       2,411      X     28-13663      2390                  21
                                                             130,328       2,200      X   X 28-13663      2200

HERTZ GLOBAL HOLDINGS INC      COM            42805T105        1,193         134      X     28-5284        134
                                                              31,310       3,518      X   X 28-5284       3518
                                                               1,255         141      X   X 28-13605       141

HESS CORP                      COM            42809H107    3,085,540      58,817      X     28-5284      57830                 987
                                                           2,149,076      40,966      X   X 28-5284      37427                3539
                                                             395,916       7,547      X     28-13605      3963                3584
                                                              60,119       1,146      X   X 28-13605      1146
                                                              11,751         224      X     28-13663       175                  49
                                                              20,459         390      X   X 28-13663       390

HEWLETT PACKARD CO             COM            428236103   18,878,968     840,934      X     28-5284     822044               18890
                                                          19,601,320     873,110      X   X 28-5284     808387               64723
                                                           3,592,359     160,016      X     28-13605    135500               24516
                                                           2,128,327      94,803      X   X 28-13605     91184                3619
                                                             154,187       6,868      X     28-13663      6369                 499
                                                             175,671       7,825      X   X 28-13663      7825

HEXCEL CORP NEW                COM            428291108       75,455       3,405      X     28-5284       3405
                                                             346,804      15,650      X   X 28-5284       3000               12650
                                                             215,262       9,714      X     28-13605      9714
                                                               6,360         287      X   X 28-13605       287

HIGHLAND CR STRATEGIES FD      COM            43005Q107       20,150       3,250      X   X 28-5284       3250
               COLUMN TOTAL                              140,923,446







                                                                                                                   FILE NO. 28-1235
 PAGE   117 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HIGHWOODS PPTYS INC            COM            431284108      203,472       7,200      X     28-5284       7200
                                                                 254           9      X   X 28-5284          9

HILL ROM HLDGS INC             COM            431475102    6,194,897     206,359      X     28-5284     206359
                                                           9,885,256     329,289      X   X 28-5284        248              329041

HILLENBRAND INC                COM            431571108    5,687,606     309,109      X     28-5284     309109
                                                           9,042,827     491,458      X   X 28-5284                         491458
                                                              18,400       1,000      X   X 28-13605      1000

HITACHI LIMITED                ADR 10 COM     433578507        9,291         188      X     28-5284        188
                                                               7,413         150      X   X 28-5284                            150

HITTITE MICROWAVE CORP         COM            43365Y104       34,090         700      X   X 28-5284                            700

HOLLY ENERGY PARTNERS L P      COM UT LTD PTN 435763107       19,676         400      X     28-5284        400
                                                               4,919         100      X   X 28-5284        100

HOLLYFRONTIER CORP             COM            436106108      148,615       5,668      X     28-5284       5668
                                                              45,675       1,742      X   X 28-5284       1742
                                                           1,734,741      66,161      X     28-13605     66161
                                                               1,809          69      X   X 28-13605        69

HOLOGIC INC                    COM            436440101       63,061       4,146      X     28-5284       4146
                                                              44,322       2,914      X   X 28-5284       2914

HOME BANCSHARES INC            COM            436893200    1,303,163      61,412      X     28-13605     50183               11229
                                                               5,729         270      X   X 28-13605       270

HOME DEPOT INC                 COM            437076102   48,831,015   1,485,580      X     28-5284    1469574               16006
                                                          33,025,672   1,004,736      X   X 28-5284     960385      2700     41651
                                                           4,590,657     139,661      X     28-13605    122908               16753
                                                           3,128,468      95,177      X   X 28-13605     89975       495      4707
                                                             402,132      12,234      X     28-13663      9826                2408
                                                             121,323       3,691      X   X 28-13663      3490                 201

HOME INNS & HOTELS MGMT INC    SPON ADR       43713W107        4,510         175      X     28-5284        175

HOME PROPERTIES INC            COM            437306103       82,302       1,450      X     28-5284        100                1350
                                                              45,408         800      X   X 28-5284        300                 500
                                                              26,904         474      X     28-13605       474
               COLUMN TOTAL                              124,713,607







                                                                                                                   FILE NO. 28-1235
 PAGE   118 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HONDA MOTOR LTD                AMERN SHS      438128308      900,677      30,898      X     28-5284      30368                 530
                                                             933,645      32,029      X   X 28-5284      22929                9100
                                                              24,486         840      X     28-13605       840
                                                               7,579         260      X   X 28-13605       260
                                                              14,575         500      X   X 28-13663       500

HONEYWELL INTL INC             COM            438516106   14,253,098     324,598      X     28-5284     314449               10149
                                                          12,951,913     294,965      X   X 28-5284     253019               41946
                                                           2,490,268      56,713      X     28-13605     47318                9395
                                                           1,257,143      28,630      X   X 28-13605     28630
                                                             167,297       3,810      X     28-13663      3550                 260
                                                             279,707       6,370      X   X 28-13663      6370

HORACE MANN EDUCATORS CORP N   COM            440327104      112,731       9,880      X     28-13605      9880

HORIZON LINES INC              COM            44044K101          514       1,200      X     28-5284       1200
                                                                 321         750      X   X 28-5284        750

HORIZON TECHNOLOGY FIN CORP    COM            44045A102      106,681       7,277      X   X 28-5284       5277      2000

HORMEL FOODS CORP              COM            440452100      462,636      17,122      X     28-5284      15900                1222
                                                           1,572,240      58,188      X   X 28-5284      58168                  20
                                                             102,514       3,794      X     28-13605      2213                1581
                                                               1,648          61      X   X 28-13605        61
                                                              61,984       2,294      X     28-13663      2000                 294

HORNBECK OFFSHORE SVCS INC N   COM            440543106       24,910       1,000      X   X 28-5284       1000

HOSPITALITY PPTYS TR           COM SH BEN INT 44106M102       13,800         650      X     28-5284        650
                                                              79,655       3,752      X   X 28-5284       3665                  87
                                                               7,685         362      X     28-13605       362

HOSPIRA INC                    COM            441060100    2,126,686      57,478      X     28-5284      55991                1487
                                                           2,395,935      64,755      X   X 28-5284      60596                4159
                                                             150,775       4,075      X     28-13605      2228                1847
                                                             106,227       2,871      X   X 28-13605      2695                 176
                                                               3,774         102      X   X 28-13663       102
               COLUMN TOTAL                               40,611,104







                                                                                                                   FILE NO. 28-1235
 PAGE   119 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HOST HOTELS & RESORTS INC      COM            44107P104       74,228       6,785      X     28-5284       1222                5563
                                                              58,179       5,318      X   X 28-5284       5050                 268
                                                             123,403      11,280      X     28-13605      3710                7570
                                                               4,518         413      X   X 28-13605       413
                                                                 438          40      X     28-13663                            40
                                                               3,938         360      X   X 28-13663                           360

HOT TOPIC INC                  COM            441339108       25,561       3,350      X     28-5284       3000                 350

HOWARD HUGHES CORP             COM            44267D107        5,599         133      X   X 28-5284        133

HUANENG PWR INTL INC           SPON ADR H SHS 443304100        8,415         500      X     28-5284        500

HUB GROUP INC                  CL A           443320106      121,985       4,315      X     28-13605      4315

HUBBELL INC                    CL A           443510102       44,231         984      X     28-5284        984
                                                             346,924       7,718      X   X 28-5284       5068                2650

HUBBELL INC                    CL B           443510201      462,010       9,326      X     28-5284       9326
                                                             661,854      13,360      X   X 28-5284      11960                1400
                                                             104,034       2,100      X   X 28-13605      2100

HUDSON CITY BANCORP            COM            443683107    1,305,071     230,578      X     28-5284     226489                4089
                                                           1,171,914     207,052      X   X 28-5284     180468               26584
                                                             119,630      21,136      X     28-13605     13652                7484
                                                               9,758       1,724      X   X 28-13605      1724
                                                               7,777       1,374      X     28-13663       600                 774

HUGOTON RTY TR TEX             UNIT BEN INT   444717102       21,282       1,000      X     28-5284       1000
                                                             173,023       8,130      X     28-13605      8130

HUMANA INC                     COM            444859102    1,886,907      25,944      X     28-5284      24767                1177
                                                           1,018,875      14,009      X   X 28-5284      11580                2429
                                                             237,027       3,259      X     28-13605      1165                2094
                                                             796,321      10,949      X   X 28-13605     10949
                                                               3,637          50      X     28-13663                            50
                                                              85,094       1,170      X   X 28-13663      1170

HUMAN GENOME SCIENCES INC      COM            444903108      453,921      35,770      X     28-5284       2650               33120
                                                             164,970      13,000      X   X 28-5284        500               12500
                                                              30,075       2,370      X     28-13663                          2370
               COLUMN TOTAL                                9,530,599







                                                                                                                   FILE NO. 28-1235
 PAGE   120 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HUNT J B TRANS SVCS INC        COM            445658107       72,096       1,996      X     28-5284       1996
                                                              24,634         682      X   X 28-5284        682

HUNTINGTON BANCSHARES INC      COM            446150104      269,112      56,065      X     28-5284      47345                8720
                                                             153,893      32,061      X   X 28-5284      32061
                                                              74,558      15,533      X     28-13605      4574               10959
                                                               5,026       1,047      X     28-13663                          1047

HUNTINGTON BANCSHARES INC      PFD CONV SER A 446150401       46,200          44      X     28-5284         44

HUNTINGTON INGALLS INDS INC    COM            446413106      133,207       5,475      X     28-5284       5414                  61
                                                             144,472       5,938      X   X 28-5284       5918                  20
                                                              59,973       2,465      X     28-13605      2441                  24
                                                              31,629       1,300      X   X 28-13605      1300
                                                               8,102         333      X     28-13663       333
                                                               7,396         304      X   X 28-13663       290                  14

HUNTSMAN CORP                  COM            447011107       37,713       3,900      X     28-5284       3900
                                                              87,920       9,092      X   X 28-5284       7192                1900

HURON CONSULTING GROUP INC     COM            447462102      220,089       7,070      X   X 28-5284                           7070

HYATT HOTELS CORP              COM CL A       448579102       49,565       1,580      X     28-5284                           1580
                                                             235,306       7,501      X   X 28-5284        131                7370

IDT CORP                       CL B NEW       448947507      194,494       9,534      X     28-13605      9534

IAC INTERACTIVECORP            COM PAR $.001  44919P508       34,844         881      X     28-5284        881
                                                              68,975       1,744      X   X 28-5284        944                 800
                                                             275,861       6,975      X     28-13605      6975

ICF INTL INC                   COM            44925C103       18,302         973      X     28-5284         73                 900
                                                           1,289,068      68,531      X     28-13605     57029               11502
                                                               5,737         305      X   X 28-13605       305

ICG GROUP INC                  COM            44928D108           28           3      X   X 28-5284          3

ING PRIME RATE TR              SH BEN INT     44977W106        4,301         840      X     28-5284        840

IPG PHOTONICS CORP             COM            44980X109        9,817         226      X   X 28-5284        226

ING RISK MANAGED NAT RES FD    COM            449810100        6,235         500      X     28-5284        500
               COLUMN TOTAL                                3,568,553







                                                                                                                   FILE NO. 28-1235
 PAGE   121 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ING ASIA PAC HGH DIVID EQ IN   COM            44983J107       49,735       3,604      X     28-5284       3604

IPC THE HOSPITALIST CO INC     COM            44984A105        2,284          64      X     28-13605        64

ISTAR FINL INC                 COM            45031U101        5,820       1,000      X     28-5284       1000
                                                               5,820       1,000      X   X 28-5284       1000

ITT EDUCATIONAL SERVICES INC   COM            45068B109       14,740         256      X   X 28-5284        256
                                                               5,758         100      X     28-13605       100

IXIA                           COM            45071R109      240,140      31,309      X     28-5284                          31309
                                                               7,977       1,040      X   X 28-5284                           1040
                                                               9,917       1,293      X     28-13663                          1293

IBERIABANK CORP                COM            450828108      399,116       8,481      X     28-5284         50                8431
                                                              48,660       1,034      X   X 28-5284                           1034
                                                              17,036         362      X     28-13663                           362

ITT CORP NEW                   COM            450911102   16,600,626     395,253      X     28-5284     393882                1371
                                                           9,900,198     235,719      X   X 28-5284     218729      3290     13700
                                                           2,062,536      49,108      X     28-13605     46067                3041
                                                             804,930      19,165      X   X 28-13605     18845       300        20
                                                             100,380       2,390      X     28-13663      2270                 120
                                                             193,242       4,601      X   X 28-13663      4601

IAMGOLD CORP                   COM            450913108       12,620         638      X     28-5284        638

ICON PUB LTD CO                SPONSORED ADR  45103T107       45,233       2,813      X     28-5284       2813
                                                             212,256      13,200      X   X 28-5284                          13200

ICICI BK LTD                   ADR            45104G104    1,092,881      31,477      X     28-5284       5037               26440
                                                             123,603       3,560      X   X 28-5284        800                2760
                                                              23,957         690      X     28-13663                           690

ICONIX BRAND GROUP INC         COM            451055107        2,607         165      X   X 28-5284        165
                                                             281,651      17,826      X     28-13605     17826

IDACORP INC                    COM            451107106       21,232         562      X   X 28-5284        262                 300

IDENIX PHARMACEUTICALS INC     COM            45166R204       77,744      15,580      X   X 28-5284                          15580

IDEX CORP                      COM            45167R104       70,733       2,270      X     28-5284       2270
                                                              49,544       1,590      X   X 28-5284        390                1200
               COLUMN TOTAL                               32,482,976







                                                                                                                   FILE NO. 28-1235
 PAGE   122 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
IDEXX LABS INC                 COM            45168D104      835,227      12,110      X     28-5284       4530                7580
                                                             917,025      13,296      X   X 28-5284       2389       100     10807
                                                             214,704       3,113      X     28-13605      2863                 250
                                                             726,944      10,540      X   X 28-13605     10540

IGATE CORP                     COM            45169U105        1,016          88      X     28-13605        88

IHS INC                        CL A           451734107          374           5      X     28-5284          5
                                                              30,223         404      X   X 28-5284        404
                                                             231,911       3,100      X     28-13605      3100

ILLINOIS TOOL WKS INC          COM            452308109   22,401,558     538,499      X     28-5284     530072                8427
                                                          18,048,035     433,847      X   X 28-5284     343692               90155
                                                           4,176,432     100,395      X     28-13605     94665                5730
                                                           1,918,384      46,115      X   X 28-13605     40715                5400
                                                             237,037       5,698      X     28-13663      5679                  19
                                                             189,197       4,548      X   X 28-13663      4548

ILLUMINA INC                   COM            452327109    1,113,679      27,216      X     28-5284       4636               22580
                                                             655,661      16,023      X   X 28-5284       3423               12600
                                                              54,178       1,324      X     28-13605      1324
                                                              17,596         430      X   X 28-13605                           430
                                                              70,587       1,725      X     28-13663                          1725

IMATION CORP                   COM            45245A107           22           3      X     28-5284          3
                                                               2,076         284      X   X 28-5284        284
                                                               2,222         304      X   X 28-13605       304

IMAX CORP                      COM            45245E109          594          41      X     28-5284         41
                                                              22,806       1,575      X   X 28-5284       1575
                                                               1,376          95      X     28-13605        95

IMMUNOGEN INC                  COM            45253H101       21,920       2,000      X     28-5284       2000
                                                               5,480         500      X   X 28-5284        500

IMPAX LABORATORIES INC         COM            45256B101        3,904         218      X     28-5284        218
                                                              41,694       2,328      X   X 28-5284        928                1400
                                                               1,791         100      X     28-13605       100

IMPERIAL OIL LTD               COM NEW        453038408      308,199       8,535      X     28-5284       8535
                                                             304,443       8,431      X   X 28-5284       1531                6900
                                                              32,571         902      X     28-13605       902
                                                             415,265      11,500      X   X 28-13605      4000                7500
               COLUMN TOTAL                               53,004,131







                                                                                                                   FILE NO. 28-1235
 PAGE   123 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
IMPERIAL SUGAR CO NEW          COM NEW        453096208        6,440       1,000      X     28-5284       1000

INCYTE CORP                    COM            45337C102       15,367       1,100      X     28-5284       1100

INDIA FD INC                   COM            454089103       12,227         533      X     28-5284        533
                                                              42,095       1,835      X   X 28-5284       1835

INDEXIQ ETF TR                 GLB AGRI SM CP 45409B834       24,046       1,100      X     28-13605      1100

INERGY L P                     UNIT LTD PTNR  456615103      275,220      11,000      X     28-5284      11000
                                                             644,640      25,765      X   X 28-5284      23305                2460

INFORMATICA CORP               COM            45666Q102    1,788,655      43,679      X     28-5284      43479                 200
                                                           1,553,848      37,945      X   X 28-5284      37945
                                                           3,607,326      88,091      X     28-13605     87409                 682
                                                             530,180      12,947      X   X 28-13605     12947
                                                              57,330       1,400      X     28-13663      1400
                                                              40,950       1,000      X   X 28-13663      1000

INFOSYS LTD                    SPONSORED ADR  456788108       22,215         435      X     28-5284        435
                                                              71,345       1,397      X   X 28-5284        397                1000

ING GROEP N V                  SPONSORED ADR  456837103       58,797       8,340      X     28-5284       6076                2264
                                                              13,952       1,979      X   X 28-5284       1979

ING GLOBAL EQTY DIV & PREM O   COM            45684E107      116,704      12,603      X     28-5284      12603

INGERSOLL-RAND GLOBAL HLDG C   NOTE  4.500% 4 45687AAD4      320,000       2,000      X   X 28-5284       2000

INGRAM MICRO INC               CL A           457153104       13,033         808      X   X 28-5284        808
                                                             775,063      48,051      X     28-13605     48051
                                                              91,247       5,657      X   X 28-13605      5657

INLAND REAL ESTATE CORP        COM NEW        457461200        1,460         200      X     28-5284        200

INSIGHT ENTERPRISES INC        COM            45765U103        4,391         290      X     28-5284                            290

INSITUFORM TECHNOLOGIES INC    CL A           457667103        2,895         250      X     28-5284                            250
                                                             535,378      46,233      X     28-13605     35241               10992
                                                               2,235         193      X   X 28-13605       193
               COLUMN TOTAL                               10,627,039







                                                                                                                   FILE NO. 28-1235
 PAGE   124 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
INNOSPEC INC                   COM            45768S105       19,126         790      X     28-5284        790
                                                             277,350      11,456      X     28-13605     11456
                                                               2,421         100      X   X 28-13605                           100

INNOVATIVE SOLUTIONS & SUPPO   COM            45769N105        7,245       1,500      X     28-5284       1500

INNOPHOS HOLDINGS INC          COM            45774N108       10,090         253      X     28-5284        253

INTEGRA LIFESCIENCES HLDGS C   COM NEW        457985208      379,162      10,600      X     28-5284      10600
                                                              10,731         300      X   X 28-5284        300

INTEGRATED DEVICE TECHNOLOGY   COM            458118106       25,750       5,000      X     28-5284       5000
                                                              94,760      18,400      X     28-13605     18400

INTEL CORP                     COM            458140100  138,208,066   6,477,997      X     28-5284    6364173      2000    111824
                                                         105,262,474   4,933,793      X   X 28-5284    4557066      4500    372227
                                                          48,515,598   2,273,991      X     28-13605   1994511              279480
                                                          16,147,032     756,833      X   X 28-13605    717698      1475     37660
                                                           1,288,314      60,385      X     28-13663     56817                3568
                                                           1,693,572      79,380      X   X 28-13663     78081                1299

INTEGRYS ENERGY GROUP INC      COM            45822P105      253,018       5,204      X     28-5284       2063                3141
                                                             203,134       4,178      X   X 28-5284       4098                  80
                                                             207,607       4,270      X     28-13605      3406                 864
                                                               1,702          35      X   X 28-13605        35
                                                               1,896          39      X     28-13663                            39
                                                              97,240       2,000      X   X 28-13663      2000

INTER PARFUMS INC              COM            458334109      108,150       7,000      X     28-13605      7000

INTERCONTINENTAL HTLS GRP PL   SPONS ADR NEW  45857P301       46,536       2,894      X     28-5284       2894

INTERCONTINENTALEXCHANGE INC   COM            45865V100      774,366       6,548      X     28-5284       2140                4408
                                                             504,734       4,268      X   X 28-5284       1418                2850
                                                             192,173       1,625      X     28-13605       805                 820
                                                              16,438         139      X   X 28-13605                           139
                                                              44,939         380      X     28-13663                           380

INTERFACE INC                  CL A           458665106        4,507         380      X     28-5284                            380
                                                              59,300       5,000      X   X 28-5284       5000

INTERDIGITAL INC               COM            45867G101      158,791       3,409      X     28-5284       3409
                                                               8,431         181      X   X 28-5284        181
               COLUMN TOTAL                              314,624,653







                                                                                                                   FILE NO. 28-1235
 PAGE   125 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
INTERMUNE INC                  COM            45884X103    1,002,162      49,612      X     28-5284       5972               43640
                                                             440,158      21,790      X   X 28-5284       6060               15730
                                                              61,812       3,060      X     28-13663                          3060

INTERNATIONAL BANCSHARES COR   COM            459044103        3,945         300      X     28-5284        300

INTERNATIONAL BUSINESS MACHS   COM            459200101  255,421,242   1,460,635      X     28-5284    1436319        80     24236
                                                         247,536,879   1,415,548      X   X 28-5284    1344848      1720     68980
                                                          73,605,756     420,917      X     28-13605    401691               19226
                                                          39,874,732     228,025      X   X 28-13605    211100               16925
                                                           4,087,936      23,377      X     28-13663     21850                1527
                                                           8,197,206      46,876      X   X 28-13663     46780                  96

INTERNATIONAL FLAVORS&FRAGRA   COM            459506101      650,915      11,578      X     28-5284      11203                 375
                                                             256,195       4,557      X   X 28-5284       2028                2529
                                                             172,652       3,071      X     28-13605      2158                 913
                                                              78,708       1,400      X   X 28-13605      1400

INTERNATIONAL GAME TECHNOLOG   NOTE  3.250% 5 459902AQ5      460,000       4,000      X   X 28-5284       4000

INTERNATIONAL GAME TECHNOLOG   COM            459902102       45,610       3,139      X     28-5284       1975                1164
                                                              52,206       3,593      X   X 28-5284       2653                 940
                                                              66,765       4,595      X     28-13605      1637                2958
                                                               1,497         103      X     28-13663                           103

INTL PAPER CO                  COM            460146103    2,097,313      90,207      X     28-5284      82554                7653
                                                           1,098,005      47,226      X   X 28-5284      45902                1324
                                                             482,438      20,750      X     28-13605     15533                5217
                                                             322,036      13,851      X   X 28-13605     13109                 742
                                                              16,763         721      X     28-13663       360                 361
                                                              31,829       1,369      X   X 28-13663      1369

INTERNATIONAL RECTIFIER CORP   COM            460254105          763          41      X     28-5284         41
                                                               6,629         356      X   X 28-5284        356
                                                               1,862         100      X     28-13605       100

INTERNATIONAL SHIPHOLDING CO   COM NEW        460321201       36,980       2,000      X     28-5284       2000

INTERNATIONAL SPEEDWAY CORP    CL A           460335201          548          24      X   X 28-5284         24

INTERSIL CORP                  CL A           46069S109       70,589       6,860      X     28-5284                           6860
                                                              12,338       1,199      X   X 28-5284       1199
               COLUMN TOTAL                              636,194,469







                                                                                                                   FILE NO. 28-1235
 PAGE   126 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
INTERPUBLIC GROUP COS INC      COM            460690100       50,155       6,966      X     28-5284       4277                2689
                                                              39,967       5,551      X   X 28-5284       5551
                                                              57,233       7,949      X     28-13605      2349                5600
                                                                  14           2      X   X 28-13605         2
                                                               3,420         475      X   X 28-13663                           475

INTERSECTIONS INC              COM            460981301      160,576      12,545      X     28-13605     12545

INTERVAL LEISURE GROUP INC     COM            46113M108          120           9      X     28-5284          9
                                                                 160          12      X   X 28-5284         12

INTUITIVE SURGICAL INC         COM NEW        46120E602    3,965,188      10,885      X     28-5284       5954                4931
                                                           1,696,088       4,656      X   X 28-5284       3205        20      1431
                                                             538,406       1,478      X     28-13605      1015                 463
                                                              21,857          60      X   X 28-13605                            60
                                                              54,642         150      X     28-13663                           150
                                                              79,413         218      X   X 28-13663       218

INTUIT                         COM            461202103    1,501,808      31,657      X     28-5284      30671                 986
                                                             656,712      13,843      X   X 28-5284      13491                 352
                                                             286,585       6,041      X     28-13605      2681                3360
                                                              53,133       1,120      X   X 28-13605      1120
                                                              33,920         715      X     28-13663       680                  35

INVACARE CORP                  COM            461203101    1,068,687      46,384      X     28-5284      46184                 200
                                                           1,840,366      79,877      X   X 28-5284      79877
                                                             298,714      12,965      X     28-13605     12965

INTREPID POTASH INC            COM            46121Y102       14,300         575      X     28-5284        575
                                                              25,740       1,035      X   X 28-5284       1035
                                                               4,974         200      X   X 28-13605       200

INVESCO MORTGAGE CAPITAL INC   COM            46131B100       29,673       2,100      X     28-5284       2100
                                                              14,130       1,000      X   X 28-5284       1000

INVESCO VAN KAMPEN SR INC TR   COM            46131H107          203          48      X     28-5284         48
                                                               2,427         575      X     28-13605       575

INVESCO VAN KAMPEN MUNI TRST   COM            46131J103       23,614       1,744      X     28-5284       1744

INVESCO VAN KAMPEN TR INVT G   COM            46131M106       21,585       1,500      X     28-5284       1500

INVESCO VAN KAMPEN TR INVT G   COM            46131R105       19,648       1,242      X     28-5284       1242
               COLUMN TOTAL                               12,563,458







                                                                                                                   FILE NO. 28-1235
 PAGE   127 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
INVESCO VAN KAMPEN ADVANTAGE   SH BEN INT     46132E103       27,022       2,224      X     28-5284       2224

INVESCO VAN KAMPEN SELECT MU   SH BEN INT     46132G108       47,440       4,000      X     28-5284       4000

INVESCO VAN KAMPEN PA VALUE    COM            46132K109      681,902      50,103      X     28-5284      50103
                                                             572,137      42,038      X   X 28-5284      41636                 402

INVESCO INSRD MUNI INCM TRST   COM            46132P108      208,845      13,500      X     28-5284      13500
                                                             232,050      15,000      X   X 28-5284      15000

INVESCO MUNI PREM INC TRST     COM            46133E102        7,980       1,000      X     28-5284       1000
                                                              43,890       5,500      X   X 28-5284       1500                4000

INVESCO QUALITY MUNI INC TRS   COM            46133G107       83,395       6,500      X   X 28-5284       6500

INVESCO QUALITY MUN SECS       COM            46133J101       57,080       4,000      X   X 28-5284       4000

INVESCO HIGH YIELD INVST FD    COM            46133K108       20,124       3,600      X   X 28-5284       3600

INVESTMENT TECHNOLOGY GRP NE   COM            46145F105       83,244       8,503      X     28-13605      8503
                                                               3,094         316      X   X 28-13605       316

INVESTORS BANCORP INC          COM            46146P102      114,428       9,060      X     28-5284       6000                3060
                                                             224,814      17,800      X   X 28-5284                          17800
                                                             125,264       9,918      X     28-13605      9918

INVESTORS REAL ESTATE TR       SH BEN INT     461730103        1,440         200      X   X 28-5284        200

ION GEOPHYSICAL CORP           COM            462044108        4,257         900      X     28-5284        900

IRON MTN INC                   COM            462846106      167,491       5,297      X     28-5284       5063                 234
                                                              51,288       1,622      X   X 28-5284       1465                 157
                                                              97,737       3,091      X     28-13605       921                2170

ISHARES SILVER TRUST           ISHARES        46428Q109    1,681,897      58,177      X     28-5284      58177
                                                           1,209,681      41,843      X   X 28-5284      41843
                                                              71,379       2,469      X     28-13605      2469
                                                              16,623         575      X   X 28-13605       575

ISHARES S&P GSCI COMMODITY I   UNIT BEN INT   46428R107      283,786       9,400      X     28-5284       9400
                                                             293,477       9,721      X   X 28-5284       6381                3340
                                                              50,357       1,668      X   X 28-13663                          1668
               COLUMN TOTAL                                6,462,122







                                                                                                                   FILE NO. 28-1235
 PAGE   128 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 GOLD TRUST             ISHARES        464285105    6,804,098     429,823      X     28-5284     429823
                                                          10,551,170     666,530      X   X 28-5284     666530
                                                             239,603      15,136      X     28-13605     15136
                                                              12,664         800      X   X 28-13605       800

ISHARES INC                    MSCI AUSTRALIA 464286103      413,637      20,620      X     28-5284      20620
                                                             306,216      15,265      X   X 28-5284      15265
                                                             248,744      12,400      X   X 28-13605      2400               10000

ISHARES INC                    MSCI BRAZIL    464286400      717,790      13,801      X     28-5284      13801
                                                             412,179       7,925      X   X 28-5284       7925
                                                              31,206         600      X     28-13605       600
                                                             296,769       5,706      X   X 28-13605      3056                2650

ISHARES INC                    MSCI CDA INDEX 464286509      705,563      27,680      X     28-5284      27680
                                                           1,238,865      48,602      X   X 28-5284      48602
                                                             120,440       4,725      X   X 28-13605      4725

ISHARES INC                    MSCI EMU INDEX 464286608   12,148,876     444,688      X     28-5284     444688
                                                             729,116      26,688      X   X 28-5284      26688
                                                              21,310         780      X     28-13605       780
                                                              22,676         830      X   X 28-13605       830
                                                              50,160       1,836      X     28-13663      1836
                                                               5,464         200      X   X 28-13663       200

ISHARES INC                    MSCI ISRAEL FD 464286632       18,063         450      X     28-5284        450

ISHARES INC                    MSCI CHILE INV 464286640      297,122       5,585      X     28-5284       5585
                                                              63,361       1,191      X   X 28-13605      1191

ISHARES INC                    MSCI BRIC INDX 464286657      137,038       4,046      X     28-5284       4046
                                                             406,508      12,002      X   X 28-5284      12002
                                                              67,740       2,000      X     28-13605      2000

ISHARES INC                    MSCI PAC J IDX 464286665   34,109,139     927,635      X     28-5284     924680                2955
                                                           8,334,913     226,677      X   X 28-5284     225394                1283
                                                           2,774,958      75,468      X     28-13605     75468
                                                           1,867,070      50,777      X   X 28-13605     50777
                                                             754,704      20,525      X   X 28-13663     20525

ISHARES INC                    MSCI SINGAPORE 464286673       85,800       7,800      X     28-5284       7800
                                                             154,550      14,050      X   X 28-5284      12800                1250
               COLUMN TOTAL                               84,147,512







                                                                                                                   FILE NO. 28-1235
 PAGE   129 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 FRANCE    464286707       12,497         656      X     28-5284        656

ISHARES INC                    MSCI TAIWAN    464286731      116,706       9,882      X     28-5284       9882
                                                             156,246      13,230      X   X 28-5284      13230

ISHARES INC                    MSCI SWITZERLD 464286749      154,306       7,124      X     28-5284       7124
                                                             281,190      12,982      X   X 28-5284      12882                 100

ISHARES INC                    MSCI SWEDEN    464286756       22,990       1,000      X   X 28-5284       1000
                                                              40,233       1,750      X   X 28-13605      1750

ISHARES INC                    MSCI SPAIN     464286764       65,921       2,039      X     28-5284       2039

ISHARES INC                    MSCI S KOREA   464286772      102,920       2,210      X     28-5284       2210
                                                             372,933       8,008      X   X 28-5284       7253                 755

ISHARES INC                    MSCI GERMAN    464286806      225,434      12,339      X     28-5284      12339
                                                               4,933         270      X   X 28-5284        270

ISHARES INC                    MSCI MALAYSIA  464286830       24,370       2,000      X     28-5284       2000
                                                              98,089       8,050      X   X 28-5284       8050

ISHARES INC                    MSCI JAPAN     464286848   34,023,032   3,596,515      X     28-5284    3596515
                                                           3,508,478     370,875      X   X 28-5284     370875
                                                              66,220       7,000      X     28-13605      7000
                                                              49,570       5,240      X   X 28-13605      5240
                                                           1,333,860     141,000      X   X 28-13663    141000

ISHARES INC                    MSCI HONG KONG 464286871       14,043         980      X     28-5284        980

ISHARES TR                     S&P 100 IDX FD 464287101   18,733,583     364,254      X     28-5284     349974               14280
                                                           6,582,680     127,993      X   X 28-5284     127993
                                                              10,235         199      X     28-13605       199
                                                              17,435         339      X   X 28-13605       339

ISHARES TR                     LRGE CORE INDX 464287127       98,822       1,540      X     28-5284       1540

ISHARES TR                     DJ SEL DIV INX 464287168   55,217,771   1,144,647      X     28-5284    1138739                5908
                                                          30,137,988     624,751      X   X 28-5284     612298               12453
                                                           1,743,587      36,144      X     28-13605     36144
                                                             993,358      20,592      X   X 28-13605     20592
                                                             476,225       9,872      X     28-13663      9872
                                                             477,576       9,900      X   X 28-13663      9900
               COLUMN TOTAL                              155,163,231







                                                                                                                   FILE NO. 28-1235
 PAGE   130 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     BARCLYS TIPS B 464287176  148,504,504   1,299,252      X     28-5284    1289754                9498
                                                          40,020,773     350,138      X   X 28-5284     335559      8676      5903
                                                           6,472,466      56,627      X     28-13605     56387                 240
                                                           6,356,566      55,613      X   X 28-13605     30858               24755
                                                             856,107       7,490      X     28-13663      7490
                                                             233,744       2,045      X   X 28-13663      1531                 514

ISHARES TR                     FTSE CHINA25 I 464287184      270,441       8,772      X     28-5284       8772
                                                             792,948      25,720      X   X 28-5284      25411                 309
                                                              47,787       1,550      X     28-13605      1550
                                                             144,099       4,674      X   X 28-13605      4299                 375

ISHARES TR                     TRANSP AVE IDX 464287192       33,858         450      X     28-5284        450

ISHARES TR                     S&P 500 INDEX  464287200  290,136,425   2,551,996      X     28-5284    2489211               62785
                                                          52,569,233     462,391      X   X 28-5284     412557               49834
                                                          38,681,886     340,240      X     28-13605    339466                 774
                                                          20,817,662     183,109      X   X 28-13605    183009                 100
                                                             607,218       5,341      X     28-13663      5341
                                                             616,768       5,425      X   X 28-13663      5425

ISHARES TR                     BARCLY USAGG B 464287226   99,746,997     905,885      X     28-5284     903075                2810
                                                          20,605,765     187,138      X   X 28-5284     182271                4867
                                                           4,018,464      36,495      X     28-13605     36495
                                                           1,429,338      12,981      X   X 28-13605     12051                 930
                                                             248,078       2,253      X     28-13663      2253
                                                             119,249       1,083      X   X 28-13663      1083

ISHARES TR                     MSCI EMERG MKT 464287234  159,483,823   4,544,346      X     28-5284    4519304               25042
                                                          61,243,021   1,745,064      X   X 28-5284    1703185      2156     39723
                                                          13,487,009     384,300      X     28-13605    379650                4650
                                                           5,920,983     168,713      X   X 28-13605    163261                5452
                                                             988,837      28,176      X     28-13663     28176
                                                             692,003      19,718      X   X 28-13663     18535                1183

ISHARES TR                     IBOXX INV CPBD 464287242  192,899,837   1,717,566      X     28-5284    1709829                7737
                                                          51,400,132     457,663      X   X 28-5284     435817               21846
                                                           8,183,805      72,868      X     28-13605     69672                3196
                                                           2,773,495      24,695      X   X 28-13605     24395                 300
                                                             959,015       8,539      X     28-13663      8539
                                                           2,879,516      25,639      X   X 28-13663     24617                1022
               COLUMN TOTAL                            1,234,241,852







                                                                                                                   FILE NO. 28-1235
 PAGE   131 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 GBL TELCM  464287275      101,432       1,868      X     28-5284       1868
                                                           2,871,764      52,887      X   X 28-5284      52887
                                                              18,734         345      X   X 28-13663       345

ISHARES TR                     S&P GBL INF    464287291       16,395         300      X   X 28-5284        300

ISHARES TR                     S&P500 GRW     464287309   60,003,258     979,805      X     28-5284     978038                1767
                                                           8,582,664     140,148      X   X 28-5284     136766                3382
                                                             437,499       7,144      X     28-13605      7144
                                                              37,111         606      X   X 28-13605       606
                                                              44,521         727      X   X 28-13663       727

ISHARES TR                     S&P GBL HLTHCR 464287325      109,074       2,100      X   X 28-5284       2100

ISHARES TR                     S&P GBL ENER   464287341       58,729       1,770      X     28-5284       1770
                                                               4,313         130      X   X 28-5284        130
                                                              61,217       1,845      X     28-13605      1845
                                                              11,281         340      X   X 28-13605       340

ISHARES TR                     S&P NA NAT RES 464287374   18,383,961     549,431      X     28-5284     546497                2934
                                                           8,003,297     239,190      X   X 28-5284     239190
                                                             206,147       6,161      X     28-13605      6161
                                                              42,929       1,283      X   X 28-13605      1283
                                                              89,305       2,669      X     28-13663      2669
                                                           1,716,230      51,292      X   X 28-13663     51292

ISHARES TR                     S&P LTN AM 40  464287390    8,076,426     207,727      X     28-5284     203135                4592
                                                           2,571,756      66,146      X   X 28-5284      65566                 580
                                                           3,010,012      77,418      X     28-13605     77418
                                                           2,243,143      57,694      X   X 28-13605     57359                 335
                                                             164,424       4,229      X     28-13663      4229
                                                              23,561         606      X   X 28-13663       606

ISHARES TR                     S&P 500 VALUE  464287408   61,933,189   1,200,721      X     28-5284    1199363                1358
                                                           6,364,044     123,382      X   X 28-5284     117780                5602
                                                           1,161,891      22,526      X     28-13605     22526
                                                             478,766       9,282      X   X 28-13605      9282
                                                              47,454         920      X   X 28-13663       920

ISHARES TR                     BARCLYS 20+ YR 464287432    1,444,164      11,955      X     28-5284      11955
                                                             365,299       3,024      X   X 28-5284       3024
               COLUMN TOTAL                              188,683,990







                                                                                                                   FILE NO. 28-1235
 PAGE   132 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     BARCLYS 7-10 Y 464287440   12,024,001     114,438      X     28-5284      93567               20871
                                                           2,137,754      20,346      X   X 28-5284      20346
                                                             762,913       7,261      X     28-13605      7261
                                                              60,941         580      X   X 28-13605       580

ISHARES TR                     BARCLYS 1-3 YR 464287457  104,517,864   1,235,874      X     28-5284    1230971                4903
                                                          25,256,239     298,643      X   X 28-5284     272570               26073
                                                           2,492,278      29,470      X     28-13605     29470
                                                             556,809       6,584      X   X 28-13605      6584
                                                           6,471,296      76,520      X     28-13663     76520
                                                             482,049       5,700      X   X 28-13663      5700

ISHARES TR                     MSCI EAFE INDE 464287465  236,133,586   4,942,101      X     28-5284    4891461               50640
                                                         134,713,417   2,819,452      X   X 28-5284    2714286     11685     93481
                                                          32,037,350     670,518      X     28-13605    666115                4403
                                                          20,759,932     434,490      X   X 28-13605    429111                5379
                                                             996,834      20,863      X     28-13663     20863
                                                           2,585,137      54,105      X   X 28-13663     53158                 947

ISHARES TR                     RUSSELL MCP VL 464287473   26,116,380     677,292      X     28-5284     643898               33394
                                                           7,189,512     186,450      X   X 28-5284     185393                1057
                                                           1,147,661      29,763      X     28-13605     29763
                                                             832,472      21,589      X   X 28-13605     21329                 260
                                                             149,728       3,883      X     28-13663      3883
                                                              28,380         736      X   X 28-13663       736

ISHARES TR                     RUSSELL MCP GR 464287481   40,770,672     821,327      X     28-5284     793309               28018
                                                           8,347,611     168,163      X   X 28-5284     167585                 578
                                                           2,457,974      49,516      X     28-13605     48816                 700
                                                             727,425      14,654      X   X 28-13605     14654
                                                             469,594       9,460      X     28-13663      9460
                                                              19,806         399      X   X 28-13663       399

ISHARES TR                     RUSSELL MIDCAP 464287499  174,838,253   1,981,170      X     28-5284    1968380               12790
                                                          40,967,768     464,224      X   X 28-5284     427968       370     35886
                                                           4,553,700      51,600      X     28-13605     51600
                                                           2,618,289      29,669      X   X 28-13605     29669
                                                           1,505,545      17,060      X     28-13663     17060
                                                           1,065,884      12,078      X   X 28-13663     12078
               COLUMN TOTAL                              895,795,054







                                                                                                                   FILE NO. 28-1235
 PAGE   133 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     S&P MIDCAP 400 464287507   35,695,633     457,695      X     28-5284     445384               12311
                                                          27,476,423     352,307      X   X 28-5284     337076               15231
                                                          17,733,834     227,386      X     28-13605    227233                 153
                                                           5,678,842      72,815      X   X 28-13605     72385                 430
                                                              33,536         430      X     28-13663       430
                                                           2,334,163      29,929      X   X 28-13663     29929

ISHARES TR                     S&P NA SOFTWR  464287515      135,381       2,595      X     28-5284       2595
                                                             104,340       2,000      X   X 28-5284       2000
                                                               5,634         108      X     28-13605       108

ISHARES TR                     PHLX SOX SEMIC 464287523       66,860       1,456      X     28-5284       1456
                                                              43,624         950      X   X 28-5284        950

ISHARES TR                     S&P NA TECH FD 464287549       16,052         290      X     28-5284        290
                                                             166,050       3,000      X   X 28-5284       3000

ISHARES TR                     NASDQ BIO INDX 464287556    6,187,611      66,284      X     28-5284      66184                 100
                                                           3,072,429      32,913      X   X 28-5284      30050                2863
                                                              21,844         234      X     28-13605       234
                                                              51,343         550      X   X 28-13605       550
                                                              18,670         200      X     28-13663       200
                                                              19,417         208      X   X 28-13663       208

ISHARES TR                     COHEN&ST RLTY  464287564   11,366,695     185,246      X     28-5284     182829                2417
                                                           3,507,215      57,158      X   X 28-5284      55083                2075
                                                           2,227,245      36,298      X     28-13605     36298
                                                           1,374,219      22,396      X   X 28-13605     21760                 636
                                                              13,561         221      X     28-13663       221
                                                              37,368         609      X   X 28-13663       173                 436

ISHARES TR                     CONS SRVC IDX  464287580       18,615         291      X     28-5284        291

ISHARES TR                     RUSSELL1000VAL 464287598   59,477,505   1,051,025      X     28-5284    1047787                3238
                                                          41,138,214     726,952      X   X 28-5284     723908                3044
                                                           2,633,868      46,543      X     28-13605     46543
                                                             886,030      15,657      X   X 28-13605     15657
                                                              77,641       1,372      X     28-13663      1372
                                                             155,170       2,742      X   X 28-13663      1942                 800
               COLUMN TOTAL                              221,775,032







                                                                                                                   FILE NO. 28-1235
 PAGE   134 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 MC 400 GRW 464287606   11,660,783     129,795      X     28-5284     126163                3632
                                                           3,337,915      37,154      X   X 28-5284      33947                3207
                                                             290,183       3,230      X     28-13605      3230
                                                             331,330       3,688      X   X 28-13605      3688
                                                             332,408       3,700      X     28-13663      3700

ISHARES TR                     RUSSELL1000GRW 464287614   82,246,898   1,564,224      X     28-5284    1521301               42923
                                                          27,085,430     515,128      X   X 28-5284     509734                5394
                                                           4,514,256      85,855      X     28-13605     83855                2000
                                                           1,378,017      26,208      X   X 28-13605     25921                 287
                                                             763,567      14,522      X     28-13663     14522
                                                             161,578       3,073      X   X 28-13663      3073

ISHARES TR                     RUSSELL 1000   464287622  106,864,600   1,708,740      X     28-5284    1701107                7633
                                                          30,576,369     488,909      X   X 28-5284     459185               29724
                                                           1,102,768      17,633      X     28-13605     17633
                                                             474,866       7,593      X   X 28-13605      7593
                                                           1,085,444      17,356      X     28-13663     17356
                                                           1,554,932      24,863      X   X 28-13663     24863

ISHARES TR                     RUSL 2000 VALU 464287630   26,361,205     462,234      X     28-5284     456852                5382
                                                          10,296,310     180,542      X   X 28-5284     177339                3203
                                                           1,212,515      21,261      X     28-13605     21211                  50
                                                             221,904       3,891      X   X 28-13605      3650                 241
                                                              23,553         413      X     28-13663       413
                                                              93,073       1,632      X   X 28-13663      1632

ISHARES TR                     RUSL 2000 GROW 464287648   22,184,781     301,957      X     28-5284     296427                5530
                                                           8,493,867     115,610      X   X 28-5284     114308                1302
                                                             247,373       3,367      X     28-13605      3367
                                                             125,413       1,707      X   X 28-13605      1707
                                                             135,920       1,850      X     28-13663      1850
                                                               7,567         103      X   X 28-13663       103

ISHARES TR                     RUSSELL 2000   464287655  117,716,325   1,830,736      X     28-5284    1812486               18250
                                                          54,462,550     847,007      X   X 28-5284     791436       480     55091
                                                           8,529,266     132,648      X     28-13605    132174                 474
                                                           4,432,906      68,941      X   X 28-13605     68941
                                                           1,478,836      22,999      X     28-13663     22999
                                                             599,469       9,323      X   X 28-13663      9323
               COLUMN TOTAL                              530,384,177







                                                                                                                   FILE NO. 28-1235
 PAGE   135 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     RUSL 3000 VALU 464287663    1,504,272      20,328      X     28-5284      20328
                                                             359,492       4,858      X   X 28-5284       4858
                                                              48,840         660      X   X 28-13605       660

ISHARES TR                     RUSL 3000 GROW 464287671      558,657      13,068      X     28-5284      13068
                                                              81,054       1,896      X   X 28-5284       1540                 356
                                                              53,395       1,249      X   X 28-13605      1249

ISHARES TR                     RUSSELL 3000   464287689   13,525,037     202,683      X     28-5284     202520                 163
                                                           1,583,436      23,729      X   X 28-5284      23029                 700
                                                           1,018,166      15,258      X     28-13605     15258
                                                             172,163       2,580      X   X 28-13605      2580

ISHARES TR                     DJ US UTILS    464287697    4,741,010      57,994      X     28-5284      25551               32443
                                                           4,779,187      58,461      X   X 28-5284      58461
                                                               4,169          51      X   X 28-13663        51

ISHARES TR                     S&P MIDCP VALU 464287705    9,373,948     142,008      X     28-5284     138396                3612
                                                           2,421,577      36,685      X   X 28-5284      33791                2894
                                                             123,373       1,869      X     28-13605      1869
                                                              33,401         506      X   X 28-13605       506

ISHARES TR                     DJ US TELECOMM 464287713    2,550,626     125,092      X     28-5284     122457                2635
                                                             550,448      26,996      X   X 28-5284      26996
                                                              10,909         535      X     28-13605       535
                                                               9,685         475      X   X 28-13605       475
                                                              10,195         500      X     28-13663       500
                                                               6,668         327      X   X 28-13663       327

ISHARES TR                     DJ US TECH SEC 464287721    4,859,770      82,174      X     28-5284      82174
                                                           4,164,580      70,419      X   X 28-5284      69519       900
                                                             470,932       7,963      X     28-13605      7963
                                                              54,113         915      X   X 28-13663       915

ISHARES TR                     DJ US REAL EST 464287739    6,204,534     122,692      X     28-5284     122692
                                                           3,125,529      61,806      X   X 28-5284      61606                 200
                                                             282,787       5,592      X     28-13605      5592
                                                             562,996      11,133      X   X 28-13605     11133
                                                              45,513         900      X     28-13663       900
                                                              43,237         855      X   X 28-13663       855

ISHARES TR                     DJ US INDUSTRL 464287754       92,904       1,691      X   X 28-5284       1691
               COLUMN TOTAL                               63,426,603







                                                                                                                   FILE NO. 28-1235
 PAGE   136 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 HEALTHCR 464287762    2,048,122      31,360      X     28-5284      31360
                                                             786,267      12,039      X   X 28-5284      12039
                                                              19,593         300      X     28-13605       300
                                                              16,328         250      X     28-13663       250
                                                              25,340         388      X   X 28-13663       388

ISHARES TR                     DJ US FINL SVC 464287770      251,306       6,116      X     28-5284       6116
                                                              53,417       1,300      X   X 28-5284       1300
                                                             151,088       3,677      X     28-13605      3677

ISHARES TR                     DJ US FINL SEC 464287788      208,691       4,729      X     28-5284       4436                 293
                                                             226,916       5,142      X   X 28-5284       5142
                                                               9,797         222      X     28-13605       222
                                                              31,553         715      X   X 28-13605       715
                                                             138,259       3,133      X   X 28-13663      3133

ISHARES TR                     DJ US ENERGY   464287796      730,622      21,565      X     28-5284      21565
                                                             199,553       5,890      X   X 28-5284       5590                 300
                                                              84,700       2,500      X     28-13605      2500
                                                             203,280       6,000      X     28-13663      6000

ISHARES TR                     S&P SMLCAP 600 464287804   27,380,914     467,730      X     28-5284     455403               12327
                                                          15,102,793     257,991      X   X 28-5284     255535                2456
                                                           4,535,445      77,476      X     28-13605     77476
                                                             501,337       8,564      X   X 28-13605      8564
                                                             247,800       4,233      X     28-13663      4233
                                                           1,195,797      20,427      X   X 28-13663     20427

ISHARES TR                     CONS GOODS IDX 464287812      264,222       4,200      X     28-5284       4200
                                                             119,214       1,895      X   X 28-5284       1895

ISHARES TR                     DJ US BAS MATL 464287838      259,624       4,600      X     28-5284       4600

ISHARES TR                     DJ US INDEX FD 464287846    1,509,586      26,690      X     28-5284      25173                1517
                                                           1,174,072      20,758      X   X 28-5284      20758
                                                             438,114       7,746      X     28-13605      7746
                                                              16,459         291      X   X 28-13605       291
               COLUMN TOTAL                               57,930,209







                                                                                                                   FILE NO. 28-1235
 PAGE   137 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     S&P EURO PLUS  464287861    1,748,356      54,859      X     28-5284      53259                1600
                                                             389,611      12,225      X   X 28-5284      12225
                                                             117,664       3,692      X     28-13605      3692
                                                             104,024       3,264      X   X 28-13605      3264
                                                             223,090       7,000      X     28-13663      7000
                                                             191,220       6,000      X   X 28-13663      6000

ISHARES TR                     S&P SMLCP VALU 464287879   14,068,634     237,686      X     28-5284     237237                 449
                                                           2,430,519      41,063      X   X 28-5284      38217                2846
                                                             154,959       2,618      X     28-13605      2618
                                                              38,059         643      X   X 28-13605       643
                                                               2,545          43      X     28-13663        43
                                                              20,598         348      X   X 28-13663       348

ISHARES TR                     S&P SMLCP GROW 464287887    8,080,899     125,363      X     28-5284     124217                1146
                                                           3,155,768      48,957      X   X 28-5284      46676                2281
                                                             231,154       3,586      X     28-13605      3586
                                                              52,213         810      X   X 28-13605       810

ISHARES TR                     S&P SH NTL AMT 464288158      106,610       1,000      X   X 28-5284       1000

ISHARES TR                     AGENCY BD FD   464288166    5,709,833      50,664      X     28-5284      49796                 868
                                                             238,248       2,114      X   X 28-5284       2114
                                                             241,967       2,147      X   X 28-13663      2147

ISHARES TR                     MSCI ACJPN IDX 464288182      526,799      11,295      X     28-5284      11295
                                                             710,094      15,225      X   X 28-5284      15225

ISHARES TR                     S&P EMRG INFRS 464288216      129,069       4,993      X   X 28-5284       2145                2848

ISHARES TR                     S&P GLBIDX ETF 464288224       32,640       3,521      X     28-5284       3521

ISHARES TR                     S&P NUCIDX ETF 464288232        1,610          50      X     28-13605        50

ISHARES TR                     MSCI ACWI EX   464288240       64,317       1,835      X   X 28-5284       1835

ISHARES TR                     MSCI SMALL CAP 464288273      154,540       4,423      X     28-5284       4423
                                                             247,760       7,091      X   X 28-5284       7091
                                                              12,648         362      X   X 28-13663       362
               COLUMN TOTAL                               39,185,448







                                                                                                                   FILE NO. 28-1235
 PAGE   138 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     JPMORGAN USD   464288281   10,842,737     102,843      X     28-5284     101884                 959
                                                           3,647,351      34,595      X   X 28-5284      34344                 251
                                                             521,773       4,949      X     28-13605      4949
                                                             263,470       2,499      X   X 28-13605      2499
                                                             157,091       1,490      X     28-13663      1490

ISHARES TR                     MID GRWTH INDX 464288307       13,846         159      X   X 28-5284        159

ISHARES TR                     S&P GLO INFRAS 464288372    2,365,313      74,171      X     28-5284      74171
                                                             335,547      10,522      X   X 28-5284      10522
                                                             323,046      10,130      X     28-13605     10130
                                                             106,832       3,350      X   X 28-13605      3350
                                                               4,209         132      X     28-13663       132
                                                              63,780       2,000      X   X 28-13663      2000

ISHARES TR                     S&P NTL AMTFRE 464288414  121,011,169   1,134,657      X     28-5284    1109667               24990
                                                          35,170,184     329,772      X   X 28-5284     307695               22077
                                                           6,780,274      63,575      X     28-13605     63575
                                                           5,881,001      55,143      X   X 28-13605     55043                 100
                                                             636,381       5,967      X     28-13663      5967
                                                             202,635       1,900      X   X 28-13663      1900

ISHARES TR                     S&P ASIA 50 IN 464288430       43,488       1,206      X   X 28-13605      1206

ISHARES TR                     DJ INTL SEL DI 464288448       84,990       3,000      X   X 28-5284       3000

ISHARES TR                     SMLL CORE INDX 464288505      103,283       1,416      X     28-5284       1416

ISHARES TR                     HIGH YLD CORP  464288513      138,078       1,667      X     28-5284       1667
                                                             385,242       4,651      X   X 28-5284       4651
                                                             339,189       4,095      X     28-13605      4095
                                                             117,867       1,423      X   X 28-13605      1423
                                                             414,150       5,000      X   X 28-13663      5000

ISHARES TR                     RESIDENT PLS C 464288562      155,120       4,000      X   X 28-5284       4000

ISHARES TR                     MSCI KLD400 SO 464288570      292,215       6,900      X   X 28-5284       6900
               COLUMN TOTAL                              190,400,261







                                                                                                                   FILE NO. 28-1235
 PAGE   139 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     BARCLYS MBS BD 464288588   18,317,216     169,306      X     28-5284     168656                 650
                                                             621,443       5,744      X   X 28-5284       5744
                                                             666,342       6,159      X     28-13605      6159
                                                             278,156       2,571      X   X 28-13605      2571
                                                              49,443         457      X     28-13663       457
                                                             292,113       2,700      X   X 28-13663      2700

ISHARES TR                     BARCLYS INTER  464288612   13,918,039     125,196      X     28-5284     125113                  83
                                                           1,770,605      15,927      X   X 28-5284      15927
                                                             101,721         915      X     28-13605       915
                                                              52,028         468      X   X 28-13605       468

ISHARES TR                     BARCLYS CR BD  464288620       31,897         296      X   X 28-5284        296

ISHARES TR                     BARCLYS INTER  464288638   57,319,853     536,753      X     28-5284     516083               20670
                                                          12,833,595     120,176      X   X 28-5284     109642               10534
                                                             867,562       8,124      X     28-13605      8124
                                                              77,530         726      X   X 28-13605       726
                                                           1,008,525       9,444      X     28-13663      9444
                                                           1,446,150      13,542      X   X 28-13663     12495                1047

ISHARES TR                     BARCLYS 1-3YR  464288646  143,055,580   1,375,799      X     28-5284    1366782                9017
                                                          44,832,329     431,163      X   X 28-5284     400376               30787
                                                           6,917,893      66,531      X     28-13605     66436                  95
                                                           2,513,301      24,171      X   X 28-13605     24171
                                                          12,364,886     118,916      X     28-13663    118916
                                                             526,139       5,060      X   X 28-13663      5060

ISHARES TR                     BARCLYS 10-20Y 464288653       66,095         500      X     28-13605       500

ISHARES TR                     BARCLYS 3-7 YR 464288661    5,320,703      43,799      X     28-5284      43799
                                                           2,544,520      20,946      X   X 28-5284      12346                8600
                                                             431,011       3,548      X     28-13605      3548
                                                             260,332       2,143      X   X 28-13605      2143
                                                              51,993         428      X     28-13663       428

ISHARES TR                     BARCLYS SH TRE 464288679      249,716       2,265      X   X 28-5284                           2265

ISHARES TR                     US PFD STK IDX 464288687    7,042,412     197,765      X     28-5284     133797               63968
                                                           6,228,830     174,918      X   X 28-5284     173968                 950
                                                             760,452      21,355      X     28-13605     21355
                                                             573,926      16,117      X   X 28-13605     16117
               COLUMN TOTAL                              343,392,336







                                                                                                                   FILE NO. 28-1235
 PAGE   140 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 GLB MTRLS  464288695       24,134         450      X     28-5284        450
                                                              73,419       1,369      X   X 28-5284       1369
                                                              23,222         433      X   X 28-13605       433

ISHARES TR                     S&P GL INDUSTR 464288729       15,374         351      X     28-5284        351

ISHARES TR                     MSCI ESG SEL S 464288802    6,563,110     131,341      X     28-5284     131341
                                                             983,260      19,677      X   X 28-5284      19335                 342
                                                              17,390         348      X     28-13605                           348

ISHARES TR                     DJ MED DEVICES 464288810      169,320       3,000      X   X 28-5284       3000

ISHARES TR                     DJ PHARMA INDX 464288836       40,081         604      X   X 28-5284        604

ISHARES TR                     DJ OIL EQUIP   464288844       15,606         360      X     28-5284        360

ISHARES TR                     DJ OIL&GAS EXP 464288851      203,441       3,975      X     28-5284       3975

ISHARES TR                     MSCI VAL IDX   464288877    5,319,723     128,217      X     28-5284     126163                2054
                                                           9,736,375     234,668      X   X 28-5284     233781                 887
                                                           1,636,863      39,452      X     28-13605     39112                 340
                                                           1,146,659      27,637      X   X 28-13605     27637
                                                             593,017      14,293      X   X 28-13663     14293

ISHARES TR                     MSCI GRW IDX   464288885   10,950,346     219,710      X     28-5284     217851                1859
                                                          10,078,047     202,208      X   X 28-5284     195116                7092
                                                             173,692       3,485      X     28-13605      3485
                                                              83,332       1,672      X   X 28-13605      1672
                                                              31,100         624      X     28-13663       624
                                                             568,674      11,410      X   X 28-13663     11410

ISHARES TR                     MSCI BRAZ SMCP 464289131      114,370       5,472      X     28-5284       5472

ISHARES TR                     S&P INDIA 50   464289529       22,350       1,000      X   X 28-5284       1000

ISHARES TR                     MSCI PERU CAP  464289842        3,507         100      X   X 28-5284        100

ISHARES TR                     POLND INVT MKT 46429B606       18,592         800      X   X 28-5284        800

ISHARES TR                     HGH DIV EQT FD 46429B663       24,975         500      X     28-5284        500

ISIS PHARMACEUTICALS INC       COM            464330109       33,900       5,000      X     28-5284       5000
                                                              25,086       3,700      X   X 28-5284       2000                1700
               COLUMN TOTAL                               48,688,965







                                                                                                                   FILE NO. 28-1235
 PAGE   141 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ITAU UNIBANCO HLDG SA          SPON ADR REP P 465562106       54,149       3,489      X     28-5284       3169                 320
                                                              39,809       2,565      X   X 28-5284       2565

ITC HLDGS CORP                 COM            465685105       18,196         235      X     28-5284        235
                                                             373,367       4,822      X   X 28-5284        322                4500

ITRON INC                      COM            465741106       12,390         420      X     28-5284        420
                                                              33,306       1,129      X   X 28-5284       1129
                                                              12,538         425      X     28-13605       425
                                                               1,062          36      X   X 28-13605        36

IVANHOE MINES LTD              COM            46579N103        1,343          98      X     28-5284         98
                                                              15,755       1,150      X   X 28-5284       1150
                                                                 891          65      X   X 28-13605        65

J & J SNACK FOODS CORP         COM            466032109       23,545         490      X     28-5284        400                  90
                                                              71,595       1,490      X   X 28-5284                           1490

JDS UNIPHASE CORP              COM PAR $0.001 46612J507       37,607       3,772      X     28-5284        871                2901
                                                              15,653       1,570      X   X 28-5284       1407                 163
                                                              36,131       3,624      X     28-13605      1062                2562
                                                              19,940       2,000      X   X 28-13605      2000

JDA SOFTWARE GROUP INC         COM            46612K108          117           5      X     28-5284          5
                                                             150,133       6,405      X     28-13605      6405

JPMORGAN CHASE & CO            COM            46625H100   99,392,115   3,299,871      X     28-5284    3240796       300     58775
                                                          60,124,821   1,996,176      X   X 28-5284    1855057      5450    135669
                                                          50,597,925   1,679,878      X     28-13605   1471722              208156
                                                          12,396,699     411,577      X   X 28-13605    393043      1420     17114
                                                             647,429      21,495      X     28-13663     17745                3750
                                                             577,882      19,186      X   X 28-13663     18824                 362

JPMORGAN CHASE & CO            ALERIAN ML ETN 46625H365    6,148,749     180,580      X     28-5284     180580
                                                             672,930      19,763      X   X 28-5284      19763
                                                             628,223      18,450      X     28-13605     18450
                                                              85,125       2,500      X   X 28-13605      2500
                                                             303,045       8,900      X   X 28-13663      8900

J2 GLOBAL COMMUNICATIONS INC   COM NEW        46626E205       10,760         400      X   X 28-13605       400
               COLUMN TOTAL                              232,503,230







                                                                                                                   FILE NO. 28-1235
 PAGE   142 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
JABIL CIRCUIT INC              COM            466313103       15,317         861      X     28-5284        115                 746
                                                              33,570       1,887      X   X 28-5284       1725                 162
                                                             323,227      18,169      X     28-13605     16021                2148
                                                              22,682       1,275      X   X 28-13605      1275

JACK IN THE BOX INC            COM            466367109        6,175         310      X     28-5284                            310

JACOBS ENGR GROUP INC DEL      COM            469814107    1,701,651      52,699      X     28-5284      52495                 204
                                                           2,120,549      65,672      X   X 28-5284      48397               17275
                                                             145,370       4,502      X     28-13605      2577                1925
                                                              49,436       1,531      X   X 28-13605      1531
                                                                 743          23      X     28-13663                            23
                                                              22,506         697      X   X 28-13663       697

JAGUAR MNG INC                 COM            47009M103        3,760         800      X   X 28-5284        800

JAKKS PAC INC                  COM            47012E106        3,222         170      X     28-5284                            170
                                                               5,685         300      X   X 28-5284                            300

JAMES RIVER COAL CO            COM NEW        470355207          134          21      X     28-5284         21

JANUS CAP GROUP INC            COM            47102X105       10,842       1,807      X     28-5284                           1807
                                                               7,758       1,293      X   X 28-5284       1065                 228
                                                              27,408       4,568      X     28-13605      1356                3212
                                                               2,100         350      X   X 28-13605                           350

JARDEN CORP                    COM            471109108       15,571         551      X   X 28-5284        551

JAZZ PHARMACEUTICALS INC       COM            472147107      142,096       3,424      X     28-13605      3424

JEFFERIES GROUP INC NEW        DBCV  3.875%11 472319AG7      548,250       6,000      X   X 28-5284       6000

JEFFERIES GROUP INC NEW        COM            472319102       51,415       4,143      X     28-5284        942                3201
                                                             183,445      14,782      X   X 28-5284        469               14313
                                                               2,395         193      X   X 28-13605       193

JEFFERSON BANCSHARES INC TEN   COM            472375104        9,415       3,500      X   X 28-5284       3500

JETBLUE AIRWAYS CORP           COM            477143101        6,184       1,512      X     28-5284       1512

JOHN BEAN TECHNOLOGIES CORP    COM            477839104          485          34      X   X 28-5284         34
               COLUMN TOTAL                                5,461,391







                                                                                                                   FILE NO. 28-1235
 PAGE   143 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
JOHNSON & JOHNSON              COM            478160104  254,935,784   4,002,760      X     28-5284    3942813       800     59147
                                                         225,348,276   3,538,205      X   X 28-5284    3226989      3600    307616
                                                          77,597,285   1,218,359      X     28-13605   1117476              100883
                                                          29,943,662     470,147      X   X 28-13605    431031       485     38631
                                                           1,667,914      26,188      X     28-13663     22081                4107
                                                           5,112,014      80,264      X   X 28-13663     79772                 492

JOHNSON CTLS INC               NOTE  6.500% 9 478366AS6      471,500       2,000      X     28-5284       2000

JOHNSON CTLS INC               COM            478366107   23,034,881     873,526      X     28-5284     864688                8838
                                                          14,422,544     546,930      X   X 28-5284     510392      2000     34538
                                                           2,636,183      99,969      X     28-13605     93549                6420
                                                           1,667,903      63,250      X   X 28-13605     60405       465      2380
                                                             109,620       4,157      X     28-13663      4048                 109
                                                             145,299       5,510      X   X 28-13663      5510

JONES LANG LASALLE INC         COM            48020Q107       11,398         220      X   X 28-5284        220
                                                               1,554          30      X   X 28-13605        30

JONES GROUP INC                COM            48020T101        8,565         930      X   X 28-13605       930

JOS A BANK CLOTHIERS INC       COM            480838101      151,548       3,250      X     28-5284       3250
                                                             125,901       2,700      X   X 28-5284       2700

JOY GLOBAL INC                 COM            481165108   11,302,570     181,189      X     28-5284     177607                3582
                                                           3,357,604      53,825      X   X 28-5284      41588               12237
                                                          15,923,680     255,269      X     28-13605    248938                6331
                                                           3,081,946      49,406      X   X 28-13605     47071                2335
                                                              22,769         365      X     28-13663       365
                                                              36,180         580      X   X 28-13663       580

JUNIPER NETWORKS INC           COM            48203R104      210,330      12,186      X     28-5284      11084                1102
                                                              31,551       1,828      X   X 28-5284       1497                 331
                                                             188,531      10,923      X     28-13605      4050                6873
                                                              17,001         985      X   X 28-13605       985
                                                               4,073         236      X     28-13663                           236

KAR AUCTION SVCS INC           COM            48238T109        2,313         191      X   X 28-5284        191

KB FINANCIAL GROUP INC         SPONSORED ADR  48241A105       31,220         953      X     28-5284        953
                                                                 131           4      X   X 28-5284          4
               COLUMN TOTAL                              671,601,730







                                                                                                                   FILE NO. 28-1235
 PAGE   144 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KBR INC                        COM            48242W106    2,013,394      85,205      X     28-5284      82725                2480
                                                           1,066,847      45,148      X   X 28-5284      45148
                                                           2,658,895     112,522      X     28-13605    111630                 892
                                                             487,841      20,645      X   X 28-13605     18645                2000
                                                              11,815         500      X     28-13663       500

KKR FINANCIAL HLDGS LLC        COM            48248A306        4,941         665      X     28-5284        665
                                                              18,575       2,500      X   X 28-5284       2500

KKR & CO L P DEL               COM UNITS      48248M102       31,200       3,000      X     28-5284       3000

KLA-TENCOR CORP                COM            482480100       63,813       1,667      X     28-5284       1400                 267
                                                             561,836      14,677      X   X 28-5284       4577               10100
                                                             102,705       2,683      X     28-13605       786                1897
                                                               2,680          70      X     28-13663                            70

KMG CHEMICALS INC              COM            482564101       49,280       4,000      X     28-5284       4000

K-SWISS INC                    CL A           482686102        1,020         240      X     28-5284                            240

K12 INC                        COM            48273U102      209,587       8,232      X   X 28-5284                           8232
                                                              10,184         400      X     28-13605                           400
                                                             171,855       6,750      X   X 28-13605      6750

KVH INDS INC                   COM            482738101       19,182       2,425      X   X 28-5284                           2425

KADANT INC                     COM            48282T104           18           1      X     28-5284          1

KAISER ALUMINUM CORP           COM PAR $0.01  483007704       64,649       1,460      X     28-5284                           1460
                                                             322,358       7,280      X   X 28-5284        300                6980

KAMAN CORP                     COM            483548103        4,735         170      X     28-5284                            170
                                                             179,633       6,450      X     28-13605      6450

KANSAS CITY SOUTHERN           COM NEW        485170302      244,105       4,886      X     28-5284       4886
                                                           3,957,082      79,205      X   X 28-5284      72205                7000
                                                              13,989         280      X     28-13605       280
                                                               4,996         100      X   X 28-13605                           100

KAPSTONE PAPER & PACKAGING C   COM            48562P103      191,265      13,770      X   X 28-5284                          13770

KAYDON CORP                    COM            486587108       78,354       2,732      X     28-5284       2732
               COLUMN TOTAL                               12,546,834







                                                                                                                   FILE NO. 28-1235
 PAGE   145 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KAYNE ANDERSON ENRGY TTL RT    COM            48660P104       74,118       3,064      X     28-5284       3064
                                                               4,838         200      X   X 28-5284        200

KAYNE ANDERSON MLP INVSMNT C   COM            486606106      259,338       9,322      X     28-5284       9322
                                                              97,926       3,520      X   X 28-5284       3520

KELLOGG CO                     COM            487836108    2,886,621      54,270      X     28-5284      49819                4451
                                                           2,670,032      50,198      X   X 28-5284      48581                1617
                                                             356,001       6,693      X     28-13605      3643                3050
                                                             297,598       5,595      X   X 28-13605      5495                 100
                                                             138,932       2,612      X     28-13663      2500                 112
                                                             132,975       2,500      X   X 28-13663      2500

KELLY SVCS INC                 CL A           488152208          650          57      X     28-13605        57

KEMET CORP                     COM NEW        488360207       88,624      12,395      X     28-13605     12395

KEMPER CORP DEL                COM            488401100       46,938       1,959      X     28-5284        639                1320
                                                               8,314         347      X   X 28-5284        347

KENNAMETAL INC                 COM            489170100      156,334       4,775      X     28-5284       4775
                                                             359,911      10,993      X   X 28-5284       5688                5305
                                                              82,767       2,528      X     28-13605      2528

KENSEY NASH CORP               COM            490057106       24,500       1,000      X   X 28-5284       1000

KEY ENERGY SVCS INC            COM            492914106        7,592         800      X     28-5284        800
                                                             341,327      35,967      X     28-13605     35967

KEYCORP NEW                    COM            493267108      244,986      41,313      X     28-5284      30879               10434
                                                             291,720      49,194      X   X 28-5284      22074               27120
                                                             101,000      17,032      X     28-13605      5113               11919
                                                               1,394         235      X   X 28-13605       235
                                                               1,512         255      X     28-13663                           255
                                                              11,202       1,889      X   X 28-13663      1889

KEYCORP NEW                    PFD 7.75% SR A 493267405       29,067         285      X     28-5284        285
                                                              15,299         150      X   X 28-5284                            150

KILROY RLTY CORP               COM            49427F108       10,955         350      X     28-5284                            350
               COLUMN TOTAL                                8,742,471







                                                                                                                   FILE NO. 28-1235
 PAGE   146 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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   47,519,182     669,190      X     28-5284     662115                7075
                                                          44,158,776     621,867      X   X 28-5284     603158      1000     17709
                                                           4,998,891      70,397      X     28-13605     65507                4890
                                                           2,644,696      37,244      X   X 28-13605     36879       345        20
                                                             358,814       5,053      X     28-13663      4717                 336
                                                             478,181       6,734      X   X 28-13663      6382                 352

KIMCO RLTY CORP                COM            49446R109       78,276       5,208      X     28-5284        775                4433
                                                             101,272       6,738      X   X 28-5284       5815                 923
                                                             115,641       7,694      X     28-13605      2982                4712
                                                              90,180       6,000      X   X 28-13605                          6000

KINDER MORGAN MANAGEMENT LLC   SHS            49455U100      141,795       2,416      X     28-5284       2416
                                                           1,362,547      23,216      X   X 28-5284      23216
                                                               6,515         111      X     28-13605       111
                                                              12,149         207      X     28-13663       207

KINDER MORGAN ENERGY PARTNER   UT LTD PARTNER 494550106   15,085,654     220,615      X     28-5284     219815                 800
                                                          13,735,354     200,868      X   X 28-5284     196218                4650
                                                           1,045,872      15,295      X     28-13605     15295
                                                             700,485      10,244      X   X 28-13605     10244
                                                              34,190         500      X     28-13663       500
                                                             283,093       4,140      X   X 28-13663      4140

KINDER MORGAN INC DEL          COM            49456B101        8,518         329      X     28-5284        329
                                                             137,398       5,307      X   X 28-5284       5307

KINDRED HEALTHCARE INC         COM            494580103        6,034         700      X     28-5284        700
                                                              65,796       7,633      X   X 28-5284       7633

KINETIC CONCEPTS INC           COM NEW        49460W208       13,178         200      X     28-5284        200
                                                              52,053         790      X   X 28-5284        790
                                                             307,970       4,674      X     28-13605      4674
                                                              18,449         280      X   X 28-13605       280

KINROSS GOLD CORP              COM NO PAR     496902404      140,558       9,510      X     28-5284       2232                7278
                                                             199,944      13,528      X   X 28-5284       2200               11328
                                                              10,849         734      X     28-13605       734
                                                               2,779         188      X   X 28-13605       188

KIRBY CORP                     COM            497266106       26,373         501      X     28-5284        501
                                                              34,111         648      X   X 28-5284        648
               COLUMN TOTAL                              133,975,573







                                                                                                                   FILE NO. 28-1235
 PAGE   147 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KNOLL INC                      COM NEW        498904200        3,589         262      X     28-5284        262

KNIGHT CAP GROUP INC           CL A COM       499005106       41,295       3,396      X     28-5284       3396

KNIGHT TRANSN INC              COM            499064103      246,368      18,510      X   X 28-5284      14700                3810

KNOLOGY INC                    COM            499183804           65           5      X     28-5284          5

KOHLS CORP                     COM            500255104    3,416,427      69,581      X     28-5284      60681                8900
                                                           2,029,401      41,332      X   X 28-5284      29516               11816
                                                             611,344      12,451      X     28-13605      9069                3382
                                                             163,503       3,330      X   X 28-13605      3330
                                                              26,809         546      X     28-13663       200                 346

KONINKLIJKE PHILIPS ELECTRS    NY REG SH NEW  500472303       57,247       3,191      X     28-5284       3191
                                                             140,775       7,847      X   X 28-5284       1822                6025
                                                               8,970         500      X     28-13605       500
                                                              14,352         800      X   X 28-13605       800

KOPPERS HOLDINGS INC           COM            50060P106      523,110      20,426      X     28-5284      20426
                                                             171,331       6,690      X   X 28-5284       6690

KOPIN CORP                     COM            500600101        1,406         410      X     28-5284                            410

KOREA ELECTRIC PWR             SPONSORED ADR  500631106       32,360       3,807      X     28-5284                           3807
                                                              34,000       4,000      X   X 28-5284       4000

KOREA FD                       COM NEW        500634209      223,020       6,000      X   X 28-5284       6000

KORN FERRY INTL                COM NEW        500643200        1,341         110      X     28-13605       110

KRAFT FOODS INC                CL A           50075N104   58,114,320   1,730,623      X     28-5284    1695839               34784
                                                          48,426,188   1,442,114      X   X 28-5284    1277152     10400    154562
                                                          23,396,227     696,731      X     28-13605    588844              107887
                                                           6,204,677     184,773      X   X 28-13605    178333                6440
                                                             224,717       6,692      X     28-13663      1700                4992
                                                             335,196       9,982      X   X 28-13663      9769                 213

KRATON PERFORMANCE POLYMERS    COM            50077C106        5,534         342      X     28-5284        342
                                                             170,699      10,550      X   X 28-5284                          10550

KRISPY KREME DOUGHNUTS INC     COM            501014104          682         100      X   X 28-5284        100
                                                               3,410         500      X   X 28-13605       500
               COLUMN TOTAL                              144,628,363







                                                                                                                   FILE NO. 28-1235
 PAGE   148 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KROGER CO                      COM            501044101    1,485,792      67,659      X     28-5284      66881                 778
                                                             717,894      32,691      X   X 28-5284      32091                 600
                                                             215,450       9,811      X     28-13605      2985                6826
                                                               5,907         269      X   X 28-13663       269

KRONOS WORLDWIDE INC           COM            50105F105        2,894         180      X   X 28-5284        180

KUBOTA CORP                    ADR            501173207          599          15      X   X 28-5284         15

KULICKE & SOFFA INDS INC       COM            501242101        7,311         980      X     28-5284        500                 480
                                                               1,775         238      X     28-13605       238

KYOCERA CORP                   ADR            501556203       41,645         500      X   X 28-5284                            500

LDK SOLAR CO LTD               SPONSORED ADR  50183L107          368         118      X     28-5284        118
                                                                 480         154      X     28-13605       154

LKQ CORP                       COM            501889208        1,063          44      X     28-5284         44
                                                             264,383      10,943      X   X 28-5284       1593                9350
                                                              28,992       1,200      X     28-13605                          1200
                                                             227,950       9,435      X   X 28-13605      9435

LMI AEROSPACE INC              COM            502079106        8,530         500      X     28-5284        500
                                                              66,432       3,894      X     28-13605      3894

LMP REAL ESTATE INCOME FD IN   COM            50208C108      217,250      25,000      X   X 28-5284      25000

LPL INVT HLDGS INC             COM            50213H100       26,411       1,039      X   X 28-5284        239                 800

LSI INDS INC                   COM            50216C108       83,906      13,468      X   X 28-5284      10000                3468

LSB INDS INC                   COM            502160104        2,179          76      X     28-13605        76

LSI CORPORATION                COM            502161102       18,151       3,504      X     28-5284       2112                1392
                                                              75,353      14,547      X   X 28-5284      14547
                                                              50,837       9,814      X     28-13605      2915                6899
                                                              13,515       2,609      X   X 28-13605      2584                  25

LTC PPTYS INC                  COM            502175102      516,832      20,412      X     28-13605     20412

L-3 COMMUNICATIONS CORP        DEBT  3.000% 8 502413AW7      190,000       2,000      X     28-13605      2000
               COLUMN TOTAL                                4,271,899







                                                                                                                   FILE NO. 28-1235
 PAGE   149 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
L-3 COMMUNICATIONS HLDGS INC   COM            502424104      596,895       9,632      X     28-5284       9153                 479
                                                             623,914      10,068      X   X 28-5284       9568                 500
                                                             145,072       2,341      X     28-13605      1070                1271
                                                               5,887          95      X   X 28-13605        95
                                                               1,549          25      X     28-13663                            25

LA Z BOY INC                   COM            505336107        2,668         360      X     28-5284                            360

LABORATORY CORP AMER HLDGS     COM NEW        50540R409      795,006      10,057      X     28-5284       9753                 304
                                                             937,691      11,862      X   X 28-5284       8782                3080
                                                             582,994       7,375      X     28-13605      6123                1252
                                                             313,829       3,970      X   X 28-13605      3970
                                                               1,265          16      X     28-13663                            16
                                                              71,145         900      X   X 28-13663       900

LACLEDE GROUP INC              COM            505597104       44,175       1,140      X     28-5284       1000                 140
                                                             112,375       2,900      X   X 28-5284       2000                 900
                                                             123,186       3,179      X     28-13605      3179

LADENBURG THALMAN FIN SVCS I   COM            50575Q102        1,550       1,000      X     28-5284       1000

LAKE SHORE GOLD CORP           COM            510728108       61,035      41,240      X   X 28-13605     41240

LAKELAND BANCORP INC           COM            511637100      144,623      18,494      X     28-5284      18494
                                                              14,897       1,905      X   X 28-5284                           1905

LAM RESEARCH CORP              COM            512807108      647,825      17,057      X     28-5284       5266               11791
                                                             399,094      10,508      X   X 28-5284       3133                7375
                                                             253,441       6,673      X     28-13605      6673
                                                              83,936       2,210      X   X 28-13605      2210
                                                              15,382         405      X     28-13663                           405

LAMAR ADVERTISING CO           CL A           512815101       92,694       5,443      X   X 28-5284       5443

LANDAUER INC                   COM            51476K103        7,431         150      X     28-5284        150
                                                              28,486         575      X   X 28-5284        575

LANDSTAR SYS INC               COM            515098101       25,674         649      X     28-5284        649
                                                              16,101         407      X   X 28-5284        407
               COLUMN TOTAL                                6,149,820







                                                                                                                   FILE NO. 28-1235
 PAGE   150 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LAS VEGAS SANDS CORP           COM            517834107      740,039      19,302      X     28-5284       8482               10820
                                                             407,401      10,626      X   X 28-5284       3236                7390
                                                              63,874       1,666      X     28-13605      1666
                                                              14,071         367      X   X 28-13605                           367
                                                              32,589         850      X     28-13663                           850

LASALLE HOTEL PPTYS            COM SH BEN INT 517942108      436,589      22,739      X     28-5284                          22739
                                                             108,134       5,632      X   X 28-5284                           5632
                                                              16,819         876      X     28-13663                           876

LATIN AMERN DISCOVERY FD INC   COM            51828C106       75,712       5,600      X   X 28-5284       5600

LATTICE SEMICONDUCTOR CORP     COM            518415104      295,097      56,209      X     28-13605     56209

LAUDER ESTEE COS INC           CL A           518439104   14,779,519     168,255      X     28-5284     164046                4209
                                                           3,701,578      42,140      X   X 28-5284      41861                 279
                                                          26,486,395     301,530      X     28-13605    294867                6663
                                                           5,278,920      60,097      X   X 28-13605     57198                2899
                                                              80,549         917      X     28-13663       875                  42
                                                             127,368       1,450      X   X 28-13663      1450

LAWSON PRODS INC               COM            520776105          406          30      X     28-5284                             30
                                                              11,830         875      X   X 28-5284                            875

LAYNE CHRISTENSEN CO           COM            521050104       47,355       2,050      X     28-5284                           2050
                                                               1,617          70      X   X 28-5284                             70
                                                               2,079          90      X     28-13663                            90

LEAPFROG ENTERPRISES INC       CL A           52186N106       14,828       4,400      X   X 28-5284                           4400

LEAR CORP                      COM NEW        521865204       26,598         620      X     28-5284        190                 430
                                                              36,722         856      X   X 28-5284        856

LEE ENTERPRISES INC            COM            523768109        2,223       2,850      X   X 28-5284                           2850

LEGGETT & PLATT INC            COM            524660107    5,002,417     252,775      X     28-5284     244191                8584
                                                           3,430,953     173,368      X   X 28-5284     159241               14127
                                                           1,708,589      86,336      X     28-13605     84346                1990
                                                             497,798      25,154      X   X 28-13605     24437       675        42
                                                              74,470       3,763      X     28-13663      3043                 720
                                                              77,913       3,937      X   X 28-13663      3937

LEGACY RESERVES LP             UNIT LP INT    524707304       41,520       1,600      X   X 28-5284       1600
               COLUMN TOTAL                               63,621,972







                                                                                                                   FILE NO. 28-1235
 PAGE   151 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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      115,412       4,489      X     28-5284       3287                1202
                                                             172,514       6,710      X   X 28-5284       6569                 141
                                                             499,262      19,419      X     28-13605     18191                1228
                                                             144,233       5,610      X   X 28-13605      5610
                                                               3,779         147      X     28-13663                           147

LENDER PROCESSING SVCS INC     COM            52602E102        8,214         600      X     28-5284        600
                                                             581,099      42,447      X   X 28-5284      42447

LENNAR CORP                    CL A           526057104       16,830       1,243      X     28-5284        451                 792
                                                               6,499         480      X   X 28-5284        480
                                                              35,827       2,646      X     28-13605       773                1873

LENNOX INTL INC                COM            526107107       11,472         445      X   X 28-5284        445
                                                              57,257       2,221      X     28-13605      2221

LEUCADIA NATL CORP             COM            527288104      222,468       9,809      X     28-5284       6655                3154
                                                             814,053      35,893      X   X 28-5284      24643               11250
                                                              83,281       3,672      X     28-13605      1455                2217
                                                           1,461,272      64,430      X   X 28-13605     64430

LEVEL 3 COMMUNICATIONS INC     COM            52729N100       34,224      22,969      X     28-5284      16143                6826
                                                              25,567      17,159      X   X 28-5284      17159
                                                              29,800      20,000      X   X 28-13605     20000

LEXINGTON REALTY TRUST         COM            529043101       17,619       2,694      X     28-5284       2694

LEXMARK INTL NEW               CL A           529771107       16,002         592      X     28-5284                            592
                                                              44,708       1,654      X   X 28-5284       1500                 154
                                                              30,814       1,140      X     28-13605       373                 767
                                                               1,216          45      X     28-13663                            45

LIBERTY ALL STAR EQUITY FD     SH BEN INT     530158104          201          49      X     28-5284         49

LIBERTY GLOBAL INC             COM SER A      530555101      495,413      13,693      X     28-5284        424               13269
                                                             637,202      17,612      X   X 28-5284      10745                6867
                                                              16,281         450      X     28-13605       450
                                                           1,229,794      33,991      X   X 28-13605     33991
               COLUMN TOTAL                                6,812,313







                                                                                                                   FILE NO. 28-1235
 PAGE   152 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 GLOBAL INC             COM SER C      530555309    1,291,957      37,329      X     28-5284        410               36919
                                                           1,596,871      46,139      X   X 28-5284      10735               35404
                                                              15,575         450      X     28-13605       450
                                                           1,176,429      33,991      X   X 28-13605     33991
                                                              96,908       2,800      X     28-13663                          2800

LIBERTY MEDIA CORP NEW         INT COM SER A  53071M104       64,708       4,384      X     28-5284       4384
                                                              74,361       5,038      X   X 28-5284       4538                 500
                                                               5,387         365      X   X 28-13605       365

LIBERTY MEDIA CORP NEW         DEB   3.125% 3 530718AF2      214,750       2,000      X     28-13605      2000

LIBERTY PPTY TR                SH BEN INT     531172104       77,607       2,666      X     28-5284       2666
                                                              80,955       2,781      X   X 28-5284       2781

LIFE PARTNERS HOLDINGS INC     COM            53215T106       30,250       5,000      X     28-5284       5000

LIFE TIME FITNESS INC          COM            53217R207       40,572       1,101      X     28-5284        824                 277
                                                               6,928         188      X   X 28-13605       188

LIFE TECHNOLOGIES CORP         COM            53217V109    1,624,129      42,262      X     28-5284       6478               35784
                                                           1,456,266      37,894      X   X 28-5284      18848               19046
                                                             108,065       2,812      X     28-13605       833                1979
                                                              27,170         707      X   X 28-13605       707
                                                             125,282       3,260      X     28-13663                          3260
                                                               3,881         101      X   X 28-13663                           101

LIFEPOINT HOSPITALS INC        COM            53219L109      106,769       2,914      X     28-5284       2914
                                                               8,684         237      X   X 28-5284        237

LILLY ELI & CO                 COM            532457108   18,994,964     513,794      X     28-5284     496544               17250
                                                          13,353,453     361,197      X   X 28-5284     325736      3076     32385
                                                           4,426,529     119,733      X     28-13605    106733               13000
                                                           2,088,694      56,497      X   X 28-13605     55332       650       515
                                                              33,532         907      X     28-13663       603                 304
                                                             565,789      15,304      X   X 28-13663     15304

LIMITED BRANDS INC             COM            532716107   26,698,867     693,297      X     28-5284     684605                8692
                                                           6,366,011     165,308      X   X 28-5284     156910      1000      7398
                                                          28,844,144     749,004      X     28-13605    683500               65504
                                                           5,744,845     149,178      X   X 28-13605    143157       720      5301
                                                             152,307       3,955      X     28-13663      3919                  36
                                                              34,659         900      X   X 28-13663       900
               COLUMN TOTAL                              115,537,298







                                                                                                                   FILE NO. 28-1235
 PAGE   153 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LINCARE HLDGS INC              COM            532791100      212,423       9,441      X   X 28-5284       2141                7300

LINCOLN EDL SVCS CORP          COM            533535100        8,090       1,000      X     28-5284       1000

LINCOLN ELEC HLDGS INC         COM            533900106      212,643       7,330      X     28-5284       7330
                                                           3,172,534     109,360      X   X 28-5284     109360

LINCOLN NATL CORP IND          COM            534187109      235,669      15,078      X     28-5284      14955                 123
                                                             840,753      53,791      X   X 28-5284      53791
                                                           2,053,923     131,409      X     28-13605    127852                3557
                                                             133,637       8,550      X   X 28-13605      8550
                                                               4,251         272      X     28-13663                           272

LINDSAY CORP                   COM            535555106        3,766          70      X     28-5284                             70
                                                              67,250       1,250      X   X 28-5284       1000                 250

LINEAR TECHNOLOGY CORP         COM            535678106    8,364,457     302,512      X     28-5284     297884                4628
                                                           2,005,703      72,539      X   X 28-5284      69869                2670
                                                             295,883      10,701      X     28-13605      8173                2528
                                                               6,913         250      X   X 28-13605       250
                                                              83,531       3,021      X     28-13663      2956                  65
                                                             164,103       5,935      X   X 28-13663      5935

LINKEDIN CORP                  COM CL A       53578A108        3,279          42      X   X 28-5284         42

LIONS GATE ENTMNT CORP         COM NEW        535919203       69,000      10,000      X     28-13605     10000

LINN ENERGY LLC                UNIT LTD LIAB  536020100   15,745,138     441,535      X     28-5284     437035                4500
                                                          12,944,865     363,008      X   X 28-5284     343561               19447
                                                           4,875,293     136,716      X     28-13605    135727                 989
                                                           3,348,438      93,899      X   X 28-13605     92461       600       838
                                                             147,989       4,150      X     28-13663      4150

LIQUIDITY SERVICES INC         COM            53635B107      109,679       3,420      X   X 28-5284       1150                2270
                                                           1,813,975      56,563      X     28-13605     46250               10313
                                                               8,018         250      X   X 28-13605       250

LITHIA MTRS INC                CL A           536797103      177,622      12,352      X     28-13605     12352

LITTELFUSE INC                 COM            537008104        4,021         100      X   X 28-5284        100
                                                           1,488,011      37,006      X     28-13605     30929                6077
                                                               5,911         147      X   X 28-13605       147
               COLUMN TOTAL                               58,606,768







                                                                                                                   FILE NO. 28-1235
 PAGE   154 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 ENTERTAINMENT IN   COM            538034109          200          25      X     28-5284         25
                                                                 136          17      X   X 28-5284         17

LIZ CLAIBORNE INC              COM            539320101        3,760         752      X     28-5284        752
                                                              14,575       2,915      X   X 28-5284       2915

LLOYDS BANKING GROUP PLC       SPONSORED ADR  539439109        1,302         623      X     28-5284        623
                                                              21,983      10,518      X   X 28-5284      10518

LOCKHEED MARTIN CORP           COM            539830109    9,097,797     125,245      X     28-5284     120743                4502
                                                           3,538,367      48,711      X   X 28-5284      44064                4647
                                                           1,003,812      13,819      X     28-13605     11152                2667
                                                           1,886,170      25,966      X   X 28-13605     21466                4500
                                                              13,220         182      X     28-13663                           182

LOEWS CORP                     COM            540424108      722,130      20,901      X     28-5284       7394               13507
                                                           1,817,606      52,608      X   X 28-5284      20843               31765
                                                             210,548       6,094      X     28-13605      2501                3593
                                                               1,451          42      X   X 28-13605        42
                                                              71,899       2,081      X     28-13663                          2081

LOGMEIN INC                    COM            54142L109        3,321         100      X   X 28-5284        100

LORAL SPACE & COMMUNICATNS I   COM            543881106        1,152          23      X     28-5284         23

LORILLARD INC                  COM            544147101      408,815       3,693      X     28-5284       3426                 267
                                                             306,528       2,769      X   X 28-5284       2637                 132
                                                             380,033       3,433      X     28-13605      1708                1725
                                                               5,646          51      X     28-13663                            51
                                                              51,365         464      X   X 28-13663       464

LOUISIANA PAC CORP             COM            546347105        7,395       1,450      X     28-5284       1450
                                                               7,104       1,393      X   X 28-5284       1393
                                                               1,591         312      X   X 28-13605       312

LOWES COS INC                  COM            548661107    9,202,262     475,815      X     28-5284     465742               10073
                                                           5,458,386     282,233      X   X 28-5284     272962                9271
                                                           4,148,179     214,487      X     28-13605    199079               15408
                                                             181,448       9,382      X   X 28-13605      9382
                                                             104,378       5,397      X     28-13663      5100                 297
                                                              49,472       2,558      X   X 28-13663      2540                  18

LUCENT TECHNOLOGIES INC        DBCV  2.875% 6 549463AH0      831,375       9,000      X   X 28-13605      9000
               COLUMN TOTAL                               39,553,406







                                                                                                                   FILE NO. 28-1235
 PAGE   155 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LUFKIN INDS INC                COM            549764108      103,866       1,952      X     28-5284       1112                 840
                                                              53,210       1,000      X   X 28-5284                           1000
                                                               2,873          54      X   X 28-13605        54

LULULEMON ATHLETICA INC        COM            550021109      206,640       4,244      X     28-5284       4244
                                                              35,982         739      X   X 28-5284        739
                                                               1,802          37      X     28-13605        37

LUXOTTICA GROUP S P A          SPONSORED ADR  55068R202      184,192       7,315      X   X 28-5284       3000                4315

LYDALL INC DEL                 COM            550819106        1,157         130      X     28-5284                            130

M & T BK CORP                  COM            55261F104    5,947,721      85,089      X     28-5284      83662                1427
                                                           4,166,879      59,612      X   X 28-5284      57399                2213
                                                           7,738,070     110,702      X     28-13605     79377               31325
                                                           1,289,026      18,441      X   X 28-13605     18085       335        21
                                                              33,203         475      X     28-13663       404                  71
                                                              76,401       1,093      X   X 28-13663      1093

MBIA INC                       COM            55262C100       11,770       1,619      X     28-5284        875                 744
                                                              11,378       1,565      X   X 28-5284       1565

MB FINANCIAL INC NEW           COM            55264U108          221          15      X   X 28-13605                            15

M D C HLDGS INC                COM            552676108       10,604         626      X     28-5284        626
                                                              10,164         600      X   X 28-5284                            600

MDU RES GROUP INC              COM            552690109      138,206       7,202      X     28-5284       7002                 200
                                                           4,781,764     249,180      X   X 28-5284     236580               12600
                                                             277,123      14,441      X     28-13605     14441
                                                              27,826       1,450      X   X 28-13605      1450

MEMC ELECTR MATLS INC          COM            552715104       68,607      13,093      X     28-5284      10465                2628
                                                              19,681       3,756      X   X 28-5284       2886                 870
                                                              29,622       5,653      X     28-13605      1103                4550

MFA FINANCIAL INC              COM            55272X102       56,160       8,000      X     28-5284       8000

MFS INTER INCOME TR            SH BEN INT     55273C107       32,400       5,400      X     28-5284       5400
                                                               5,400         900      X   X 28-5284        900

MFS MUN INCOME TR              SH BEN INT     552738106       45,225       6,700      X     28-5284       6700
               COLUMN TOTAL                               25,367,173







                                                                                                                   FILE NO. 28-1235
 PAGE   156 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MF GLOBAL HLDGS LTD            COM            55277J108       21,476       5,200      X   X 28-5284       5200

MGE ENERGY INC                 COM            55277P104       67,106       1,650      X   X 28-5284       1050                 600
                                                              14,235         350      X   X 28-13605       350

MELA SCIENCES INC              COM            55277R100        2,215         500      X     28-13605       500

MGIC INVT CORP WIS             COM            552848103          281         150      X   X 28-13605       150

MFS GOVT MKTS INCOME TR        SH BEN INT     552939100          127          19      X   X 28-5284         19

MGM RESORTS INTERNATIONAL      COM            552953101      343,303      36,954      X     28-5284      36954
                                                              11,259       1,212      X   X 28-5284       1212
                                                              16,258       1,750      X     28-13605      1750

MKS INSTRUMENT INC             COM            55306N104       15,197         700      X   X 28-5284                            700

MPG OFFICE TR INC              COM            553274101        2,110       1,000      X   X 28-5284       1000

MSC INDL DIRECT INC            CL A           553530106       20,213         358      X   X 28-5284        358
                                                             162,153       2,872      X     28-13605      2872

MSCI INC                       CL A           55354G100       16,469         543      X   X 28-5284        543

MTS SYS CORP                   COM            553777103       82,728       2,700      X     28-5284       2700
                                                             578,790      18,890      X   X 28-5284      18890

MVC CAPITAL INC                COM            553829102       21,139       2,019      X   X 28-5284       2019

MV OIL TR                      TR UNITS       553859109       22,161         597      X   X 28-5284        597

MWI VETERINARY SUPPLY INC      COM            55402X105       51,615         750      X     28-5284        750
                                                           1,947,262      28,295      X     28-13605     23112                5183
                                                               8,534         124      X   X 28-13605       124

MYR GROUP INC DEL              COM            55405W104       47,628       2,700      X     28-5284                           2700

MACERICH CO                    COM            554382101       23,063         541      X     28-5284         21                 520
                                                              44,932       1,054      X   X 28-5284       1054

MACK CALI RLTY CORP            COM            554489104       15,649         585      X     28-5284        585
                                                             260,625       9,743      X   X 28-5284       5443                4300
               COLUMN TOTAL                                3,796,528







                                                                                                                   FILE NO. 28-1235
 PAGE   157 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MACKINAC FINL CORP             COM            554571109      136,500      25,000      X   X 28-5284                          25000

MACQUARIE INFRASTR CO LLC      MEMBERSHIP INT 55608B105       56,100       2,500      X     28-5284       2500
                                                             112,200       5,000      X   X 28-5284       5000
                                                             190,426       8,486      X     28-13605      8486

MACQUARIE GLBL INFRA TOTL RE   COM            55608D101           15           1      X   X 28-5284          1

MACYS INC                      COM            55616P104   16,498,903     626,858      X     28-5284     608595               18263
                                                           3,678,404     139,757      X   X 28-5284     119422               20335
                                                          28,576,493   1,085,733      X     28-13605   1062219               23514
                                                           5,815,378     220,949      X   X 28-13605    210497               10452
                                                              75,223       2,858      X     28-13663      2500                 358
                                                              14,476         550      X   X 28-13663       550

MADDEN STEVEN LTD              COM            556269108       13,876         461      X     28-5284        461
                                                              36,120       1,200      X   X 28-5284        100                1100
                                                              80,969       2,690      X     28-13605      2690

MADISON SQUARE GARDEN CO       CL A           55826P100       76,631       3,361      X     28-5284       3361
                                                               9,895         434      X   X 28-5284        434
                                                           1,212,686      53,188      X     28-13605     43643                9545
                                                               5,677         249      X   X 28-13605       249

MAG SILVER CORP                COM            55903Q104        3,920         500      X     28-5284        500
                                                             588,000      75,000      X     28-13605     75000
                                                           1,783,600     227,500      X   X 28-13605    227500

MAGELLAN HEALTH SVCS INC       COM NEW        559079207       86,747       1,796      X     28-13605      1796

MAGELLAN MIDSTREAM PRTNRS LP   COM UNIT RP LP 559080106    2,696,860      44,650      X     28-5284      44450                 200
                                                           2,283,905      37,813      X   X 28-5284      31991                5822
                                                             567,760       9,400      X     28-13605      9400
                                                              15,100         250      X     28-13663       250

MAGNA INTL INC                 COM            559222401        6,594         200      X     28-5284        200
                                                               5,011         152      X   X 28-5284        152
                                                               1,583          48      X   X 28-13605        48

MAGNUM HUNTER RES CORP DEL     COM            55973B102            3           1      X     28-5284          1

MAKITA CORP                    ADR NEW        560877300      259,208       7,275      X   X 28-5284                           7275
               COLUMN TOTAL                               64,888,263







                                                                                                                   FILE NO. 28-1235
 PAGE   158 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MAKO SURGICAL CORP             COM            560879108        5,133         150      X     28-5284        150

MALAYSIA FD INC                COM            560905101       47,663       5,255      X   X 28-5284       5255

MANHATTAN ASSOCS INC           COM            562750109       54,549       1,649      X     28-5284       1519                 130

MANITOWOC INC                  COM            563571108       34,979       5,213      X     28-5284       4949                 264
                                                             123,947      18,472      X   X 28-5284        200               18272

MANNKIND CORP                  COM            56400P201        3,790       1,000      X     28-5284       1000

MANPOWERGROUP INC              COM            56418H100       83,512       2,484      X     28-5284       2484

MANULIFE FINL CORP             COM            56501R106      929,638      82,051      X     28-5284      82051
                                                             639,205      56,417      X   X 28-5284      55996       421
                                                               3,444         304      X     28-13605       304
                                                              81,055       7,154      X   X 28-13605      2154                5000

MAP PHARMACEUTICALS INC        COM            56509R108       12,369         846      X     28-13605       846

MARATHON OIL CORP              COM            565849106    9,050,026     419,371      X     28-5284     406297               13074
                                                           3,817,286     176,890      X   X 28-5284     158571               18319
                                                             307,709      14,259      X     28-13605      7722                6537
                                                             116,403       5,394      X   X 28-13605      5394
                                                              77,774       3,604      X     28-13663      3312                 292
                                                              28,054       1,300      X   X 28-13663      1300

MARATHON PETE CORP             COM            56585A102    4,990,324     184,417      X     28-5284     181277                3140
                                                           2,045,411      75,588      X   X 28-5284      66481                9107
                                                             186,335       6,886      X     28-13605      2773                4113
                                                              78,907       2,916      X   X 28-13605      2916
                                                              48,519       1,793      X     28-13663      1661                 132
                                                              19,510         721      X   X 28-13663       721

MARINE PETE TR                 UNIT BEN INT   568423107       10,361         500      X     28-5284        500

MARINE PRODS CORP              COM            568427108        9,234       2,700      X     28-5284       2700

MARKEL CORP                    COM            570535104        1,429           4      X     28-5284          4
                                                             645,691       1,808      X   X 28-5284         67                1741
                                                              42,856         120      X     28-13605        70                  50
                                                             156,066         437      X   X 28-13605       437
               COLUMN TOTAL                               23,651,179







                                                                                                                   FILE NO. 28-1235
 PAGE   159 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MARKET VECTORS ETF TR          GOLD MINER ETF 57060U100      806,712      14,617      X     28-5284      14617
                                                           3,448,658      62,487      X   X 28-5284      59352                3135
                                                             220,760       4,000      X   X 28-13663      4000

MARKET VECTORS ETF TR          GBL ALTER ENRG 57060U407        2,448         200      X   X 28-13605       200

MARKET VECTORS ETF TR          RUSSIA ETF     57060U506        3,036         120      X   X 28-5284        120

MARKET VECTORS ETF TR          EM LC CURR DBT 57060U522       49,180       2,000      X   X 28-5284       2000

MARKET VECTORS ETF TR          JR GOLD MINERS 57060U589       25,898         920      X     28-5284        920
                                                             251,943       8,950      X   X 28-5284       8950
                                                               2,815         100      X   X 28-13605       100

MARKET VECTORS ETF TR          AGRIBUS ETF    57060U605      325,954       7,540      X     28-5284       7540
                                                             573,446      13,265      X   X 28-5284      13265
                                                             110,020       2,545      X     28-13605      2545
                                                              82,137       1,900      X   X 28-13605      1900

MARKET VECTORS ETF TR          BRAZL SMCP ETF 57060U613      101,332       2,585      X     28-5284       2585
                                                              44,806       1,143      X   X 28-5284       1143
                                                              19,600         500      X     28-13605       500

MARKET VECTORS ETF TR          URAN NUCLR ENR 57060U704       68,160       4,000      X     28-5284       4000
                                                              59,146       3,471      X   X 28-5284       3471

MARKET VECTORS ETF TR          INDONESIA ETF  57060U753       62,744       2,480      X     28-5284       2480
                                                              17,659         698      X   X 28-5284        698

MARKET VECTORS ETF TR          VIETNAM ETF    57060U761        8,159         473      X     28-5284        473
                                                                 863          50      X   X 28-5284         50
                                                               9,488         550      X   X 28-13605       550

MARKET VECTORS ETF TR          RVE HARD ETF   57060U795       24,600         791      X   X 28-5284        791

MARKET VECTORS ETF TR          SOLAR ENRG ETF 57060U811          275          60      X     28-13605        60

MARKET VECTORS ETF TR          GAMING ETF     57060U829      111,120       4,000      X     28-5284       4000

MARKET VECTORS ETF TR          COAL ETF       57060U837       94,875       3,125      X     28-5284       3125
                                                              30,360       1,000      X   X 28-5284       1000
               COLUMN TOTAL                                6,556,194







                                                                                                                   FILE NO. 28-1235
 PAGE   160 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MARKWEST ENERGY PARTNERS L P   UNIT LTD PARTN 570759100      569,918      12,403      X     28-5284      12403
                                                             188,625       4,105      X   X 28-5284       4105
                                                              66,719       1,452      X     28-13605      1452
                                                              14,934         325      X   X 28-13605       325

MARSH & MCLENNAN COS INC       COM            571748102    3,855,750     145,226      X     28-5284     142455                2771
                                                           2,539,985      95,668      X   X 28-5284      95541                 127
                                                             301,475      11,355      X     28-13605      4773                6582
                                                              24,559         925      X   X 28-13605       925
                                                               3,531         133      X     28-13663                           133
                                                              74,340       2,800      X   X 28-13663      2800

MARRIOTT INTL INC NEW          CL A           571903202    3,180,406     116,755      X     28-5284     112327                4428
                                                           2,009,004      73,752      X   X 28-5284      71369                2383
                                                             288,281      10,583      X     28-13605      7308                3275
                                                             105,991       3,891      X   X 28-13605      3891
                                                             113,564       4,169      X     28-13663      4042                 127
                                                              43,584       1,600      X   X 28-13663      1600

MARTHA STEWART LIVING OMNIME   CL A           573083102          312         100      X   X 28-5284        100

MARTIN MARIETTA MATLS INC      COM            573284106      100,330       1,587      X     28-5284       1587
                                                             341,578       5,403      X   X 28-5284       5403

MARTIN MIDSTREAM PRTNRS L P    UNIT L P INT   573331105       32,490       1,000      X   X 28-5284       1000

MASCO CORP                     COM            574599106      228,317      32,067      X     28-5284      22670                9397
                                                             262,486      36,866      X   X 28-5284      36866
                                                              50,794       7,134      X     28-13605      3988                3146
                                                              16,198       2,275      X   X 28-13605      2075                 200

MASIMO CORP                    COM            574795100        8,652         400      X     28-5284        400
                                                             158,764       7,340      X   X 28-5284                           7340

MASTEC INC                     COM            576323109      296,306      16,826      X     28-13605     16826

MASTERCARD INC                 CL A           57636Q104   13,436,166      42,364      X     28-5284      38785                3579
                                                          12,299,465      38,780      X   X 28-5284      36870       400      1510
                                                           3,687,619      11,627      X     28-13605     10383                1244
                                                             136,062         429      X   X 28-13605       429
                                                             205,837         649      X     28-13663       451                 198
                                                              78,021         246      X   X 28-13663       246
               COLUMN TOTAL                               44,720,063







                                                                                                                   FILE NO. 28-1235
 PAGE   161 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MATERION CORP                  COM            576690101          499          22      X     28-13605        22
                                                              45,360       2,000      X   X 28-13605      2000

MATTEL INC                     COM            577081102   22,856,184     882,819      X     28-5284     865950               16869
                                                           5,362,052     207,109      X   X 28-5284     201986                5123
                                                          22,995,653     888,206      X     28-13605    867490               20716
                                                           4,986,310     192,596      X   X 28-13605    181417               11179
                                                             128,389       4,959      X     28-13663      4239                 720
                                                             242,175       9,354      X   X 28-13663      9354

MATTHEWS INTL CORP             CL A           577128101       56,082       1,825      X     28-5284       1825
                                                              93,757       3,051      X   X 28-5284       3051

MAUI LD & PINEAPPLE INC        COM            577345101        4,900       1,115      X     28-5284       1115

MAXIM INTEGRATED PRODS INC     COM            57772K101      839,203      35,971      X     28-5284       6710               29261
                                                             818,463      35,082      X   X 28-5284       4044               31038
                                                              56,459       2,420      X     28-13605      2420
                                                              19,761         847      X   X 28-13605       847
                                                              21,230         910      X     28-13663                           910

MAXIMUS INC                    COM            577933104        7,678         220      X     28-5284                            220

MCCORMICK & CO INC             COM VTG        579780107      311,536       6,774      X   X 28-13605      6774

MCCORMICK & CO INC             COM NON VTG    579780206    9,190,918     199,110      X     28-5284     198025                1085
                                                           5,884,384     127,478      X   X 28-5284     123678                3800
                                                           1,549,130      33,560      X     28-13605     31660                1900
                                                           3,123,463      67,666      X   X 28-13605     63866                3800
                                                              13,479         292      X     28-13663       199                  93
                                                              68,871       1,492      X   X 28-13663      1492

MCDERMOTT INTL INC             COM            580037109       14,548       1,352      X     28-5284       1352
                                                              29,160       2,710      X   X 28-5284       2710
                                                               9,275         862      X     28-13605       862
                                                               7,532         700      X   X 28-13605       700

MCDONALDS CORP                 COM            580135101  168,050,508   1,913,579      X     28-5284    1876698               36881
                                                         118,786,035   1,352,608      X   X 28-5284    1281506      2040     69062
                                                          39,216,899     446,560      X     28-13605    427003               19557
                                                          12,598,130     143,454      X   X 28-13605    136372       215      6867
                                                           1,109,606      12,635      X     28-13663     11108                1527
                                                           1,951,185      22,218      X   X 28-13663     21542                 676
               COLUMN TOTAL                              420,448,814







                                                                                                                   FILE NO. 28-1235
 PAGE   162 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MCG CAPITAL CORP               COM            58047P107       15,840       4,000      X   X 28-5284       4000

MCGRAW HILL COS INC            COM            580645109   13,608,966     331,926      X     28-5284     329144                2782
                                                          14,966,476     365,036      X   X 28-5284     341149               23887
                                                             321,563       7,843      X     28-13605      3118                4725
                                                              46,576       1,136      X   X 28-13605      1136
                                                             161,089       3,929      X     28-13663      3896                  33
                                                             128,986       3,146      X   X 28-13663      3146

MCKESSON CORP                  COM            58155Q103    5,372,457      73,899      X     28-5284      73108                 791
                                                           2,327,418      32,014      X   X 28-5284      31740       200        74
                                                             686,724       9,446      X     28-13605      6301                3145
                                                             207,559       2,855      X   X 28-13605      2555                 300
                                                              88,912       1,223      X     28-13663      1210                  13
                                                             215,919       2,970      X   X 28-13663      2970

MCMORAN EXPLORATION CO         COM            582411104      129,090      13,000      X     28-5284      13000
                                                              14,895       1,500      X   X 28-5284                           1500

MEAD JOHNSON NUTRITION CO      COM            582839106      483,187       7,020      X     28-5284       6923                  97
                                                             646,245       9,389      X   X 28-5284       8574                 815
                                                             339,263       4,929      X     28-13605      2459                2470
                                                              35,516         516      X   X 28-13605       516
                                                               4,612          67      X     28-13663                            67

MEADOWBROOK INS GROUP INC      COM            58319P108      191,538      21,497      X     28-13605     21497

MEADWESTVACO CORP              COM            583334107      517,823      21,084      X     28-5284      18358                2726
                                                             177,151       7,213      X   X 28-5284       7213
                                                             831,086      33,839      X     28-13605     31902                1937
                                                              91,412       3,722      X   X 28-13605      3722
                                                                 982          40      X     28-13663                            40
                                                               3,316         135      X   X 28-13663                           135

MECHEL OAO                     SPONSORED ADR  583840103        1,712         168      X     28-5284        168

MEDALLION FINL CORP            COM            583928106        8,370         900      X     28-5284        900

MEDASSETS INC                  COM            584045108        7,419         772      X     28-5284        772
               COLUMN TOTAL                               41,632,102







                                                                                                                   FILE NO. 28-1235
 PAGE   163 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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   23,327,916     497,503      X     28-5284     495689                1814
                                                          23,626,886     503,879      X   X 28-5284     477509      2000     24370
                                                           2,149,250      45,836      X     28-13605     40423                5413
                                                           2,954,351      63,006      X   X 28-13605     60873                2133
                                                             163,787       3,493      X     28-13663      3387                 106
                                                              16,974         362      X   X 28-13663       325                  37

MEDICAL PPTYS TRUST INC        COM            58463J304       20,030       2,238      X     28-5284       2238
                                                              35,800       4,000      X   X 28-5284       4000
                                                               2,417         270      X   X 28-13605       270

MEDICIS PHARMACEUTICAL CORP    CL A NEW       584690309       25,536         700      X     28-5284        700
                                                              74,784       2,050      X   X 28-5284       2050
                                                             272,797       7,478      X     28-13605      7478

MEDIFAST INC                   COM            58470H101        8,075         500      X   X 28-5284        500

MEDIDATA SOLUTIONS INC         COM            58471A105       12,100         736      X     28-5284        736

MEDNAX INC                     COM            58502B106       31,007         495      X     28-5284        495
                                                             304,681       4,864      X   X 28-5284        374                4490
                                                              97,468       1,556      X     28-13605      1556
                                                               7,329         117      X   X 28-13605       117
                                                               3,758          60      X     28-13663        60

MEDTRONIC INC                  NOTE  1.625% 4 585055AM8      300,375       3,000      X     28-5284       3000
                                                             200,250       2,000      X   X 28-5284       2000
                                                             100,125       1,000      X     28-13605      1000

MEDTRONIC INC                  COM            585055106   14,631,384     440,174      X     28-5284     424356               15818
                                                          12,031,949     361,972      X   X 28-5284     329183               32789
                                                             770,736      23,187      X     28-13605     10098               13089
                                                             175,640       5,284      X   X 28-13605      4284                1000
                                                              57,705       1,736      X     28-13663      1469                 267
                                                               1,928          58      X   X 28-13663                            58

MENS WEARHOUSE INC             COM            587118100       63,635       2,440      X     28-5284                           2440
                                                             204,989       7,860      X   X 28-5284                           7860

MENTOR GRAPHICS CORP           COM            587200106        1,164         121      X   X 28-5284        121

MERCADOLIBRE INC               COM            58733R102       45,311         843      X     28-5284        804                  39
                                                              28,541         531      X   X 28-5284        531
               COLUMN TOTAL                               81,748,678







                                                                                                                   FILE NO. 28-1235
 PAGE   164 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MERCER INTL INC                COM            588056101       88,400      13,000      X   X 28-5284      13000

MERCHANTS BANCSHARES           COM            588448100       26,780       1,000      X   X 28-5284                           1000

MERCK & CO INC NEW             COM            58933Y105   96,508,066   2,951,317      X     28-5284    2916823               34494
                                                         138,136,703   4,224,364      X   X 28-5284    3975792      9520    239052
                                                          38,054,004   1,163,731      X     28-13605   1040845              122886
                                                          10,211,393     312,275      X   X 28-13605    302942      1600      7733
                                                             257,905       7,887      X     28-13663      7045                 842
                                                             900,525      27,539      X   X 28-13663     26635                 904

MERCURY COMPUTER SYS           COM            589378108        2,300         200      X     28-5284                            200

MERCURY GENL CORP NEW          COM            589400100      156,468       4,080      X     28-5284                           4080
                                                               6,098         159      X   X 28-5284        159

MEREDITH CORP                  COM            589433101       39,711       1,754      X     28-5284       1650                 104

MERGE HEALTHCARE INC           COM            589499102       68,513      11,250      X     28-5284      11250
                                                              88,025      14,454      X     28-13605     14454

MERIDIAN BIOSCIENCE INC        COM            589584101    1,204,346      76,515      X     28-5284      76515
                                                              76,969       4,890      X   X 28-5284       1500                3390

MERIT MED SYS INC              COM            589889104        6,570         500      X     28-5284        500

MERITAGE HOMES CORP            COM            59001A102        8,372         553      X     28-5284        553
                                                               1,090          72      X   X 28-13605        72

MERITOR INC                    COM            59001K100        8,867       1,256      X     28-5284       1256
                                                               6,975         988      X   X 28-5284        988

MERU NETWORKS INC              COM            59047Q103      141,329      17,341      X     28-5284                          17341
                                                              13,154       1,614      X   X 28-5284       1000                 614
                                                               6,292         772      X     28-13663                           772

MESA LABS INC                  COM            59064R109       35,342       1,000      X   X 28-5284       1000

METABOLIX INC                  COM            591018809       82,300      18,790      X   X 28-5284                          18790

METHANEX CORP                  COM            59151K108       10,420         500      X     28-13605       500

METHODE ELECTRS INC            COM            591520200        2,378         320      X     28-5284                            320
               COLUMN TOTAL                              286,149,295







                                                                                                                   FILE NO. 28-1235
 PAGE   165 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
METLIFE INC                    COM            59156R108   10,788,948     385,182      X     28-5284     368730               16452
                                                           5,147,230     183,764      X   X 28-5284     173396               10368
                                                           2,025,067      72,298      X     28-13605     59446               12852
                                                             562,077      20,067      X   X 28-13605     19594       445        28
                                                             191,953       6,853      X     28-13663      3982                2871
                                                              17,142         612      X   X 28-13663       600                  12

METROPCS COMMUNICATIONS INC    COM            591708102      281,755      32,367      X     28-5284      23730                8637
                                                             321,589      36,943      X   X 28-5284      36943
                                                              47,286       5,432      X     28-13605      1923                3509
                                                               7,835         900      X   X 28-13605       900
                                                              10,281       1,181      X     28-13663      1000                 181
                                                              36,500       4,193      X   X 28-13663      4000                 193

METTLER TOLEDO INTERNATIONAL   COM            592688105       15,116         108      X     28-5284        108
                                                             121,905         871      X   X 28-5284        871

MFS HIGH YIELD MUN TR          SH BEN INT     59318E102       53,908      12,224      X   X 28-5284      12224

MICREL INC                     COM            594793101        7,500         792      X     28-5284        792

MICROS SYS INC                 COM            594901100        8,786         200      X     28-5284        200
                                                              28,247         643      X   X 28-5284        643

MICROSOFT CORP                 COM            594918104  143,771,609   5,776,280      X     28-5284    5454641       600    321039
                                                          91,791,607   3,687,891      X   X 28-5284    3394363      6580    286948
                                                          60,914,317   2,447,341      X     28-13605   2262114              185227
                                                          15,306,728     614,975      X   X 28-13605    585842       480     28653
                                                           1,080,326      43,404      X     28-13663     28839               14565
                                                             948,782      38,119      X   X 28-13663     37733                 386

MICROSTRATEGY INC              CL A NEW       594972408       12,091         106      X     28-5284        100                   6

MICROCHIP TECHNOLOGY INC       COM            595017104      551,798      17,737      X     28-5284      12817                4920
                                                             934,544      30,040      X   X 28-5284      19873               10167
                                                             158,163       5,084      X     28-13605      2951                2133
                                                              27,003         868      X   X 28-13605       868

MICRON TECHNOLOGY INC          COM            595112103       14,112       2,800      X     28-5284       2000                 800
                                                              28,990       5,752      X   X 28-5284       5752
                                                              83,140      16,496      X     28-13605      4961               11535
                                                               3,200         635      X   X 28-13605       635
                                                                 368          73      X     28-13663                            73
               COLUMN TOTAL                              335,299,903







                                                                                                                   FILE NO. 28-1235
 PAGE   166 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MICROSEMI CORP                 COM            595137100        8,629         540      X     28-5284                            540

MID-AMER APT CMNTYS INC        COM            59522J103        3,011          50      X   X 28-13605        50

MID PENN BANCORP INC           COM            59540G107        2,400         300      X   X 28-5284                            300

MIDAS GROUP INC                COM            595626102        1,148         140      X     28-5284                            140

MIDDLEBURG FINANCIAL CORP      COM            596094102      454,500      30,300      X   X 28-5284      30300

MIDDLEBY CORP                  COM            596278101       71,587       1,016      X   X 28-5284       1016

MIDDLESEX WATER CO             COM            596680108       56,348       3,301      X     28-5284       3301
                                                             108,104       6,333      X   X 28-5284       6333

MILLER HERMAN INC              COM            600544100       75,369       4,220      X     28-5284       3110                1110

MILLER INDS INC TENN           COM NEW        600551204       69,660       4,015      X     28-13605      4015

MINDRAY MEDICAL INTL LTD       SPON ADR       602675100      793,815      33,622      X     28-5284       1960               31662
                                                              89,482       3,790      X   X 28-5284        400                3390
                                                              18,912         801      X     28-13663                           801

MINDSPEED TECHNOLOGIES INC     COM NEW        602682205           52          10      X   X 28-5284         10

MINE SAFETY APPLIANCES CO      COM            602720104    1,312,440      48,681      X     28-5284      48681
                                                          33,426,653   1,239,861      X   X 28-5284      17492             1222369

MINEFINDERS LTD                COM            602900102       44,544       3,200      X     28-5284       3200

MINERALS TECHNOLOGIES INC      COM            603158106        7,391         150      X   X 28-5284        150

MISSION WEST PPTYS INC         COM            605203108       18,975       2,500      X   X 28-5284       2500
                                                              80,279      10,577      X     28-13605     10577

MITSUBISHI UFJ FINL GROUP IN   SPONSORED ADR  606822104       18,494       4,156      X     28-5284       3211                 945
                                                              12,936       2,907      X   X 28-5284       2907

MIZUHO FINL GROUP INC          SPONSORED ADR  60687Y109        5,857       2,055      X     28-5284       2055

MOBILE MINI INC                COM            60740F105        3,781         230      X     28-5284                            230

MODINE MFG CO                  COM            607828100          843          93      X     28-13605        93
               COLUMN TOTAL                               36,685,210







                                                                                                                   FILE NO. 28-1235
 PAGE   167 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MOHAWK INDS INC                COM            608190104       97,492       2,272      X     28-5284       2272
                                                               7,295         170      X   X 28-5284        170

MOLEX INC                      COM            608554101       30,942       1,519      X     28-5284                           1519
                                                              68,219       3,349      X   X 28-5284       3349
                                                              45,262       2,222      X     28-13605       652                1570
                                                              14,687         721      X   X 28-13663       705                  16

MOLEX INC                      CL A           608554200      122,329       7,247      X     28-5284       2646                4601
                                                             411,231      24,362      X   X 28-5284       9357               15005

MOLSON COORS BREWING CO        NOTE  2.500% 7 60871RAA8      841,000       8,000      X   X 28-5284       8000
                                                             315,375       3,000      X     28-13605      3000

MOLSON COORS BREWING CO        CL B           60871R209      444,068      11,211      X     28-5284      10241                 970
                                                             176,463       4,455      X   X 28-5284       4419                  36
                                                             939,945      23,730      X     28-13605     21983                1747
                                                              89,162       2,251      X   X 28-13605      2251
                                                                 238           6      X     28-13663                             6

MOLYCORP INC DEL               COM            608753109        9,236         281      X     28-5284        281
                                                             122,539       3,728      X   X 28-5284       3728

MONEYGRAM INTL INC             COM            60935Y109        4,432       1,902      X     28-5284       1902

MONMOUTH REAL ESTATE INVT CO   CL A           609720107        1,586         200      X   X 28-5284        200

MONOLITHIC PWR SYS INC         COM            609839105          845          83      X     28-5284         83
                                                             769,934      75,632      X     28-13605     62356               13276
                                                               3,420         336      X   X 28-13605       336

MONRO MUFFLER BRAKE INC        COM            610236101       79,128       2,400      X   X 28-5284        200                2200
                                                               2,506          76      X     28-13605        76

MONSANTO CO NEW                COM            61166W101   12,434,884     207,110      X     28-5284     186927               20183
                                                          23,820,750     396,748      X   X 28-5284     105061      1010    290677
                                                             801,054      13,342      X     28-13605      6968                6374
                                                             914,890      15,238      X   X 28-13605     15238
                                                              98,766       1,645      X     28-13663                          1645

MONSTER WORLDWIDE INC          COM            611742107       21,648       3,015      X     28-5284       2150                 865
                                                               2,944         410      X   X 28-5284        282                 128
                                                              14,439       2,011      X     28-13605       598                1413
               COLUMN TOTAL                               42,706,709







                                                                                                                   FILE NO. 28-1235
 PAGE   168 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MOODYS CORP                    COM            615369105    9,688,368     318,173      X     28-5284     310144                8029
                                                           3,826,438     125,663      X   X 28-5284     115491               10172
                                                          13,059,579     428,886      X     28-13605    418369               10517
                                                           2,924,418      96,040      X   X 28-13605     91258                4782
                                                              27,892         916      X     28-13663       850                  66
                                                               3,045         100      X   X 28-13663       100

MOOG INC                       CL A           615394202       21,692         665      X     28-5284        665
                                                              67,523       2,070      X   X 28-5284                           2070
                                                              84,845       2,601      X   X 28-13605       101                2500

MORGAN STANLEY ASIA PAC FD I   COM            61744U106       22,701       1,618      X   X 28-5284       1618

MORGAN STANLEY                 COM NEW        617446448    2,105,939     155,880      X     28-5284     146828                9052
                                                           2,357,833     174,525      X   X 28-5284     173686                 839
                                                           1,375,183     101,790      X     28-13605     87943               13847
                                                             123,238       9,122      X   X 28-13605      8372                 750
                                                              52,824       3,910      X   X 28-13663      3820                  90

MORGAN STANLEY CHINA A SH FD   COM            617468103        1,060          50      X   X 28-5284         50

MORNINGSTAR INC                COM            617700109      483,634       8,569      X     28-5284         24                8545
                                                              83,588       1,481      X   X 28-5284       1187                 294
                                                              11,288         200      X   X 28-13605                           200
                                                              20,713         367      X     28-13663                           367

MOSAIC CO NEW                  COM            61945C103    1,671,003      34,123      X     28-5284      33953                 170
                                                             843,557      17,226      X   X 28-5284      11201                6025
                                                             799,386      16,324      X     28-13605     12841                3483
                                                             217,917       4,450      X   X 28-13605      2350                2100
                                                              29,382         600      X   X 28-13663       600

MOTOROLA SOLUTIONS INC         COM NEW        620076307    1,353,580      32,305      X     28-5284      30531                1774
                                                             861,883      20,570      X   X 28-5284      19978                 592
                                                             233,593       5,575      X     28-13605      1909                3666
                                                             360,633       8,607      X   X 28-13605      8607
                                                               6,117         146      X     28-13663                           146

MOTOROLA MOBILITY HLDGS INC    COM            620097105      995,163      26,341      X     28-5284      24910                1431
                                                             638,822      16,909      X   X 28-5284      16520                 389
                                                             175,601       4,648      X     28-13605      1467                3181
                                                             287,430       7,608      X   X 28-13605      7608
               COLUMN TOTAL                               44,815,868







                                                                                                                   FILE NO. 28-1235
 PAGE   169 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MOTRICITY INC                  COM            620107102        6,760       4,000      X     28-5284       4000

MUELLER INDS INC               COM            624756102        8,876         230      X     28-5284                            230
                                                              50,167       1,300      X   X 28-5284                           1300

MUELLER WTR PRODS INC          COM SER A      624758108        2,480       1,000      X     28-5284       1000

MULTI COLOR CORP               COM            625383104       60,022       2,657      X     28-5284       2657

MURPHY OIL CORP                COM            626717102      458,822      10,390      X     28-5284       8599                1791
                                                             336,234       7,614      X   X 28-5284       7272                 342
                                                             566,220      12,822      X     28-13605     10303                2519
                                                           1,019,610      23,089      X   X 28-13605     23089
                                                                 751          17      X     28-13663                            17
                                                               2,296          52      X   X 28-13663                            52

MYERS INDS INC                 COM            628464109       21,467       2,115      X     28-5284       1857                 258
                                                           2,585,043     254,684      X   X 28-5284       1663              253021

MYLAN INC                      COM            628530107      163,495       9,623      X     28-5284       8360                1263
                                                             216,317      12,732      X   X 28-5284       9174                3558
                                                             126,525       7,447      X     28-13605      2144                5303
                                                                 289          17      X     28-13663                            17
                                                               3,398         200      X   X 28-13663       200

MYRIAD GENETICS INC            COM            62855J104       16,960         905      X     28-5284        905
                                                              10,607         566      X   X 28-5284        566
                                                             101,983       5,442      X     28-13605      5442

MYREXIS INC                    COM            62856H107          685         250      X     28-5284        250

NBT BANCORP INC                COM            628778102      290,621      15,608      X     28-5284      15608
                                                             128,255       6,888      X   X 28-5284       6888

NCR CORP NEW                   COM            62886E108       11,299         669      X     28-5284        669
                                                              53,001       3,138      X   X 28-5284       2978                 160
                                                               3,378         200      X     28-13605       200
                                                               2,905         172      X   X 28-13605       136                  36

NII HLDGS INC                  CL B NEW       62913F201      216,543       8,035      X     28-5284       8035
                                                             126,719       4,702      X   X 28-5284       4702

NN INC                         COM            629337106       12,120       2,400      X   X 28-5284                           2400
               COLUMN TOTAL                                6,603,848







                                                                                                                   FILE NO. 28-1235
 PAGE   170 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NRG ENERGY INC                 COM NEW        629377508       60,427       2,849      X     28-5284       2740                 109
                                                              49,653       2,341      X   X 28-5284       2199                 142
                                                           1,152,424      54,334      X     28-13605     51508                2826

NTT DOCOMO INC                 SPONS ADR      62942M201        1,698          93      X     28-5284         93
                                                               8,765         480      X   X 28-5284        480

NVR INC                        COM            62944T105        7,248          12      X     28-5284         12
                                                             145,559         241      X   X 28-5284         25                 216

NYSE EURONEXT                  COM            629491101    6,098,339     262,407      X     28-5284     259090                3317
                                                           1,531,353      65,893      X   X 28-5284      64930                 963
                                                             253,688      10,916      X     28-13605      7922                2994
                                                              94,471       4,065      X   X 28-13605      4055                  10
                                                              12,410         534      X     28-13663                           534
                                                              84,013       3,615      X   X 28-13663      3615

NACCO INDS INC                 CL A           629579103    4,057,600      64,000      X     28-5284      64000
                                                           6,465,849     101,985      X   X 28-5284      71985               30000

NALCO HOLDING COMPANY          COM            62985Q101      166,295       4,754      X     28-5284       3754                1000
                                                             320,942       9,175      X   X 28-5284       5575                3600
                                                              80,454       2,300      X     28-13663                          2300

NAM TAI ELECTRS INC            COM PAR $0.02  629865205        3,437         700      X   X 28-5284        700

NANOMETRICS INC                COM            630077105        1,610         111      X     28-13605       111

NASDAQ PREM INCM & GRW FD IN   COM            63110R105       17,960       1,389      X     28-5284       1389

NASDAQ OMX GROUP INC           COM            631103108       20,988         907      X     28-5284        245                 662
                                                              30,568       1,321      X   X 28-5284       1041                 280
                                                              41,328       1,786      X     28-13605       584                1202
                                                               2,083          90      X   X 28-13605        90
                                                                 301          13      X     28-13663                            13

NASH FINCH CO                  COM            631158102        1,885          70      X     28-5284                             70

NATHANS FAMOUS INC NEW         COM            632347100       62,681       3,299      X     28-5284       3299

NATIONAL AMERN UNIV HLDGS IN   COM            63245Q105       62,471       8,725      X   X 28-5284                           8725
                                                              13,604       1,900      X     28-13605                          1900
                                                             164,580      22,986      X   X 28-13605     22986
               COLUMN TOTAL                               21,014,684







                                                                                                                   FILE NO. 28-1235
 PAGE   171 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 FUEL GAS CO N J       COM            636180101    1,507,035      30,958      X     28-5284      30076                 882
                                                             538,839      11,069      X   X 28-5284      10369                 700
                                                              18,012         370      X     28-13605       370

NATIONAL GRID PLC              SPON ADR NEW   636274300      532,158      10,729      X     28-5284      10729
                                                              96,125       1,938      X   X 28-5284       1798                 140
                                                              15,178         306      X     28-13605       306
                                                             148,800       3,000      X   X 28-13663      3000

NATIONAL HEALTH INVS INC       COM            63633D104        2,107          50      X     28-5284         50
                                                              30,755         730      X   X 28-5284        730
                                                             146,949       3,488      X     28-13605      3488

NATIONAL INSTRS CORP           COM            636518102       24,872       1,088      X     28-5284        128                 960
                                                              15,888         695      X   X 28-5284        695

NATIONAL OILWELL VARCO INC     COM            637071101   29,421,639     574,417      X     28-5284     538056               36361
                                                           6,910,602     134,920      X   X 28-5284     110197      2300     22423
                                                          27,725,591     541,304      X     28-13605    489643               51661
                                                           5,184,898     101,228      X   X 28-13605     96714       250      4264
                                                             448,636       8,759      X     28-13663      6899                1860
                                                             198,273       3,871      X   X 28-13663      3871

NATIONAL PENN BANCSHARES INC   COM            637138108       70,675      10,082      X     28-5284      10082
                                                               9,260       1,321      X   X 28-5284                           1321
                                                              30,444       4,343      X   X 28-13605      4343

NATIONAL PRESTO INDS INC       COM            637215104      113,852       1,310      X     28-5284       1280                  30
                                                              13,037         150      X   X 28-5284        150

NATIONAL RETAIL PROPERTIES I   COM            637417106       41,595       1,548      X     28-5284       1548
                                                              37,618       1,400      X   X 28-5284                           1400
                                                             110,597       4,116      X     28-13605      4116

NATURAL RESOURCE PARTNERS L    COM UNIT L P   63900P103      697,045      27,486      X     28-5284      27486
                                                             772,212      30,450      X   X 28-5284      28050                2400
                                                              48,184       1,900      X     28-13605      1900
                                                              50,847       2,005      X   X 28-13605      2005

NATUS MEDICAL INC DEL          COM            639050103        4,755         500      X   X 28-5284        500

NAVISTAR INTL CORP NEW         COM            63934E108       56,114       1,747      X     28-5284       1577                 170
                                                              22,966         715      X   X 28-5284        715
               COLUMN TOTAL                               75,045,558







                                                                                                                   FILE NO. 28-1235
 PAGE   172 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NAVIGANT CONSULTING INC        COM            63935N107        5,284         570      X     28-5284        570

NEENAH PAPER INC               COM            640079109          766          54      X     28-5284         54

NEKTAR THERAPEUTICS            COM            640268108        5,063       1,044      X     28-5284       1044
                                                              16,975       3,500      X   X 28-5284                           3500

NEOGEN CORP                    COM            640491106      979,216      28,187      X     28-13605     22895                5292
                                                               3,752         108      X   X 28-13605       108

NESS TECHNOLOGIES INC          COM            64104X108       21,448       2,800      X   X 28-5284       2800

NET 1 UEPS TECHNOLOGIES INC    COM NEW        64107N206       53,651       8,254      X   X 28-5284                           8254

NETAPP INC                     COM            64110D104    2,317,249      68,295      X     28-5284      50018               18277
                                                           1,382,139      40,735      X   X 28-5284      28164       155     12416
                                                           2,944,174      86,772      X     28-13605     81808                4964
                                                             358,335      10,561      X   X 28-13605     10561
                                                               4,173         123      X     28-13663                           123
                                                               4,038         119      X   X 28-13663                           119

NETFLIX INC                    COM            64110L106      460,782       4,068      X     28-5284       1678                2390
                                                             283,402       2,502      X   X 28-5284        822                1680
                                                             137,623       1,215      X     28-13605       569                 646
                                                              15,745         139      X   X 28-13605        59                  80
                                                              21,521         190      X     28-13663                           190

NETEASE COM INC                SPONSORED ADR  64110W102      395,605      10,367      X     28-5284        395                9972
                                                             154,739       4,055      X   X 28-5284                           4055
                                                              16,218         425      X     28-13663                           425

NETGEAR INC                    COM            64111Q104      387,004      14,948      X     28-5284                          14948
                                                              13,256         512      X   X 28-5284                            512
                                                              10,434         403      X     28-13605       403
                                                              16,595         641      X     28-13663                           641

NETLOGIC MICROSYSTEMS INC      COM            64118B100       19,489         405      X     28-5284        405

NETSUITE INC                   COM            64118Q107        2,701         100      X   X 28-5284                            100

NETWORK EQUIP TECHNOLOGIES     COM            641208103          407         210      X     28-5284                            210
               COLUMN TOTAL                               10,031,784







                                                                                                                   FILE NO. 28-1235
 PAGE   173 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NEUSTAR INC                    CL A           64126X201       15,134         602      X   X 28-5284        602
                                                             129,949       5,169      X     28-13605      5169

NEUTRAL TANDEM INC             COM            64128B108          968         100      X     28-5284        100

NEUBERGER BERMAN HGH YLD FD    COM            64128C106        4,115         322      X     28-5284        322
                                                              43,452       3,400      X     28-13605      3400

NEVSUN RES LTD                 COM            64156L101        3,773         750      X   X 28-5284        750

NEUBERGER BERMAN RE ES SEC F   COM            64190A103        6,382       1,813      X   X 28-5284                           1813

NEW GERMANY FD INC             COM            644465106       50,353       3,940      X   X 28-5284       3940

NEW GOLD INC CDA               COM            644535106       32,928       3,200      X     28-5284       3200

NEW JERSEY RES                 COM            646025106      403,734       9,484      X     28-5284       9219                 265
                                                             205,911       4,837      X   X 28-5284       2537                2300
                                                             395,901       9,300      X   X 28-13605      9300

NEW ORIENTAL ED & TECH GRP I   SPON ADR       647581107       30,343       1,321      X     28-5284       1200                 121
                                                               6,133         267      X   X 28-5284        267

NEW YORK CMNTY BANCORP INC     COM            649445103    1,795,627     150,893      X     28-5284     146031                4862
                                                           1,050,639      88,289      X   X 28-5284      85166                3123
                                                              98,294       8,260      X     28-13605      8260
                                                              10,710         900      X   X 28-13605       900
                                                              23,800       2,000      X   X 28-13663      2000

NEW YORK TIMES CO              CL A           650111107          668         115      X     28-5284                            115
                                                              16,837       2,898      X     28-13605       482                2416

NEWCASTLE INVT CORP            COM            65105M108      103,394      25,404      X     28-13605     25404

NEWELL RUBBERMAID INC          COM            651229106      292,346      24,629      X     28-5284      22223                2406
                                                             239,667      20,191      X   X 28-5284      19991                 200
                                                              54,175       4,564      X     28-13605      1356                3208
                                                              14,244       1,200      X   X 28-13605      1200
                                                               2,540         214      X     28-13663                           214
               COLUMN TOTAL                                5,032,017







                                                                                                                   FILE NO. 28-1235
 PAGE   174 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NEWFIELD EXPL CO               COM            651290108    1,139,222      28,703      X     28-5284      11923               16780
                                                             872,307      21,978      X   X 28-5284       7878               14100
                                                             154,077       3,882      X     28-13605      2369                1513
                                                              52,827       1,331      X     28-13663        66                1265
                                                              27,783         700      X   X 28-13663       700

NEWMARKET CORP                 COM            651587107       16,402         108      X     28-5284        108
                                                              18,376         121      X     28-13605       121

NEWMONT MINING CORP            NOTE  1.250% 7 651639AH9      436,875       3,000      X     28-13605      3000

NEWMONT MINING CORP            NOTE  1.625% 7 651639AJ5      448,500       3,000      X     28-5284       3000

NEWMONT MINING CORP            NOTE  3.000% 2 651639AK2      552,500       4,000      X   X 28-5284       4000

NEWMONT MINING CORP            COM            651639106   11,976,867     190,260      X     28-5284     186662                3598
                                                           1,756,368      27,901      X   X 28-5284      27365                 536
                                                             589,527       9,365      X     28-13605      3455                5910
                                                              70,567       1,121      X   X 28-13605      1071                  50
                                                              67,986       1,080      X     28-13663       800                 280
                                                             169,965       2,700      X   X 28-13663      2700

NEWS CORP                      CL A           65248E104    4,460,964     288,176      X     28-5284     172560              115616
                                                           1,989,505     128,521      X   X 28-5284      63862               64659
                                                             660,005      42,636      X     28-13605     15794               26842
                                                              34,118       2,204      X   X 28-13605      2204
                                                              91,347       5,901      X     28-13663                          5901
                                                               5,542         358      X   X 28-13663                           358

NEWS CORP                      CL B           65248E203      280,332      17,970      X     28-5284       3470               14500
                                                             109,200       7,000      X   X 28-5284        700                6300
                                                              67,080       4,300      X     28-13663                          4300

NEXEN INC                      COM            65334H102      157,533      10,170      X     28-5284       4098                6072
                                                             172,543      11,139      X   X 28-5284       2000                9139
                                                               1,998         129      X   X 28-13605       129

NEXTERA ENERGY INC             COM            65339F101   51,910,465     960,949      X     28-5284     953874                7075
                                                          40,930,630     757,694      X   X 28-5284     732858       300     24536
                                                           5,241,561      97,030      X     28-13605     91882                5148
                                                           2,377,420      44,010      X   X 28-13605     40332       255      3423
                                                             486,450       9,005      X     28-13663      8693                 312
                                                           1,030,215      19,071      X   X 28-13663     19071
               COLUMN TOTAL                              128,357,057







                                                                                                                   FILE NO. 28-1235
 PAGE   175 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NICE SYS LTD                   SPONSORED ADR  653656108       47,346       1,560      X     28-5284       1560

NICOR INC                      COM            654086107       87,026       1,582      X     28-5284       1400                 182
                                                             129,934       2,362      X   X 28-5284       1632                 730
                                                             412,740       7,503      X     28-13605      6992                 511
                                                              60,511       1,100      X   X 28-13605      1100

NIDEC CORP                     SPONSORED ADR  654090109          421          21      X     28-5284         21

NIKE INC                       CL B           654106103   45,675,509     534,154      X     28-5284     519630               14524
                                                          26,105,262     305,289      X   X 28-5284     288474      1500     15315
                                                           3,591,762      42,004      X     28-13605     36919                5085
                                                           3,000,802      35,093      X   X 28-13605     33418                1675
                                                             345,631       4,042      X     28-13663      3440                 602
                                                              74,223         868      X   X 28-13663       805                  63

99 CENTS ONLY STORES           COM            65440K106        3,684         200      X     28-5284                            200
                                                               1,934         105      X     28-13605       105

NIPPON TELEG & TEL CORP        SPONSORED ADR  654624105      209,131       8,732      X     28-5284        944                7788
                                                             316,236      13,204      X   X 28-5284         23               13181
                                                               4,718         197      X   X 28-13605       197

NISKA GAS STORAGE PARTNERS L   UNIT LTD LIABI 654678101       35,944       3,088      X     28-5284       3088
                                                              19,788       1,700      X   X 28-5284       1700

NISOURCE INC                   COM            65473P105      222,224      10,394      X     28-5284       6159                4235
                                                             138,414       6,474      X   X 28-5284       6449                  25
                                                             304,815      14,257      X     28-13605     10868                3389
                                                               8,873         415      X     28-13663       400                  15
                                                               3,742         175      X   X 28-13663                           175

NOAH HLDGS LTD                 SPONSORED ADS  65487X102       26,220       2,850      X   X 28-5284                           2850

NOKIA CORP                     SPONSORED ADR  654902204      873,972     154,412      X     28-5284     138070               16342
                                                             974,573     172,186      X   X 28-5284     133297               38889
                                                              12,594       2,225      X     28-13605      2225
                                                               2,830         500      X   X 28-13605       500
                                                              27,168       4,800      X     28-13663      4800
               COLUMN TOTAL                               82,718,027







                                                                                                                   FILE NO. 28-1235
 PAGE   176 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NOBLE ENERGY INC               COM            655044105    1,196,308      16,897      X     28-5284       2786               14111
                                                           1,241,761      17,539      X   X 28-5284       7337               10202
                                                             236,401       3,339      X     28-13605      1151                2188
                                                              67,260         950      X     28-13663                           950

NOMURA HLDGS INC               SPONSORED ADR  65535H208        9,509       2,671      X     28-5284       2671
                                                              10,762       3,023      X   X 28-5284       3023

NORANDA ALUM HLDG CORP         COM            65542W107        9,185       1,100      X   X 28-5284                           1100

NORDSON CORP                   COM            655663102       84,606       2,129      X   X 28-5284       2129

NORDSTROM INC                  COM            655664100    1,715,512      37,555      X     28-5284      35578                1977
                                                           2,453,336      53,707      X   X 28-5284      52207      1500
                                                             123,610       2,706      X     28-13605       794                1912
                                                              29,007         635      X   X 28-13605       635
                                                               9,136         200      X   X 28-13663       200

NORFOLK SOUTHERN CORP          COM            655844108   18,144,541     297,354      X     28-5284     293928                3426
                                                          24,641,829     403,832      X   X 28-5284     393930                9902
                                                           4,869,884      79,808      X     28-13605     75621                4187
                                                           4,302,398      70,508      X   X 28-13605     69208                1300
                                                              89,211       1,462      X     28-13663      1320                 142
                                                              12,204         200      X   X 28-13663       200

NORTEL INVERSORA S A           SPON ADR PFD B 656567401       87,641       3,794      X     28-13605      3794

NORTH EUROPEAN OIL RTY TR      SH BEN INT     659310106      231,842       7,400      X     28-5284       7400
                                                              86,158       2,750      X   X 28-5284       1750                1000

NORTHEAST CMNTY BANCORP INC    COM            664112109       10,854       1,800      X   X 28-5284       1800

NORTHEAST UTILS                COM            664397106   11,024,312     327,617      X     28-5284     318628                8989
                                                           2,243,042      66,658      X   X 28-5284      59358                7300
                                                          19,096,510     567,504      X     28-13605    514504               53000
                                                           3,585,307     106,547      X   X 28-13605    101233                5314
                                                              22,041         655      X     28-13663       655
                                                              56,330       1,674      X   X 28-13663      1674

NORTHERN DYNASTY MINERALS LT   COM NEW        66510M204          536         100      X   X 28-5284        100
               COLUMN TOTAL                               95,691,033







                                                                                                                   FILE NO. 28-1235
 PAGE   177 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NORTHERN TR CORP               COM            665859104    4,431,371     126,683      X     28-5284     125377                1306
                                                           2,780,140      79,478      X   X 28-5284      78703       290       485
                                                           4,060,094     116,069      X     28-13605    113154                2915
                                                           1,209,434      34,575      X   X 28-13605     33275                1300
                                                                 490          14      X     28-13663                            14

NORTHROP GRUMMAN CORP          COM            666807102    5,371,528     102,962      X     28-5284     100061                2901
                                                           5,084,697      97,464      X   X 28-5284      95604                1860
                                                           1,413,494      27,094      X     28-13605     23405                3689
                                                             730,067      13,994      X   X 28-13605     10494                3500
                                                             185,308       3,552      X     28-13663      3498                  54
                                                              13,616         261      X   X 28-13663       250                  11

NORTHSTAR RLTY FIN CORP        COM            66704R100        2,066         626      X   X 28-5284        626

NORTHWEST BANCSHARES INC MD    COM            667340103      256,279      21,518      X     28-5284      21518
                                                              26,202       2,200      X   X 28-5284                           2200

NORTHWEST NAT GAS CO           COM            667655104       60,417       1,370      X     28-5284       1200                 170
                                                             219,398       4,975      X   X 28-5284       3100                1875

NORTHWEST PIPE CO              COM            667746101        6,736         332      X     28-5284        332

NORTHWESTERN CORP              COM NEW        668074305       92,626       2,900      X   X 28-5284                           2900
                                                             316,430       9,907      X     28-13605      9907
                                                                 799          25      X   X 28-13605        25

NORWOOD FINANCIAL CORP         COM            669549107      113,807       4,738      X     28-5284       4738
                                                             128,003       5,329      X   X 28-5284       5329

NOVAGOLD RES INC               COM NEW        66987E206       44,860       6,955      X     28-5284       6955
                                                               4,515         700      X   X 28-5284        700

NOVABAY PHARMACEUTICALS INC    COM            66987P102       13,984      16,000      X   X 28-5284      16000

NOVARTIS A G                   SPONSORED ADR  66987V109   20,959,816     375,826      X     28-5284     327745               48081
                                                          10,612,585     190,292      X   X 28-5284     170766               19526
                                                           4,047,173      72,569      X     28-13605     47419               25150
                                                           2,602,340      46,662      X   X 28-13605     40456                6206
                                                             219,232       3,931      X     28-13663      2821                1110
                                                             117,117       2,100      X   X 28-13663      2100
               COLUMN TOTAL                               65,124,624







                                                                                                                   FILE NO. 28-1235
 PAGE   178 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NOVELLUS SYS INC               COM            670008101        5,861         215      X     28-5284                            215
                                                              19,736         724      X   X 28-5284        705                  19
                                                              27,832       1,021      X     28-13605       334                 687

NOVO-NORDISK A S               ADR            670100205    1,797,928      18,066      X     28-5284      17714                 352
                                                           4,941,268      49,651      X   X 28-5284      45076                4575
                                                               2,886          29      X     28-13605        29
                                                               3,782          38      X   X 28-13605        38

NU SKIN ENTERPRISES INC        CL A           67018T105       16,289         402      X     28-5284        402
                                                              32,821         810      X   X 28-5284        810

NSTAR                          COM            67019E107   10,084,535     225,051      X     28-5284     223861                1190
                                                           2,973,905      66,367      X   X 28-5284      62589                3778
                                                           2,600,638      58,037      X     28-13605     57783                 254
                                                             702,621      15,680      X   X 28-13605     15217       435        28
                                                              61,748       1,378      X     28-13663      1378

NUANCE COMMUNICATIONS INC      COM            67020Y100        8,604         423      X     28-5284        423
                                                             158,693       7,802      X   X 28-5284       7802
                                                              10,170         500      X     28-13605       500

NUCOR CORP                     COM            670346105      903,164      28,545      X     28-5284      27801                 744
                                                             505,291      15,970      X   X 28-5284      15770                 200
                                                             252,392       7,977      X     28-13605      4329                3648
                                                             166,078       5,249      X   X 28-13605      5249

NUMEREX CORP PA                CL A           67053A102       20,572       3,700      X   X 28-5284       3700

NUSTAR ENERGY LP               UNIT COM       67058H102    1,198,624      22,927      X     28-5284      22927
                                                           2,470,230      47,250      X   X 28-5284      43750                3500
                                                              26,140         500      X     28-13605       500
                                                              52,280       1,000      X   X 28-13605      1000

NUSTAR GP HOLDINGS LLC         UNIT RESTG LLC 67059L102       53,655       1,750      X   X 28-5284        325                1425

NUVEEN INSD PREM INCOME MUN    COM            6706D8104       19,545       1,500      X   X 28-5284       1500

NUVEEN EQTY PRM OPPORTUNITYF   COM            6706EM102       32,610       3,000      X     28-13605      3000

NUVEEN FLTNG RTE INCM OPP FD   COM SHS        6706EN100       36,540       3,500      X   X 28-5284       3500
                                                              31,320       3,000      X     28-13605      3000
               COLUMN TOTAL                               29,217,758







                                                                                                                   FILE NO. 28-1235
 PAGE   179 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 DIVERSIFIED DIV INCM    COM            6706EP105       37,088       3,800      X   X 28-5284       3800

NUVEEN EQUITY PREM INCOME FD   COM            6706ER101        6,942         650      X     28-5284        650

NUVEEN PA PREM INCOME MUN FD   COM            67061F101      245,165      18,545      X     28-5284      18545
                                                             424,732      32,128      X   X 28-5284      26681                5447

NUVEEN MD PREM INCOME MUN FD   COM            67061Q107       39,928       2,800      X     28-13605      2800

NUVEEN ARIZ PREM INCOME MUN    COM            67061W104       61,166       4,442      X   X 28-5284       4442

NUVEEN INVT QUALITY MUN FD I   COM            67062E103       26,622       1,800      X     28-5284       1800
                                                              43,704       2,955      X   X 28-5284       2955

NUVEEN MUN ADVANTAGE FD INC    COM            67062H106      195,236      13,446      X     28-5284      13446
                                                              62,421       4,299      X   X 28-5284       4299

NUVEEN MUN INCOME FD INC       COM            67062J102       87,829       7,970      X   X 28-5284       7970

NUVEEN INSD QUALITY MUN FD I   COM            67062N103        2,856         200      X   X 28-5284        200

NUVEEN PERFORMANCE PLUS MUN    COM            67062P108       52,051       3,570      X   X 28-13605      3570

NUVEEN PREM INCOME MUN FD      COM            67062T100       20,685       1,500      X   X 28-5284       1500

NUVEEN MUN MKT OPPORTUNITY F   COM            67062W103        1,350         100      X     28-5284        100

NUVEEN SELECT TAX FREE INCM    SH BEN INT     67063C106        8,658         667      X     28-5284        667

NUVEEN PREM INCOME MUN FD 2    COM            67063W102       28,860       2,000      X     28-5284       2000
                                                             209,538      14,521      X   X 28-5284      14521
                                                              49,495       3,430      X     28-13605      3430

NUVEEN TAX FREE ADV MUN FD     COM            670657105       73,065       5,131      X     28-5284       5131
                                                              31,556       2,216      X   X 28-5284       2216

NVIDIA CORP                    COM            67066G104       97,866       7,823      X     28-5284       5153                2670
                                                              87,495       6,994      X   X 28-5284       6913                  81
                                                             126,726      10,130      X     28-13605      3318                6812
                                                               5,717         457      X   X 28-13605       457
                                                               5,004         400      X     28-13663       100                 300

NUVEEN DIVID ADVANTAGE MUN F   COM            67066V101       38,502       2,758      X     28-5284       2758
               COLUMN TOTAL                                2,070,257







                                                                                                                   FILE NO. 28-1235
 PAGE   180 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 SR INCOME FD            COM            67067Y104       20,190       3,000      X   X 28-5284                           3000

NUVEEN CA DIV ADVANTG MUN FD   COM            67069X104       14,060       1,000      X     28-5284       1000

NUVEEN OH DIV ADVANTAGE MUN    COM            67070C107       93,210       6,665      X   X 28-5284       6665

NUVEEN PA DIV ADVANTAGE MUN    COM            67070E103       38,965       2,882      X     28-5284       2882
                                                              55,094       4,075      X   X 28-5284       4075

NUVEEN OH DIV ADV MUNI FD 2    COM SH BEN INT 67070R104       38,528       2,800      X     28-5284       2800
                                                              27,520       2,000      X   X 28-5284       2000

NUVEEN DIV ADV MUNI FD 3       COM SH BEN INT 67070X101       95,509       6,665      X   X 28-5284       6665

NUVEEN INSD DIVID ADVANTAGE    COM            67071L106       28,780       2,000      X   X 28-5284       2000

NUVEEN QUALITY PFD INCOME FD   COM            67071S101       45,127       5,993      X   X 28-5284       5993

NUVEEN OHIO DIVID ADVANTAGE    COM            67071V104       23,907       1,666      X     28-5284       1666
                                                              18,655       1,300      X   X 28-5284       1300

NUVEEN PA DIVID ADVANTAGE MU   COM            67071W102       53,840       4,000      X   X 28-5284       2000                2000

NUVEEN QUALITY PFD INCOME FD   COM            67072C105       10,157       1,340      X     28-5284       1340
                                                              40,583       5,354      X   X 28-5284       5354

NUVEEN QUALITY PFD INC FD 3    COM            67072W101        8,880       1,200      X     28-5284       1200

NUVEEN GLB GOVT ENHANCED IN    COM            67073C104        2,462         169      X     28-5284        169
                                                              43,783       3,005      X   X 28-5284       3005

NUVEEN MULT STRAT INCM GR FD   COM SHS        67073D102        7,860       1,000      X   X 28-5284       1000
                                                              11,122       1,415      X   X 28-13605      1415

NV ENERGY INC                  COM            67073Y106       61,047       4,150      X     28-5284       4150
                                                              22,992       1,563      X   X 28-5284       1563

NUVEEN BUILD AMER BD FD        COM            67074C103       71,820       3,600      X   X 28-5284       3600

NUVEEN BUILD AMER BD OPPTNY    COM            67074Q102       42,280       2,000      X   X 28-5284       2000

O CHARLEYS INC                 COM            670823103        1,010         170      X     28-5284                            170
               COLUMN TOTAL                                  877,381







                                                                                                                   FILE NO. 28-1235
 PAGE   181 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
OGE ENERGY CORP                COM            670837103    9,004,879     188,426      X     28-5284     184056                4370
                                                           1,786,151      37,375      X   X 28-5284      32633                4742
                                                          23,451,365     490,717      X     28-13605    424387               66330
                                                           4,331,017      90,626      X   X 28-13605     86709       385      3532
                                                              24,899         521      X     28-13663       521
                                                               4,779         100      X   X 28-13663       100

OM GROUP INC                   COM            670872100       75,183       2,895      X     28-5284       2705                 190

NUVEEN CORE EQUITY ALPHA FUN   COM            67090X107       15,106       1,300      X     28-5284       1300

NUVEEN MUN VALUE FD INC        COM            670928100      139,947      14,383      X     28-5284      14383
                                                             232,313      23,876      X   X 28-5284      23876
                                                               9,399         966      X     28-13605       966

NUVEEN NJ INVT QUALITY MUN F   COM            670971100       17,050       1,250      X     28-5284       1250

NUVEEN PA INVT QUALITY MUN F   COM            670972108      227,321      15,602      X     28-5284      15602
                                                           1,225,424      84,106      X   X 28-5284      80135                3971

NUVEEN QUALITY INCOME MUN FD   COM            670977107       11,892         850      X     28-5284        850
                                                              37,297       2,666      X   X 28-5284       2666
                                                               1,413         101      X   X 28-13605       101

NUVEEN MICH QUALITY INCOME M   COM            670979103       14,766       1,060      X     28-5284       1060

NUVEEN OHIO QUALITY INCOME M   COM            670980101       24,012       1,497      X     28-5284       1497
                                                              75,308       4,695      X   X 28-5284       4695

NUVEEN INSD MUN OPPORTUNITY    COM            670984103      225,966      15,703      X     28-5284      15703
                                                              34,881       2,424      X   X 28-5284       2424

NUVEEN PREMIER INSD MUN INCO   COM            670987106      223,200      15,000      X   X 28-5284      15000

O REILLY AUTOMOTIVE INC NEW    COM            67103H107    1,753,901      26,323      X     28-5284      25859                 464
                                                           1,301,817      19,538      X   X 28-5284      15675                3863
                                                           3,520,063      52,830      X     28-13605     50877                1953
                                                             483,534       7,257      X   X 28-13605      7257
                                                               2,798          42      X     28-13663                            42

OSI SYSTEMS INC                COM            671044105    2,438,815      72,757      X     28-13605     60354               12403
                                                              10,425         311      X   X 28-13605       311
               COLUMN TOTAL                               50,704,921







                                                                                                                   FILE NO. 28-1235
 PAGE   182 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
O2MICRO INTERNATIONAL LTD      SPONS ADR      67107W100       20,850       5,000      X     28-5284       5000
                                                               2,919         700      X   X 28-5284        700

OYO GEOSPACE CORP              COM            671074102       16,662         296      X     28-5284        296
                                                              84,435       1,500      X   X 28-5284       1500
                                                                 732          13      X     28-13605        13

OASIS PETE INC NEW             COM            674215108       75,431       3,378      X     28-5284        228                3150

OBAGI MEDICAL PRODUCTS INC     COM            67423R108       45,350       5,000      X     28-5284       5000

OCCIDENTAL PETE CORP DEL       COM            674599105   32,179,719     450,066      X     28-5284     440863                9203
                                                          10,880,084     152,169      X   X 28-5284     140055       250     11864
                                                           1,871,084      26,169      X     28-13605     16351                9818
                                                             158,444       2,216      X   X 28-13605      2216
                                                             331,117       4,631      X     28-13663      4494                 137
                                                             404,833       5,662      X   X 28-13663      5565                  97

OCEANEERING INTL INC           COM            675232102       73,260       2,073      X     28-5284       2073
                                                             166,628       4,715      X   X 28-5284       3915                 800
                                                             212,040       6,000      X     28-13605      6000

OCWEN FINL CORP                COM NEW        675746309      448,413      33,945      X     28-13605     33945

OFFICEMAX INC DEL              COM            67622P101        1,620         334      X     28-5284        334

OFFICE DEPOT INC               COM            676220106        1,339         650      X     28-5284        650

OIL DRI CORP AMER              COM            677864100       34,559       1,860      X     28-5284       1860
                                                               3,716         200      X   X 28-5284        200

OIL SVC HOLDRS TR              DEPOSTRY RCPT  678002106      127,650       1,238      X     28-5284       1238
                                                              20,622         200      X   X 28-5284        200

OIL STS INTL INC               COM            678026105      130,406       2,561      X     28-5284        150                2411
                                                             267,024       5,244      X   X 28-5284        507                4737
                                                           1,511,407      29,682      X     28-13605     25748                3934
                                                              89,008       1,748      X   X 28-13605      1748

OLD DOMINION FGHT LINES INC    COM            679580100       12,080         417      X     28-5284        417
                                                               5,794         200      X   X 28-5284        200
                                                             347,061      11,980      X     28-13605     11980
               COLUMN TOTAL                               49,524,287







                                                                                                                   FILE NO. 28-1235
 PAGE   183 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
OLD LINE BANCSHARES INC        COM            67984M100      204,900      30,000      X   X 28-5284                          30000

OLD NATL BANCORP IND           COM            680033107      105,008      11,267      X     28-5284      11267

OLD REP INTL CORP              COM            680223104      270,214      30,293      X     28-5284       9072               21221
                                                             180,193      20,201      X   X 28-5284      20201
                                                           2,341,322     262,480      X   X 28-13605    137500              124980

OLIN CORP                      COM PAR $1     680665205       30,797       1,710      X     28-5284       1710
                                                             177,543       9,858      X   X 28-5284       9858
                                                               1,729          96      X     28-13605        96
                                                              18,010       1,000      X   X 28-13605      1000

OMNICARE INC                   COM            681904108       11,342         446      X     28-5284        446
                                                              20,725         815      X   X 28-5284        815
                                                             216,892       8,529      X     28-13605      8529
                                                              16,530         650      X   X 28-13605       650

OMNICOM GROUP INC              COM            681919106    4,802,720     130,367      X     28-5284     125833                4534
                                                           6,367,941     172,854      X   X 28-5284     157913               14941
                                                             205,972       5,591      X     28-13605      2104                3487
                                                               3,684         100      X   X 28-13605       100
                                                              68,154       1,850      X     28-13663      1850
                                                              11,052         300      X   X 28-13663       300

OMEGA HEALTHCARE INVS INC      COM            681936100       11,151         700      X     28-5284        700
                                                               1,593         100      X   X 28-13605       100

OMEGA FLEX INC                 COM            682095104        1,995         150      X   X 28-5284        150

OMEGA PROTEIN CORP             COM            68210P107        3,405         375      X     28-13605       375

OMNIVISION TECHNOLOGIES INC    COM            682128103          730          52      X     28-5284         52
                                                              26,690       1,901      X   X 28-5284       1101                 800
                                                             132,369       9,428      X     28-13605      9428

OMNOVA SOLUTIONS INC           COM            682129101        9,666       2,700      X   X 28-5284       2700

OMNICELL INC                   COM            68213N109       34,450       2,500      X   X 28-5284                           2500

ON ASSIGNMENT INC              COM            682159108        1,909         270      X     28-5284                            270
                                                              21,917       3,100      X   X 28-5284                           3100
               COLUMN TOTAL                               15,300,603







                                                                                                                   FILE NO. 28-1235
 PAGE   184 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ON SEMICONDUCTOR CORP          COM            682189105       11,445       1,594      X     28-5284                           1594
                                                              17,720       2,468      X   X 28-5284       2468
                                                                  36           5      X   X 28-13605         5

ONCOTHYREON INC                COM            682324108          993         166      X     28-5284        166

ONE LIBERTY PPTYS INC          COM            682406103        8,268         564      X     28-5284        564
                                                               2,932         200      X   X 28-5284        200

ONEOK PARTNERS LP              UNIT LTD PARTN 68268N103    3,835,148      82,264      X     28-5284      82264
                                                           4,506,849      96,672      X   X 28-5284      93072                3600
                                                              93,240       2,000      X     28-13605      2000
                                                             156,270       3,352      X   X 28-13605      3352
                                                             652,680      14,000      X   X 28-13663     14000

ONEOK INC NEW                  COM            682680103      115,900       1,755      X     28-5284        669                1086
                                                             541,924       8,206      X   X 28-5284       2876                5330
                                                             338,587       5,127      X     28-13605      3843                1284
                                                             290,510       4,399      X   X 28-13605      4399
                                                               4,161          63      X     28-13663                            63

ONLINE RES CORP                COM            68273G101        1,165         457      X     28-5284        457

ONYX PHARMACEUTICALS INC       COM            683399109       21,007         700      X     28-5284        700
                                                              15,005         500      X     28-13605       500

OPEN TEXT CORP                 COM            683715106        1,564          30      X     28-5284         30
                                                           1,740,026      33,385      X     28-13605     27125                6260
                                                               8,079         155      X   X 28-13605       155

OPENTABLE INC                  COM            68372A104      127,678       2,775      X     28-5284                           2775
                                                              89,720       1,950      X   X 28-5284                           1950
                                                               8,742         190      X     28-13605       190
                                                               4,141          90      X   X 28-13605                            90
                                                              10,352         225      X     28-13663                           225

OPNET TECHNOLOGIES INC         COM            683757108        6,982         200      X     28-5284        200
               COLUMN TOTAL                               12,611,124







                                                                                                                   FILE NO. 28-1235
 PAGE   185 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ORACLE CORP                    COM            68389X105  117,745,452   4,096,919      X     28-5284    4017803               79116
                                                          55,474,494   1,930,219      X   X 28-5284    1813426      6340    110453
                                                          45,117,776   1,569,860      X     28-13605   1498058               71802
                                                          10,687,026     371,852      X   X 28-13605    354764               17088
                                                           1,107,812      38,546      X     28-13663     33166                5380
                                                           1,050,619      36,556      X   X 28-13663     36187                 369

ORASURE TECHNOLOGIES INC       COM            68554V108       39,800       5,000      X     28-5284       5000
                                                             198,713      24,964      X     28-13605     24964

ORBITAL SCIENCES CORP          COM            685564106        3,840         300      X     28-5284        300

ORION ENERGY SYSTEMS INC       COM            686275108        2,650       1,000      X   X 28-5284                           1000

ORITANI FINL CORP DEL          COM            68633D103       12,860       1,000      X   X 28-5284                           1000

ORIX CORP                      SPONSORED ADR  686330101        2,285          59      X     28-5284         59
                                                                 155           4      X   X 28-5284          4

ORMAT TECHNOLOGIES INC         COM            686688102        7,718         480      X     28-5284        480

ORRSTOWN FINL SVCS INC         COM            687380105       27,628       2,150      X     28-5284       2000                 150

OSHKOSH CORP                   COM            688239201       52,005       3,304      X     28-5284       3155                 149
                                                               1,574         100      X   X 28-5284        100
                                                           2,725,538     173,160      X     28-13605    173160
                                                             359,785      22,858      X   X 28-13605      4358               18500

OTTER TAIL CORP                COM            689648103       14,640         800      X     28-5284        800

OVERSEAS SHIPHOLDING GROUP I   COM            690368105      100,000       7,278      X     28-5284                           7278
                                                              13,795       1,004      X   X 28-5284        760                 244
                                                               4,259         310      X     28-13663                           310

OWENS & MINOR INC NEW          COM            690732102       16,604         583      X     28-5284        583
                                                              56,960       2,000      X   X 28-5284                           2000
                                                               6,750         237      X     28-13663       237

OWENS CORNING NEW              COM            690742101        3,252         150      X     28-5284        150
                                                              11,599         535      X   X 28-5284        535
                                                               4,553         210      X     28-13605       210
               COLUMN TOTAL                              234,850,142







                                                                                                                   FILE NO. 28-1235
 PAGE   186 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
OWENS ILL INC                  COM NEW        690768403      166,305      10,999      X     28-5284      10373                 626
                                                             562,902      37,229      X   X 28-5284      37051                 178
                                                              48,066       3,179      X     28-13605      1370                1809
                                                              12,096         800      X   X 28-13605       800

OXFORD INDS INC                COM            691497309        2,744          80      X     28-5284                             80
                                                              41,160       1,200      X   X 28-5284                           1200

PC-TEL INC                     COM            69325Q105          861         140      X     28-5284                            140

PDL BIOPHARMA INC              COM            69329Y104       42,735       7,700      X     28-5284       7700

PG&E CORP                      COM            69331C108      729,844      17,254      X     28-5284      14873                2381
                                                             140,351       3,318      X   X 28-5284       3305                  13
                                                             387,341       9,157      X     28-13605      4583                4574
                                                             102,958       2,434      X   X 28-13605      2434
                                                               1,396          33      X     28-13663                            33

PHH CORP                       COM NEW        693320202          804          50      X     28-13605        50
                                                               3,216         200      X   X 28-13605       200

P F CHANGS CHINA BISTRO INC    COM            69333Y108        3,541         130      X     28-5284                            130
                                                               8,172         300      X   X 28-5284                            300

PGT INC                        COM            69336V101    1,650,271   1,320,217      X     28-5284    1320217

PICO HLDGS INC                 COM NEW        693366205        4,205         205      X     28-5284         67                 138

PMC COML TR                    SH BEN INT     693434102       12,737       1,633      X     28-5284       1633

PMC-SIERRA INC                 COM            69344F106          449          75      X     28-5284         75
                                                               3,654         611      X   X 28-5284        611

PNC FINL SVCS GROUP INC        COM            693475105   65,472,910   1,358,641      X     28-5284    1348123               10518
                                                          47,878,548     993,537      X   X 28-5284     883929              109608
                                                           9,131,812     189,496      X     28-13605    178360               11136
                                                           6,397,945     132,765      X   X 28-13605    132565                 200
                                                             162,641       3,375      X     28-13663      3375
                                                             148,618       3,084      X   X 28-13663      2326                 758

POSCO                          SPONSORED ADR  693483109       23,639         311      X     28-5284        311
                                                              55,031         724      X   X 28-5284        724
               COLUMN TOTAL                              133,196,952







                                                                                                                   FILE NO. 28-1235
 PAGE   187 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PPG INDS INC                   COM            693506107   54,142,660     766,242      X     28-5284     753363               12879
                                                          41,684,383     589,929      X   X 28-5284     547397        50     42482
                                                          17,693,688     250,406      X     28-13605    244402                6004
                                                           4,664,408      66,012      X   X 28-13605     61273                4739
                                                             259,464       3,672      X     28-13663      3441                 231
                                                             837,745      11,856      X   X 28-13663     11800                  56

PPL CORP                       COM            69351T106   10,421,609     365,158      X     28-5284     355854                9304
                                                          11,463,348     401,659      X   X 28-5284     390831               10828
                                                             475,334      16,655      X     28-13605      9795                6860
                                                             538,122      18,855      X   X 28-13605     18555                 300
                                                               6,507         228      X     28-13663                           228

PVH CORP                       COM            693656100      377,337       6,479      X     28-5284       6479
                                                             440,702       7,567      X   X 28-5284       6967                 600
                                                           2,840,714      48,776      X     28-13605     48397                 379
                                                             409,777       7,036      X   X 28-13605      7036

PSS WORLD MED INC              COM            69366A100       10,278         522      X   X 28-5284        522
                                                             148,069       7,520      X     28-13605      7520

PACCAR INC                     COM            693718108       41,632       1,231      X     28-5284        854                 377
                                                             135,145       3,996      X   X 28-5284       3996
                                                             198,997       5,884      X     28-13605      1720                4164
                                                               5,377         159      X     28-13663                           159

PACIFIC ETHANOL INC            COM NEW        69423U206            1           3      X     28-5284          3

PACKAGING CORP AMER            COM            695156109      123,560       5,303      X     28-5284        724                4579
                                                             160,817       6,902      X   X 28-5284       6902

PALL CORP                      COM            696429307      761,080      17,950      X     28-5284      16354                1596
                                                             488,278      11,516      X   X 28-5284      11462                  54
                                                             209,202       4,934      X     28-13605      3624                1310
                                                              36,464         860      X   X 28-13605       860
                                                              12,720         300      X     28-13663       300
                                                              42,400       1,000      X   X 28-13663      1000

PAN AMERICAN SILVER CORP       COM            697900108       16,410         613      X     28-5284        613
                                                              49,069       1,833      X   X 28-5284       1833

PANASONIC CORP                 ADR            69832A205       67,240       7,063      X     28-5284                           7063
                                                             101,893      10,703      X   X 28-5284         16               10687
               COLUMN TOTAL                              148,864,430







                                                                                                                   FILE NO. 28-1235
 PAGE   188 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PANERA BREAD CO                CL A           69840W108      126,807       1,220      X     28-5284       1220
                                                             141,047       1,357      X   X 28-5284       1332                  25
                                                             228,044       2,194      X     28-13605      2194
                                                              64,963         625      X   X 28-13605       625

PANHANDLE OIL AND GAS INC      CL A           698477106       36,881       1,300      X   X 28-5284                           1300

PAPA JOHNS INTL INC            COM            698813102       80,438       2,646      X     28-5284       2646
                                                             338,109      11,122      X     28-13605     11122

PARAGON SHIPPING INC           CL A           69913R309        1,975       2,500      X   X 28-5284       2500

PARAMETRIC TECHNOLOGY CORP     COM NEW        699173209        1,538         100      X     28-5284        100

PARAMOUNT GOLD & SILVER CORP   COM            69924P102       23,600      10,000      X     28-5284      10000

PAREXEL INTL CORP              COM            699462107       12,929         683      X     28-5284        313                 370
                                                             621,945      32,855      X   X 28-5284        444               32411
                                                           1,695,958      89,591      X     28-13605     73399               16192
                                                               7,534         398      X   X 28-13605       398

PARK ELECTROCHEMICAL CORP      COM            700416209        2,564         120      X     28-5284                            120
                                                              19,233         900      X   X 28-5284                            900

PARK NATL CORP                 COM            700658107       10,576         200      X     28-5284        200

PARK OHIO HLDGS CORP           COM            700666100       93,270       7,766      X     28-13605      7766

PARKE BANCORP INC              COM            700885106        1,968         278      X     28-5284        278
                                                             184,130      26,007      X   X 28-5284      26007

PARKER DRILLING CO             COM            701081101          439         100      X   X 28-5284        100

PARKER HANNIFIN CORP           COM            701094104    3,485,155      55,206      X     28-5284      54380                 826
                                                          10,582,798     167,635      X   X 28-5284     166557                1078
                                                             754,972      11,959      X     28-13605     10117                1842
                                                              70,390       1,115      X   X 28-13605      1115
                                                              17,929         284      X     28-13663       175                 109
                                                              16,098         255      X   X 28-13663       200                  55

PARKWAY PPTYS INC              COM            70159Q104        7,157         650      X   X 28-5284                            650

PARTNER COMMUNICATIONS CO LT   ADR            70211M109          898          95      X     28-5284         95
               COLUMN TOTAL                               18,629,345







                                                                                                                   FILE NO. 28-1235
 PAGE   189 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PATRICK INDS INC               COM            703343103        3,999       2,150      X     28-5284       2150

PATRIOT COAL CORP              COM            70336T104       23,519       2,780      X     28-5284       2780
                                                              84,854      10,030      X   X 28-5284      10030
                                                               8,714       1,030      X   X 28-13605      1030

PATTERSON COMPANIES INC        COM            703395103      141,776       4,952      X     28-5284       4691                 261
                                                             858,642      29,991      X   X 28-5284      29991
                                                             154,115       5,383      X     28-13605      4341                1042

PATTERSON UTI ENERGY INC       COM            703481101       29,062       1,676      X     28-5284        236                1440
                                                              37,541       2,165      X   X 28-5284       1665                 500

PAYCHEX INC                    COM            704326107      703,842      26,691      X     28-5284      16382               10309
                                                           1,516,776      57,519      X   X 28-5284      36584               20935
                                                             133,300       5,055      X     28-13605      1501                3554
                                                              91,952       3,487      X   X 28-13605      3487
                                                               1,028          39      X     28-13663                            39
                                                               7,806         296      X   X 28-13663       170                 126

PEABODY ENERGY CORP            SDCV  4.750%12 704549AG9      310,500       3,000      X     28-5284       3000

PEABODY ENERGY CORP            COM            704549104    1,634,337      48,239      X     28-5284      46734                1505
                                                             956,094      28,220      X   X 28-5284      26811                1409
                                                             246,409       7,273      X     28-13605      4110                3163
                                                             334,565       9,875      X   X 28-13605      8250                1625
                                                              17,177         507      X     28-13663       400                 107
                                                               7,454         220      X   X 28-13663                           220

PEAPACK-GLADSTONE FINL CORP    COM            704699107       11,991       1,210      X   X 28-5284                           1210

PEARSON PLC                    SPONSORED ADR  705015105       11,487         656      X     28-5284        656
                                                              11,819         675      X   X 28-5284        675

PEBBLEBROOK HOTEL TR           COM            70509V100      156,500      10,000      X     28-5284      10000

PEETS COFFEE & TEA INC         COM            705560100       99,707       1,792      X     28-13605      1792

PENDRELL CORP                  COM            70686R104        3,904       1,735      X     28-5284       1735

PENGROWTH ENERGY CORP          COM            70706P104      222,745      24,777      X     28-5284      24777
                                                              48,609       5,407      X   X 28-5284       5407
                                                              11,813       1,314      X     28-13605      1314
               COLUMN TOTAL                                7,882,037







                                                                                                                   FILE NO. 28-1235
 PAGE   190 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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       36,619       1,100      X     28-5284       1100
                                                             131,529       3,951      X   X 28-5284        451                3500
                                                           1,421,450      42,699      X     28-13605     35976                6723
                                                              85,722       2,575      X   X 28-13605      2575

PENN VA CORP                   COM            707882106       86,892      15,600      X   X 28-5284        600               15000

PENN VA RESOURCES PARTNERS L   COM            707884102      124,201       5,310      X     28-5284       5310
                                                             645,400      27,593      X   X 28-5284      25603                1990
                                                               4,678         200      X   X 28-13605       200

PENN WEST PETE LTD NEW         COM            707887105      126,579       8,570      X     28-5284       8570
                                                              90,127       6,102      X   X 28-5284       6102
                                                              10,989         744      X     28-13605       744
                                                               2,954         200      X   X 28-13605       200

PENNEY J C INC                 COM            708160106      362,200      13,525      X     28-5284       8525                5000
                                                             499,715      18,660      X   X 28-5284       5252               13408
                                                             189,281       7,068      X     28-13605      5661                1407
                                                             151,012       5,639      X   X 28-13605      5639

PENNS WOODS BANCORP INC        COM            708430103        6,550         200      X     28-5284        200
                                                              23,580         720      X   X 28-5284                            720

PENNSYLVANIA RL ESTATE INVT    SH BEN INT     709102107       91,361      11,819      X     28-5284      11819
                                                              40,049       5,181      X   X 28-5284       5181

PENTAIR INC                    COM            709631105      284,889       8,900      X     28-5284       8900
                                                           1,069,262      33,404      X   X 28-5284      33404
                                                             387,321      12,100      X     28-13605     12100

PEOPLES UNITED FINANCIAL INC   COM            712704105       36,571       3,208      X     28-5284       3157                  51
                                                              62,689       5,499      X   X 28-5284       5271                 228
                                                              98,553       8,645      X     28-13605      4483                4162
                                                               2,086         183      X   X 28-13605       183
                                                                 251          22      X     28-13663                            22

PEP BOYS MANNY MOE & JACK      COM            713278109        3,455         350      X     28-5284                            350
               COLUMN TOTAL                                6,075,965







                                                                                                                   FILE NO. 28-1235
 PAGE   191 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PEPCO HOLDINGS INC             COM            713291102      698,564      36,922      X     28-5284      29374                7548
                                                             354,769      18,751      X   X 28-5284      15824                2927
                                                             124,361       6,573      X     28-13605      3909                2664
                                                             409,315      21,634      X   X 28-13605     21634
                                                                 341          18      X   X 28-13663                            18

PEPSICO INC                    COM            713448108  165,175,879   2,668,431      X     28-5284    2635158               33273
                                                         136,285,911   2,201,711      X   X 28-5284    1982264      6840    212607
                                                          16,082,053     259,807      X     28-13605    237964               21843
                                                           9,897,624     159,897      X   X 28-13605    144658       240     14999
                                                           1,073,532      17,343      X     28-13663     15624                1719
                                                           1,291,234      20,860      X   X 28-13663     20734                 126

PERICOM SEMICONDUCTOR CORP     COM            713831105        1,704         230      X     28-5284                            230

PERKINELMER INC                COM            714046109      156,312       8,137      X     28-5284       7699                 438
                                                             112,455       5,854      X   X 28-5284       3554                2300
                                                              33,137       1,725      X     28-13605       547                1178
                                                                 519          27      X     28-13663                            27

PERMIAN BASIN RTY TR           UNIT BEN INT   714236106        6,138         300      X     28-5284        300
                                                              70,055       3,424      X   X 28-5284       3424
                                                             363,963      17,789      X     28-13605     17789

PERRIGO CO                     COM            714290103      664,232       6,840      X     28-5284       3570                3270
                                                             120,805       1,244      X   X 28-5284        664                 580
                                                             252,292       2,598      X     28-13605      2598

P T TELEKOMUNIKASI INDONESIA   SPONSORED ADR  715684106       52,846       1,598      X     28-5284         12                1586
                                                              79,070       2,391      X   X 28-5284         11                2380

PETROCHINA CO LTD              SPONSORED  ADR 71646E100      218,087       1,810      X     28-5284       1810
                                                             220,015       1,826      X   X 28-5284       1626                 200

PETROBRAS ARGENTINA S A        SPONS ADR      71646J109        2,750         200      X   X 28-5284        200

PETROLEO BRASILEIRO SA PETRO   SP ADR NON VTG 71654V101      103,144       4,978      X     28-5284       4978
                                                                 622          30      X   X 28-5284         30

PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V408      218,528       9,734      X     28-5284       9734
                                                             332,260      14,800      X   X 28-5284      14600                 200
                                                               4,490         200      X     28-13605       200
                                                               2,806         125      X   X 28-13605       125
               COLUMN TOTAL                              334,409,813







                                                                                                                   FILE NO. 28-1235
 PAGE   192 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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       68,787       3,041      X     28-5284       3041
                                                               4,524         200      X     28-13605       200
                                                              35,061       1,550      X   X 28-13605      1550

PETSMART INC                   COM            716768106       64,615       1,515      X     28-5284       1515
                                                             469,107      10,999      X   X 28-5284       5699                5300
                                                              25,590         600      X     28-13605       600

PFIZER INC                     COM            717081103  132,821,265   7,512,515      X     28-5284    7324916              187599
                                                         110,272,388   6,237,126      X   X 28-5284    5830770     21020    385336
                                                          54,596,088   3,088,014      X     28-13605   2769945              318069
                                                          19,191,446   1,085,489      X   X 28-13605   1057965      2055     25469
                                                             706,670      39,970      X     28-13663     34430                5540
                                                           1,293,982      73,189      X   X 28-13663     72497                 692

PHARMACEUTICAL HLDRS TR        DEPOSITRY RCPT 71712A206       67,599       1,036      X     28-13605      1036

PHARMACEUTICAL PROD DEV INC    COM            717124101       30,664       1,195      X     28-5284       1195
                                                              25,942       1,011      X   X 28-5284       1011
                                                              28,611       1,115      X     28-13605      1115
                                                              20,220         788      X   X 28-13605       788

PHARMERICA CORP                COM            71714F104       12,358         866      X     28-5284        866
                                                             232,858      16,318      X     28-13605     16318

PHARMASSET INC                 COM            71715N106       50,246         610      X   X 28-5284        610

PHILIP MORRIS INTL INC         COM            718172109  156,919,073   2,515,535      X     28-5284    2497167               18368
                                                         129,778,596   2,080,452      X   X 28-5284    1899606      4800    176046
                                                          22,605,389     362,382      X     28-13605    311153               51229
                                                           9,148,526     146,658      X   X 28-13605    143677       265      2716
                                                             662,288      10,617      X     28-13663      9716                 901
                                                           1,609,092      25,795      X   X 28-13663     25654                 141

PHOENIX COS INC NEW            COM            71902E109          378         310      X   X 28-5284        310

PIEDMONT NAT GAS INC           COM            720186105      127,838       4,425      X     28-5284       3955                 470
                                                              66,447       2,300      X   X 28-5284        300                2000
                                                             170,220       5,892      X     28-13605      5892
                                                              28,890       1,000      X   X 28-13605      1000

PIEDMONT OFFICE REALTY TR IN   COM CL A       720190206    1,598,696      98,868      X     28-5284      98868
                                                              18,175       1,124      X   X 28-5284        224                 900
               COLUMN TOTAL                              642,751,629







                                                                                                                   FILE NO. 28-1235
 PAGE   193 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PIER 1 IMPORTS INC             COM            720279108        2,201         225      X     28-13605       225

PIMCO CORPORATE INCOME FD      COM            72200U100       22,067       1,565      X     28-5284       1565
                                                              80,370       5,700      X   X 28-5284       5700

PIMCO MUN INCOME FD II         COM            72200W106       24,863       2,250      X     28-5284       2250
                                                             160,435      14,519      X   X 28-5284      14519
                                                              14,730       1,333      X   X 28-13605      1333

PIMCO MUN INCOME FD III        COM            72201A103       45,150       4,200      X     28-5284       4200
                                                             161,465      15,020      X   X 28-5284      15020

PIMCO CORPORATE OPP FD         COM            72201B101       63,183       3,820      X     28-5284       3820
                                                               8,270         500      X   X 28-5284        500
                                                              82,700       5,000      X   X 28-13663      5000

PIMCO CALIF MUN INCOME FD II   COM            72201C109       95,300      10,000      X   X 28-13663                         10000

PIMCO INCOME STRATEGY FUND     COM            72201H108      382,223      38,108      X     28-5284        500               37608
                                                              60,180       6,000      X   X 28-5284       6000

PIMCO INCOME STRATEGY FUND I   COM            72201J104        4,385         500      X     28-5284        500

PIMCO ETF TR                   1-5 US TIP IDX 72201R205       50,369         950      X   X 28-5284        950
                                                             268,281       5,060      X     28-13605      5060

PIMCO ETF TR                   BLD AMER BD FD 72201R825      145,172       2,611      X   X 28-5284        611                2000

PIMCO ETF TR                   25YR+ ZERO U S 72201R882        5,177          47      X     28-5284         47

PIMCO GLOBAL STOCKSPLS INCM    COM            722011103        1,783         100      X   X 28-5284        100

PIMCO HIGH INCOME FD           COM SHS        722014107    2,030,564     178,276      X     28-5284     147581               30695
                                                              21,072       1,850      X   X 28-5284       1850

PINNACLE WEST CAP CORP         COM            723484101      104,516       2,434      X     28-5284       2100                 334
                                                             253,561       5,905      X   X 28-5284       5825                  80
                                                              80,985       1,886      X     28-13605       554                1332
                                                              35,211         820      X   X 28-13605       820
                                                               1,159          27      X     28-13663                            27

PIONEER MUN HIGH INCOME ADV    COM            723762100       10,395         750      X     28-5284        750
               COLUMN TOTAL                                4,215,767







                                                                                                                   FILE NO. 28-1235
 PAGE   194 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PIONEER MUN HIGH INCOME TR     COM SHS        723763108       26,999       1,862      X     28-5284       1862

PIONEER NAT RES CO             COM            723787107       29,860         454      X     28-5284        135                 319
                                                             669,802      10,184      X   X 28-5284       8702                1482
                                                             130,422       1,983      X     28-13605       591                1392
                                                               2,499          38      X     28-13663                            38
                                                               3,486          53      X   X 28-13663                            53

PIONEER SOUTHWST ENRG PRTNR    UNIT LP INT    72388B106      111,182       4,600      X     28-5284       4600
                                                             174,024       7,200      X   X 28-5284       7200

PIPER JAFFRAY COS              COM            724078100        5,809         324      X     28-5284        324
                                                              28,060       1,565      X   X 28-5284        765                 800

PITNEY BOWES INC               COM            724479100    4,690,337     249,486      X     28-5284     231214               18272
                                                           5,730,240     304,800      X   X 28-5284     303660                1140
                                                              59,972       3,190      X     28-13605      1071                2119
                                                             106,652       5,673      X   X 28-13605      5673
                                                               1,448          77      X     28-13663                            77

PLAINS ALL AMERN PIPELINE L    UNIT LTD PARTN 726503105    8,772,658     148,891      X     28-5284     148191                 700
                                                           9,400,863     159,553      X   X 28-5284     156967                2586
                                                             269,795       4,579      X     28-13605      4579
                                                             176,760       3,000      X   X 28-13605      2500                 500
                                                              88,380       1,500      X     28-13663      1500

PLAINS EXPL& PRODTN CO         COM            726505100       13,104         577      X     28-5284        577
                                                              13,671         602      X   X 28-5284        602
                                                             101,446       4,467      X     28-13605      4467

PLANTRONICS INC NEW            COM            727493108       73,316       2,577      X     28-5284       2577
                                                               4,580         161      X   X 28-5284        161
                                                               1,679          59      X     28-13605        59

PLATINUM GROUP METALS LTD      COM NEW        72765Q205       12,175      11,820      X     28-5284      11820

PLEXUS CORP                    COM            729132100       43,295       1,914      X     28-5284       1914

PLUG POWER INC                 COM NEW        72919P202          273         150      X     28-5284        150
                                                                 309         170      X   X 28-5284        170
               COLUMN TOTAL                               30,743,096







                                                                                                                   FILE NO. 28-1235
 PAGE   195 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PLUM CREEK TIMBER CO INC       COM            729251108      615,304      17,727      X     28-5284      15188                2539
                                                           2,592,247      74,683      X   X 28-5284      49513               25170
                                                             108,226       3,118      X     28-13605      1291                1827
                                                             203,539       5,864      X   X 28-13605      5864
                                                                 937          27      X     28-13663                            27
                                                              69,420       2,000      X   X 28-13663      2000

POLARIS INDS INC               COM            731068102    1,167,099      23,356      X     28-5284      23356
                                                             131,321       2,628      X   X 28-5284       2468                 160
                                                           3,328,552      66,611      X     28-13605     66083                 528
                                                             480,112       9,608      X   X 28-13605      9608

POLYCOM INC                    COM            73172K104       75,244       4,096      X     28-5284       4096
                                                             211,182      11,496      X   X 28-5284       2238                9258
                                                              78,440       4,270      X     28-13605      4270

POLYONE CORP                   COM            73179P106        6,533         610      X     28-5284                            610
                                                              26,775       2,500      X   X 28-5284                           2500
                                                             132,654      12,386      X     28-13605     12386

POLYPORE INTL INC              COM            73179V103      676,657      11,972      X   X 28-5284      11972
                                                              76,302       1,350      X     28-13605      1350

POOL CORPORATION               COM            73278L105       39,270       1,500      X   X 28-5284                           1500

POPULAR INC                    COM            733174106        5,345       3,563      X   X 28-5284       3563

PORTFOLIO RECOVERY ASSOCS IN   COM            73640Q105       14,248         229      X   X 28-5284        229
                                                           2,719,947      43,715      X     28-13605     36799                6916
                                                              10,453         168      X   X 28-13605       168

PORTLAND GEN ELEC CO           COM NEW        736508847       14,214         600      X     28-5284        600
                                                             126,054       5,321      X     28-13605      5321

PORTUGAL TELECOM SGPS S A      SPONSORED ADR  737273102        7,344       1,013      X     28-5284       1013

POTASH CORP SASK INC           COM            73755L107      398,532       9,221      X     28-5284       7666                1555
                                                           1,346,562      31,156      X   X 28-5284      10770               20386
                                                              81,470       1,885      X     28-13605      1285                 600
                                                             297,613       6,886      X   X 28-13605      3586                3300

POTLATCH CORP NEW              COM            737630103      114,985       3,648      X     28-5284       3648
                                                              18,912         600      X   X 28-5284                            600
               COLUMN TOTAL                               15,175,493







                                                                                                                   FILE NO. 28-1235
 PAGE   196 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
POWER ONE INC NEW              COM            73930R102        4,500       1,000      X     28-5284       1000

POWERSHARES QQQ TRUST          UNIT SER 1     73935A104   11,276,689     214,835      X     28-5284     214835
                                                           3,522,184      67,102      X   X 28-5284      66702                 400
                                                           2,067,161      39,382      X     28-13605     39382
                                                           1,432,820      27,297      X   X 28-13605     27297
                                                              62,306       1,187      X   X 28-13663      1187

POWERSHARES ACTIVE MNG ETF T   US REAL EST FD 73935B508       88,980       2,000      X   X 28-5284       2000

POWERSHARES DB CMDTY IDX TRA   UNIT BEN INT   73935S105    1,363,282      52,943      X     28-5284      52943
                                                             831,081      32,275      X   X 28-5284      31975                 300
                                                              48,925       1,900      X   X 28-13605      1900

POWERSHARES ETF TRUST          WILDERHILL PRO 73935X161       12,300         615      X   X 28-5284        615

POWERSHARES ETF TRUST          FINL PFD PTFL  73935X229      318,930      19,748      X     28-5284      19748
                                                              80,750       5,000      X   X 28-5284       5000

POWERSHARES ETF TRUST          CLEANTECH PORT 73935X278        6,240         300      X     28-5284        300

POWERSHARES ETF TRUST          BNKING SEC POR 73935X336      382,105      40,011      X     28-5284      40011

POWERSHARES ETF TRUST          WNDRHLL CLN EN 73935X500        2,725         500      X     28-5284        500
                                                              41,017       7,526      X   X 28-5284       7526

POWERSHARES ETF TRUST          WATER RESOURCE 73935X575      849,195      56,500      X     28-5284      56500
                                                              42,084       2,800      X   X 28-5284       2800
                                                               5,711         380      X     28-13605       380

POWERSHARES ETF TRUST          FTSE RAFI 1000 73935X583    4,211,102      86,099      X     28-5284      77352                8747
                                                           3,019,165      61,729      X   X 28-5284      61729
                                                             272,527       5,572      X     28-13663      5572
                                                             660,578      13,506      X   X 28-13663     13506

POWERSHARES ETF TRUST          DYNM LRG CP GR 73935X609       15,426       1,072      X   X 28-5284       1072

POWERSHARES ETF TRUST          LX NANOTCH PTF 73935X633          587         100      X   X 28-13605       100

POWERSHARES ETF TRUST          INTL DIV ACHV  73935X716       13,750       1,000      X   X 28-5284                           1000

POWERSHARES ETF TRUST          DYN PHRMA PORT 73935X799        9,828         400      X   X 28-5284        400
               COLUMN TOTAL                               30,641,948







                                                                                                                   FILE NO. 28-1235
 PAGE   197 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
POWERSHARES ETF TRUST          FND PR MIDGRT  73935X807       15,220         829      X   X 28-5284        829

POWERSHARES ETF TRUST          FND PUR SMGRT  73935X872       15,880       1,112      X   X 28-5284       1112

POWERSHS DB MULTI SECT COMM    DB ENERGY FUND 73936B101      366,599      14,259      X     28-5284       7565                6694
                                                              55,277       2,150      X   X 28-5284       2150

POWERSHS DB MULTI SECT COMM    DB PREC MTLS   73936B200       92,740       1,642      X     28-5284                           1642

POWERSHS DB MULTI SECT COMM    DB SILVER FUND 73936B309       15,495         300      X     28-5284        300

POWERSHS DB MULTI SECT COMM    DB AGRICULT FD 73936B408   19,041,726     641,892      X     28-5284     637004                4888
                                                           1,754,388      59,140      X   X 28-5284      59140
                                                             839,312      28,293      X     28-13605     28293
                                                             242,600       8,178      X   X 28-13605      7178                1000
                                                             191,755       6,464      X     28-13663      6464
                                                             281,818       9,500      X   X 28-13663      9500

POWERSHS DB MULTI SECT COMM    DB OIL FUND    73936B507        1,152          50      X   X 28-5284         50

POWERSHS DB MULTI SECT COMM    DB BASE METALS 73936B705       74,015       3,990      X     28-5284                           3990

POWERSHS DB US DOLLAR INDEX    DOLL INDX BEAR 73936D206        8,148         300      X     28-5284        300

POWERSECURE INTL INC           COM            73936N105       24,123       5,100      X   X 28-5284                           5100

POWERSHARES ETF TRUST II       MENA FRNTR ETF 73936Q603       69,680       6,500      X   X 28-5284       6500

POWERSHARES ETF TRUST II       CEF INC COMPST 73936Q843       22,860       1,000      X   X 28-5284       1000

POWERSHARES GLOBAL ETF TRUST   AGG PFD PORT   73936T565       82,078       6,044      X     28-5284       6044
                                                             238,302      17,548      X     28-13605     17548

POWERSHARES GLOBAL ETF TRUST   SOVEREIGN DEBT 73936T573       16,998         650      X     28-5284        650
                                                              88,910       3,400      X   X 28-5284       3400

POWERSHARES GLOBAL ETF TRUST   GBL CLEAN ENER 73936T615        1,535         175      X     28-5284        175
                                                               6,578         750      X     28-13605       750

POWERSHARES GLOBAL ETF TRUST   GBL WTR PORT   73936T623        7,029         450      X     28-5284        450
                                                              14,058         900      X   X 28-5284        900
                                                               1,562         100      X     28-13605       100
               COLUMN TOTAL                               23,569,838







                                                                                                                   FILE NO. 28-1235
 PAGE   198 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
POWERSHARES ETF TR II          GLB NUCLR ENRG 73937B100        1,516         100      X     28-5284        100

POWERSHARES ETF TR II          EMRG MKTS INFR 73937B209      203,255       5,900      X   X 28-5284       5900

POWERSHARES ETF TR II          BUILD AMER ETF 73937B407    9,938,087     344,833      X     28-5284     339445                5388
                                                           2,147,666      74,520      X   X 28-5284      71239                3281
                                                              81,618       2,832      X     28-13605      2832
                                                             166,291       5,770      X     28-13663      5770
                                                           1,172,974      40,700      X   X 28-13663     40700

POZEN INC                      COM            73941U102        1,687         700      X     28-5284        700

PRAXAIR INC                    COM            74005P104   39,628,696     423,927      X     28-5284     397661               26266
                                                          22,372,101     239,325      X   X 28-5284     214219      1100     24006
                                                           1,694,792      18,130      X     28-13605     14459                3671
                                                             598,646       6,404      X   X 28-13605      6249                 155
                                                             394,299       4,218      X     28-13663      3074                1144
                                                             328,115       3,510      X   X 28-13663      3456                  54

PRECISION CASTPARTS CORP       COM            740189105    2,294,590      14,760      X     28-5284      13822                 938
                                                           1,713,947      11,025      X   X 28-5284      10548                 477
                                                             771,237       4,961      X     28-13605      3247                1714
                                                             139,137         895      X   X 28-13605       895
                                                              78,041         502      X     28-13663                           502
                                                             240,963       1,550      X   X 28-13663                          1550

PRECISION DRILLING CORP        COM 2010       74022D308      304,997      36,791      X     28-5284       3000               33791
                                                               9,442       1,139      X   X 28-5284                           1139
                                                             183,292      22,110      X     28-13605     22110
                                                                 995         120      X   X 28-13605       120
                                                              11,971       1,444      X     28-13663                          1444

PRESIDENTIAL LIFE CORP         COM            740884101        1,562         190      X     28-5284                            190

PRESTIGE BRANDS HLDGS INC      COM            74112D101      259,264      28,648      X     28-13605     28648
                                                               6,788         750      X   X 28-13605       750

PRICE T ROWE GROUP INC         COM            74144T108   32,601,687     682,472      X     28-5284     676188                6284
                                                          34,454,686     721,262      X   X 28-5284     700486      2700     18076
                                                           3,943,605      82,554      X     28-13605     78279                4275
                                                           3,726,729      78,014      X   X 28-13605     76860       215       939
                                                             346,858       7,261      X     28-13663      6886                 375
                                                             258,436       5,410      X   X 28-13663      5410
               COLUMN TOTAL                              160,077,970







                                                                                                                   FILE NO. 28-1235
 PAGE   199 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PRICELINE COM INC              COM NEW        741503403    3,702,202       8,237      X     28-5284       6621                1616
                                                           1,586,144       3,529      X   X 28-5284       2876                 653
                                                             392,379         873      X     28-13605       304                 569
                                                              15,731          35      X   X 28-13605         5                  30
                                                             170,795         380      X     28-13663       300                  80
                                                             355,073         790      X   X 28-13663       790

PRICESMART INC                 COM            741511109      357,717       5,740      X     28-13605      5740

PRINCIPAL FINL GROUP INC       COM            74251V102      512,977      22,628      X     28-5284      21560                1068
                                                             537,007      23,688      X   X 28-5284      23526                 162
                                                             129,627       5,718      X     28-13605      1469                4249

PROCTER & GAMBLE CO            COM            742718109  488,761,933   7,736,023      X     28-5284    7644523       200     91300
                                                         307,112,862   4,860,919      X   X 28-5284    4001432      6428    853059
                                                          74,149,059   1,173,616      X     28-13605   1086756               86860
                                                          40,051,508     633,927      X   X 28-13605    606986       715     26226
                                                           2,667,207      42,216      X     28-13663     38736                3480
                                                           1,678,945      26,574      X   X 28-13663     26344                 230

PROGENICS PHARMACEUTICALS IN   COM            743187106        2,227         388      X     28-5284        388
                                                                 574         100      X   X 28-5284        100

PROGRESS ENERGY INC            COM            743263105    2,138,260      41,343      X     28-5284      39992                1351
                                                           1,158,735      22,404      X   X 28-5284      21037                1367
                                                             642,414      12,421      X     28-13605      8960                3461
                                                             578,954      11,194      X   X 28-13605     11094                 100
                                                             109,905       2,125      X     28-13663      2100                  25
                                                             108,612       2,100      X   X 28-13663      2100

PROGRESS SOFTWARE CORP         COM            743312100       15,953         909      X     28-5284        484                 425
                                                              26,325       1,500      X   X 28-5284                           1500

PROGRESSIVE CORP OHIO          COM            743315103    3,136,274     176,592      X     28-5284     141144               35448
                                                           1,196,243      67,356      X   X 28-5284      36136               31220
                                                             199,392      11,227      X     28-13605      3330                7897
                                                              40,120       2,259      X     28-13663                          2259
                                                               3,872         218      X   X 28-13663                           218
               COLUMN TOTAL                              931,539,026







                                                                                                                   FILE NO. 28-1235
 PAGE   200 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PROLOGIS INC                   COM            74340W103      102,650       4,233      X     28-5284        292                3941
                                                             135,461       5,586      X   X 28-5284       5477                 109
                                                             175,958       7,256      X     28-13605      2061                5195
                                                                  49           2      X   X 28-13605         2
                                                               1,140          47      X     28-13663                            47

PROLOGIS                       NOTE  2.625% 5 74340XAS0      197,000       2,000      X   X 28-5284       2000

PROSHARES TR                   PSHS ULT S&P 5 74347R107      201,241       5,300      X     28-5284       5300
                                                             256,298       6,750      X   X 28-5284       6750

PROSHARES TR                   PSHS ULTRA QQQ 74347R206       75,868       1,040      X     28-5284       1040

PROSHARES TR                   PSHS ULTSH 20Y 74347R297      780,613      40,155      X     28-5284      38555                1600
                                                             209,952      10,800      X   X 28-5284      10800
                                                               8,748         450      X   X 28-13605       450

PROSHARES TR                   PSHS ULSHT 7-1 74347R313      810,817      25,675      X     28-5284      25675

PROSHARES TR                   PSHS SHRT S&P5 74347R503      298,544       6,476      X     28-5284       6476

PROSHARES TR                   PSHS SHORT QQQ 74347R602      197,606       5,800      X     28-5284       5800

PROSHARES TR                   PSHS SHORT DOW 74347R701      264,478       5,950      X     28-5284       5950

PROSHARES TR                   PSHS ULTRA O&G 74347R719       16,385         500      X     28-5284        500

PROSHARES TR                   PSHS ULT BASMA 74347R776        7,617         300      X   X 28-5284        300

PROSHARES TR                   PSHS SH MDCAP4 74347R800       24,935         694      X     28-5284        694

PROSHARES TR                   PSHS SHTRUSS20 74347R826      425,696      11,881      X     28-5284      11881

PROSHARES TR                   PSHS ULTASH DW 74347R867       30,585       1,500      X     28-5284       1500

PROSHARES TR                   PSHS ULSHT SP5 74347R883       27,963       1,097      X     28-5284       1097
                                                             349,213      13,700      X   X 28-5284      13700

PROSHARES TR II                ULTRA GOLD     74347W601        8,735         100      X     28-5284        100

PROSHARES TR II                SHRT SILV NEW  74347W643       85,550       5,000      X     28-5284       5000

PROSHARES TR II                ULTRASHRT NEW  74347W718       76,680       4,000      X     28-5284       4000
               COLUMN TOTAL                                4,769,782







                                                                                                                   FILE NO. 28-1235
 PAGE   201 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PROSHARES TR II                ULTRA SILVER   74347W841       48,211         465      X     28-5284        465

PROSHARES TR II                ULTRASHRT EURO 74347W882      179,304       9,300      X     28-5284       9300

PROSHARES TR                   PSHS ULTSHRT Q 74347X237        3,535          65      X     28-5284         65

PROSHARES TR                   REAL EST NEW   74347X583        3,482         200      X     28-5284        200

PROSHARES TR                   BASIC MAT NEW  74347X617          565          20      X     28-5284         20

PROSHARES TR                   ULTRA FNCLS NE 74347X633       15,424         418      X   X 28-5284        418

PROSHARES TR                   PSHS ULSHRUS20 74348A202        4,845          83      X     28-5284         83

PROSPECT CAPITAL CORPORATION   COM            74348T102        4,205         500      X     28-5284        500

PROSPERITY BANCSHARES INC      COM            743606105      256,113       7,837      X     28-5284       2350                5487
                                                              64,380       1,970      X   X 28-5284       1000                 970
                                                           1,565,895      47,916      X     28-13605     41376                6540
                                                               5,229         160      X   X 28-13605       160

PROTECTIVE LIFE CORP           COM            743674103       69,991       4,478      X     28-5284       2418                2060
                                                               7,252         464      X   X 28-5284        464
                                                               3,923         251      X   X 28-13605       251

PROVIDENT FINL SVCS INC        COM            74386T105       84,495       7,860      X   X 28-5284       5660                2200

PROVIDENT ENERGY LTD NEW       COM            74386V100      164,832      20,200      X     28-5284      20200
                                                              64,464       7,900      X   X 28-5284       7900
                                                              28,560       3,500      X     28-13605      3500
                                                              22,848       2,800      X   X 28-13605      2800

PROVIDENT NEW YORK BANCORP     COM            744028101       19,206       3,300      X   X 28-5284                           3300

PRUDENTIAL FINL INC            COM            744320102    3,713,327      79,243      X     28-5284      75209                4034
                                                             893,152      19,060      X   X 28-5284      16850                2210
                                                           6,474,599     138,169      X     28-13605     91744               46425
                                                             947,837      20,227      X   X 28-13605     19860       345        22
                                                              22,727         485      X     28-13663       117                 368
                                                              18,744         400      X   X 28-13663       400

PRUDENTIAL PLC                 ADR            74435K204       17,657       1,035      X     28-5284         70                 965
                                                             141,172       8,275      X   X 28-5284                           8275
               COLUMN TOTAL                               14,845,974







                                                                                                                   FILE NO. 28-1235
 PAGE   202 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PUBLIC SVC ENTERPRISE GROUP    COM            744573106    6,110,848     183,124      X     28-5284     180312                2812
                                                           8,537,781     255,852      X   X 28-5284     240404               15448
                                                             725,864      21,752      X     28-13605     15923                5829
                                                             387,826      11,622      X   X 28-13605     11622
                                                               3,804         114      X     28-13663                           114
                                                              17,019         510      X   X 28-13663       493                  17

PUBLIC STORAGE                 COM            74460D109    1,309,587      11,761      X     28-5284      11049                 712
                                                           1,837,386      16,501      X   X 28-5284      16474                  27
                                                           3,229,929      29,007      X     28-13605     27081                1926
                                                             406,205       3,648      X   X 28-13605      3648
                                                               1,002           9      X     28-13663                             9

PULSE ELECTRONICS CORP         COM            74586W106       19,162       6,700      X   X 28-5284                           6700

PULTE GROUP INC                COM            745867101       13,043       3,302      X     28-5284         62                3240
                                                               3,788         959      X   X 28-5284        545                 414
                                                               9,832       2,489      X     28-13605       743                1746

PUTNAM MANAGED MUN INCOM TR    COM            746823103       26,040       3,500      X     28-5284       3500

PUTNAM PREMIER INCOME TR       SH BEN INT     746853100        5,885       1,100      X     28-5284       1100

PUTNAM MASTER INTER INCOME T   SH BEN INT     746909100       14,140       2,800      X   X 28-5284       2800

PUTNAM MUN OPPORTUNITIES TR    SH BEN INT     746922103        8,783         750      X   X 28-5284        750

QLT INC                        COM            746927102        2,003         274      X     28-5284        274

QLOGIC CORP                    COM            747277101      114,120       9,000      X     28-5284       1142                7858
                                                              19,388       1,529      X   X 28-5284         29                1500

QUAD / GRAPHICS INC            COM CL A       747301109    1,000,464      55,366      X   X 28-5284      55366

QUAKER CHEM CORP               COM            747316107        4,821         186      X     28-5284        116                  70
                                                             147,744       5,700      X   X 28-5284       1500                4200
                                                              38,880       1,500      X     28-13605      1500

QKL STORES INC                 COM            74732Y105          672         560      X     28-5284        560

QLIK TECHNOLOGIES INC          COM            74733T105       10,685         494      X     28-5284        494
                                                             210,893       9,750      X   X 28-5284                           9750
               COLUMN TOTAL                               24,217,594







                                                                                                                   FILE NO. 28-1235
 PAGE   203 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
QEP RES INC                    COM            74733V100      776,124      28,671      X     28-5284      27224                1447
                                                           3,511,439     129,717      X   X 28-5284     129717
                                                             354,698      13,103      X     28-13605     11085                2018
                                                             737,739      27,253      X   X 28-13605     27253
                                                               8,121         300      X     28-13663       300

QUALCOMM INC                   COM            747525103   78,249,463   1,609,078      X     28-5284    1516973       200     91905
                                                          39,468,205     811,602      X   X 28-5284     714206      2790     94606
                                                          37,589,337     772,966      X     28-13605    741882               31084
                                                           9,926,210     204,117      X   X 28-13605    197056       385      6676
                                                             703,968      14,476      X     28-13663      8056                6420
                                                             576,703      11,859      X   X 28-13663     11759                 100

QUALITY SYS INC                COM            747582104      577,053       5,949      X     28-5284       1500                4449
                                                              82,644         852      X   X 28-5284        700                 152
                                                             329,800       3,400      X   X 28-13605      3400
                                                              18,527         191      X     28-13663                           191

QUANTA SVCS INC                COM            74762E102      574,993      30,601      X     28-5284      30495                 106
                                                             270,012      14,370      X   X 28-5284      10395                3975
                                                              91,207       4,854      X     28-13605      1026                3828
                                                             163,849       8,720      X   X 28-13605      8720
                                                               2,029         108      X     28-13663                           108

QUANTUM CORP                   COM DSSG       747906204        4,442       2,454      X     28-5284       2454

QUATERRA RES INC               COM            747952109       20,450      25,000      X     28-13605     25000

QUEST DIAGNOSTICS INC          COM            74834L100    1,487,167      30,129      X     28-5284      29613                 516
                                                             839,466      17,007      X   X 28-5284      14773                2234
                                                             288,509       5,845      X     28-13605      3823                2022
                                                                 888          18      X     28-13663                            18

QUESTCOR PHARMACEUTICALS INC   COM            74835Y101      137,309       5,037      X     28-13605      5037

QUESTAR CORP                   COM            748356102      649,709      36,686      X     28-5284      34597                2089
                                                           2,637,178     148,909      X   X 28-5284     132674               16235
                                                             253,129      14,293      X     28-13605     14249                  44
                                                             597,482      33,737      X   X 28-13605     33737
                                                               5,313         300      X     28-13663       300

QUICKSILVER RESOURCES INC      COM            74837R104        3,411         450      X     28-5284        450
                                                               1,766         233      X   X 28-5284        233
               COLUMN TOTAL                              180,938,340







                                                                                                                   FILE NO. 28-1235
 PAGE   204 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
QUIKSILVER INC                 COM            74838C106        3,050       1,000      X     28-5284                           1000

QUIDEL CORP                    COM            74838J101        6,548         400      X     28-5284        400
                                                             198,896      12,150      X   X 28-5284                          12150

RAIT FINANCIAL TRUST           COM NEW        749227609        3,390       1,000      X     28-5284       1000
                                                                 848         250      X   X 28-5284        250

RGC RES INC                    COM            74955L103       31,518       1,700      X   X 28-5284                           1700

RLI CORP                       COM            749607107        6,358         100      X     28-5284                            100
                                                           1,797,852      28,277      X     28-13605     23211                5066
                                                              14,369         226      X   X 28-13605       126                 100

RLJ LODGING TR                 COM            74965L101          166          13      X     28-5284         13

RPC INC                        COM            749660106      165,240      10,125      X     28-5284      10125
                                                              45,761       2,804      X   X 28-5284       2804

RPM INTL INC                   COM            749685103    1,031,660      55,169      X     28-5284      46889                8280
                                                             551,912      29,514      X   X 28-5284      29514
                                                              34,128       1,825      X     28-13605      1825
                                                              51,350       2,746      X   X 28-13605      2746

RTI INTL METALS INC            COM            74973W107        8,838         379      X     28-5284        199                 180
                                                              13,992         600      X   X 28-5284        600

RF MICRODEVICES INC            COM            749941100       23,458       3,700      X   X 28-5284        200                3500

RACKSPACE HOSTING INC          COM            750086100        5,121         150      X     28-5284        150
                                                              49,366       1,446      X   X 28-5284       1446
                                                             174,285       5,105      X     28-13605      5105

RADIAN GROUP INC               COM            750236101       42,486      19,400      X     28-5284      19400

RADIOSHACK CORP                COM            750438103       39,032       3,359      X     28-5284       3303                  56
                                                              16,268       1,400      X   X 28-5284       1400
                                                               2,324         200      X     28-13605       200

RADISYS CORP                   COM            750459109        1,346         220      X     28-5284                            220
               COLUMN TOTAL                                4,319,562







                                                                                                                   FILE NO. 28-1235
 PAGE   205 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
RALCORP HLDGS INC NEW          COM            751028101       65,664         856      X     28-5284        636                 220
                                                             265,186       3,457      X   X 28-5284       2012                1445
                                                              13,424         175      X     28-13605       175
                                                               3,836          50      X   X 28-13605        50
                                                              15,342         200      X     28-13663       200

RALPH LAUREN CORP              CL A           751212101      509,462       3,928      X     28-5284       3798                 130
                                                              80,803         623      X   X 28-5284        623
                                                             149,804       1,155      X     28-13605       333                 822
                                                               2,205          17      X     28-13663                            17

RANDGOLD RES LTD               ADR            752344309        3,869          40      X   X 28-13605        40

RANGE RES CORP                 COM            75281A109      335,327       5,736      X     28-5284       2765                2971
                                                           1,387,665      23,737      X   X 28-5284       6536               17201
                                                             209,521       3,584      X     28-13605      1266                2318
                                                               2,397          41      X   X 28-13605        41
                                                               1,462          25      X     28-13663                            25

RAVEN INDS INC                 COM            754212108        4,820         100      X     28-13605       100

RAYMOND JAMES FINANCIAL INC    COM            754730109       76,997       2,966      X     28-5284       1466                1500
                                                             242,285       9,333      X   X 28-5284       1203                8130
                                                               5,010         193      X   X 28-13605       193

RAYONIER INC                   COM            754907103      329,602       8,959      X     28-5284       8260                 699
                                                             512,742      13,937      X   X 28-5284      12229                1708
                                                              14,716         400      X     28-13605       400
                                                              20,860         567      X   X 28-13605       567

RAYTHEON CO                    COM NEW        755111507    5,818,989     142,378      X     28-5284     135689                6689
                                                           9,384,161     229,610      X   X 28-5284     218310               11300
                                                             878,378      21,492      X     28-13605     17004                4488
                                                             326,102       7,979      X   X 28-13605      5979                2000
                                                               6,049         148      X     28-13663                           148
                                                              82,639       2,022      X   X 28-13663      1976                  46

REALTY INCOME CORP             COM            756109104       32,240       1,000      X     28-5284       1000
                                                              72,701       2,255      X   X 28-5284       1755                 500
                                                             420,539      13,044      X     28-13605     13044
                                                               3,224         100      X   X 28-13605       100

REAVES UTIL INCOME FD          COM SH BEN INT 756158101       68,320       2,800      X   X 28-5284       2800
               COLUMN TOTAL                               21,346,341







                                                                                                                   FILE NO. 28-1235
 PAGE   206 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
RED HAT INC                    COM            756577102      290,918       6,884      X     28-5284       6682                 202
                                                              99,353       2,351      X   X 28-5284       2177                 174
                                                             130,921       3,098      X     28-13605       962                2136
                                                              16,904         400      X   X 28-13605       400
                                                               1,141          27      X     28-13663                            27

RED ROBIN GOURMET BURGERS IN   COM            75689M101      184,794       7,671      X     28-5284                           7671
                                                               6,143         255      X   X 28-5284                            255
                                                               7,829         325      X     28-13663                           325

REDDY ICE HLDGS INC            COM            75734R105          391         313      X   X 28-5284        313

REDWOOD TR INC                 COM            758075402       20,072       1,797      X     28-5284       1797
                                                               4,468         400      X   X 28-13605       400

REED ELSEVIER N V              SPONS ADR NEW  758204200       56,252       2,578      X     28-5284       2578
                                                               1,964          90      X   X 28-13605        90

REED ELSEVIER P L C            SPONS ADR NEW  758205207       18,252         600      X     28-5284        600

REGAL BELOIT CORP              COM            758750103       20,421         450      X     28-5284        450
                                                              26,547         585      X   X 28-5284        185                 400
                                                           1,482,474      32,668      X     28-13605     27252                5416
                                                               6,081         134      X   X 28-13605       134

REGAL ENTMT GROUP              CL A           758766109      109,417       9,320      X     28-5284                           9320
                                                               3,862         329      X   X 28-5284        329

REGENCY CTRS CORP              COM            758849103       34,659         981      X   X 28-5284        981

REGENCY ENERGY PARTNERS L P    COM UNITS L P  75885Y107      393,389      17,562      X   X 28-5284      15562                2000

REGENERON PHARMACEUTICALS      COM            75886F107      213,012       3,660      X     28-5284                           3660
                                                             159,061       2,733      X   X 28-5284        563                2170
                                                              18,915         325      X     28-13605       215                 110
                                                              14,550         250      X     28-13663                           250

REGIS CORP MINN                COM            758932107          944          67      X     28-5284         67
               COLUMN TOTAL                                3,322,734







                                                                                                                   FILE NO. 28-1235
 PAGE   207 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
REGIONS FINANCIAL CORP NEW     COM            7591EP100      292,071      87,709      X     28-5284      79123                8586
                                                             152,674      45,848      X   X 28-5284      44589                1259
                                                              86,493      25,974      X     28-13605     11159               14815
                                                              45,874      13,776      X   X 28-13605     13380                 396
                                                               4,076       1,224      X     28-13663                          1224

REINSURANCE GROUP AMER INC     COM NEW        759351604       37,541         817      X     28-5284        817
                                                              18,426         401      X   X 28-5284        401
                                                              93,324       2,031      X     28-13605      2031
                                                               8,317         181      X   X 28-13605       181

REIS INC                       COM            75936P105          443          50      X   X 28-5284         50

RELIANCE STEEL & ALUMINUM CO   COM            759509102       24,147         710      X     28-5284        710
                                                              30,065         884      X   X 28-5284        384                 500

RENREN INC                     SPONSORED ADR  759892102        2,601         510      X   X 28-5284        510

RENTECH INC                    COM            760112102        1,560       2,000      X     28-13605      2000

REPUBLIC BANCORP KY            CL A           760281204      216,877      12,246      X     28-5284      12246

REPUBLIC FIRST BANCORP INC     COM            760416107          155         100      X     28-5284        100
                                                              22,791      14,704      X   X 28-5284      14704

REPUBLIC SVCS INC              COM            760759100      503,340      17,938      X     28-5284      12266                5672
                                                             407,038      14,506      X   X 28-5284       8437                6069
                                                             150,570       5,366      X     28-13605      1420                3946
                                                              19,642         700      X   X 28-13605       700
                                                               6,117         218      X     28-13663                           218

RESEARCH IN MOTION LTD         COM            760975102       70,441       3,470      X     28-5284       3470
                                                              25,598       1,261      X   X 28-5284       1261
                                                               5,989         295      X   X 28-13605       295

RESMED INC                     COM            761152107      161,224       5,600      X     28-5284       5600
                                                             460,582      15,998      X   X 28-5284       3814               12184
                                                              28,790       1,000      X     28-13605      1000
                                                             290,606      10,094      X   X 28-13605     10094

RESOURCE AMERICA INC           CL A           761195205       15,348       3,403      X     28-5284       3403

REX ENERGY CORPORATION         COM            761565100       25,300       2,000      X     28-13605      2000
               COLUMN TOTAL                                3,208,020







                                                                                                                   FILE NO. 28-1235
 PAGE   208 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
REYNOLDS AMERICAN INC          COM            761713106      990,034      26,415      X     28-5284      20129                6286
                                                             435,630      11,623      X   X 28-5284      11305                 318
                                                             472,698      12,612      X     28-13605      8425                4187
                                                             139,276       3,716      X   X 28-13605      3716
                                                               1,499          40      X     28-13663                            40
                                                              52,247       1,394      X   X 28-13663      1281                 113

RHINO RESOURCE PARTNERS LP     COM UNIT REPST 76218Y103        1,765         100      X   X 28-13605       100

RICKS CABARET INTL INC         COM NEW        765641303        1,330         200      X     28-5284        200

RIGHTNOW TECHNOLOGIES INC      COM            76657R106      496,411      15,020      X     28-5284                          15020
                                                              20,194         611      X   X 28-5284                            611
                                                             114,386       3,461      X     28-13605      3461
                                                              21,317         645      X     28-13663                           645

RIO TINTO PLC                  SPONSORED ADR  767204100      917,569      20,816      X     28-5284      20816
                                                           1,029,048      23,345      X   X 28-5284      12305               11040
                                                              43,904         996      X     28-13605       996
                                                              80,931       1,836      X   X 28-13605      1836

RITCHIE BROS AUCTIONEERS       COM            767744105       10,095         500      X     28-5284        500
                                                             175,653       8,700      X   X 28-5284       8700

RITE AID CORP                  COM            767754104        3,920       4,000      X     28-5284       4000
                                                               2,352       2,400      X   X 28-5284       1800                 600
                                                              19,012      19,400      X     28-13605     19400

RIVERBED TECHNOLOGY INC        COM            768573107       34,112       1,709      X     28-5284       1709
                                                              27,565       1,381      X   X 28-5284       1381
                                                             134,431       6,735      X     28-13605      6735

ROBBINS & MYERS INC            COM            770196103       18,119         522      X     28-5284        242                 280
                                                           4,510,912     129,960      X   X 28-5284     129960

ROBERT HALF INTL INC           COM            770323103       26,971       1,271      X     28-5284       1090                 181
                                                              72,445       3,414      X   X 28-5284        614                2800
                                                              47,087       2,219      X     28-13605       471                1748

ROCK-TENN CO                   CL A           772739207       27,650         568      X   X 28-5284        568
                                                              93,174       1,914      X     28-13605      1914
               COLUMN TOTAL                               10,021,737







                                                                                                                   FILE NO. 28-1235
 PAGE   209 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ROCKWELL AUTOMATION INC        COM            773903109    8,142,120     145,395      X     28-5284     142144                3251
                                                           3,234,784      57,764      X   X 28-5284      51491                6273
                                                             639,184      11,414      X     28-13605      9834                1580
                                                             296,128       5,288      X   X 28-13605      5288
                                                              35,168         628      X     28-13663       600                  28
                                                              11,032         197      X   X 28-13663       125                  72

ROCKWELL COLLINS INC           COM            774341101      926,888      17,568      X     28-5284      17136                 432
                                                           1,351,395      25,614      X   X 28-5284      21204                4410
                                                             155,536       2,948      X     28-13605      1167                1781
                                                             255,622       4,845      X   X 28-13605      4845

ROCKWOOD HLDGS INC             COM            774415103       16,778         498      X   X 28-5284        498
                                                             400,743      11,895      X     28-13605     11895

ROFIN SINAR TECHNOLOGIES INC   COM            775043102          192          10      X     28-5284         10
                                                              43,181       2,249      X   X 28-5284                           2249
                                                           1,035,571      53,936      X     28-13605     44718                9218
                                                               4,474         233      X   X 28-13605       233

ROGERS COMMUNICATIONS INC      CL B           775109200       84,738       2,477      X     28-5284       2217                 260
                                                              17,105         500      X   X 28-5284        500

ROGERS CORP                    COM            775133101        3,913         100      X     28-5284                            100
                                                               1,213          31      X     28-13605        31

ROLLINS INC                    COM            775711104      142,196       7,600      X     28-5284       7600
                                                             179,953       9,618      X   X 28-5284       9618

ROPER INDS INC NEW             COM            776696106    1,179,601      17,118      X     28-5284       8547                8571
                                                             388,583       5,639      X   X 28-5284       2363       110      3166
                                                             436,958       6,341      X     28-13605      4840                1501
                                                             303,204       4,400      X   X 28-13605      4400
                                                               3,514          51      X     28-13663                            51
                                                              96,474       1,400      X   X 28-13663      1400

ROSETTA RESOURCES INC          COM            777779307        3,833         112      X     28-5284        112

ROSETTA STONE INC              COM            777780107       92,324      10,090      X     28-5284                          10090
                                                               3,239         354      X   X 28-5284                            354
                                                               7,320         800      X     28-13605       800
                                                               4,108         449      X     28-13663                           449
               COLUMN TOTAL                               19,497,072







                                                                                                                   FILE NO. 28-1235
 PAGE   210 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ROSS STORES INC                COM            778296103   11,689,478     148,551      X     28-5284     146360                2191
                                                           6,137,899      78,001      X   X 28-5284      74363       800      2838
                                                             873,144      11,096      X     28-13605      9426                1670
                                                             192,397       2,445      X   X 28-13605      2445
                                                             138,337       1,758      X     28-13663      1650                 108
                                                              70,034         890      X   X 28-13663       890

ROVI CORP                      COM            779376102       16,289         379      X     28-5284        379
                                                              31,633         736      X   X 28-5284        586                 150

ROWAN COS INC                  COM            779382100       61,437       2,035      X     28-5284       1217                 818
                                                             272,495       9,026      X   X 28-5284       1686                7340
                                                             110,707       3,667      X     28-13605      2425                1242
                                                               1,993          66      X   X 28-13605        66
                                                                 483          16      X     28-13663                            16

ROYAL BK CDA MONTREAL QUE      COM            780087102       51,984       1,137      X     28-5284       1137
                                                             299,740       6,556      X   X 28-5284       6556
                                                             185,166       4,050      X   X 28-13605                          4050
                                                              91,440       2,000      X   X 28-13663      2000

ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF T  780097713        6,025         500      X     28-5284        500

ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF S  780097739       27,775       2,500      X     28-5284       2500
                                                              16,665       1,500      X   X 28-5284       1500
                                                              11,110       1,000      X   X 28-13605      1000

ROYAL BK SCOTLAND GROUP PLC    ADR PREF SHS Q 780097754        3,411         300      X     28-5284        300
                                                              11,370       1,000      X   X 28-5284       1000

ROYAL BK SCOTLAND GROUP PLC    ADR PREF SER N 780097770       21,220       2,000      X   X 28-13605      2000

ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF M  780097796       16,035       1,500      X     28-5284       1500
                                                               8,552         800      X   X 28-5284        800

ROYAL DUTCH SHELL PLC          SPON ADR B     780259107      224,001       3,610      X     28-5284       3450                 160
                                                           2,740,873      44,172      X   X 28-5284      43719                 453
                                                             140,605       2,266      X     28-13605      2008                 258
                                                              38,285         617      X   X 28-13605       617
                                                              34,190         551      X     28-13663       551
               COLUMN TOTAL                               23,524,773







                                                                                                                   FILE NO. 28-1235
 PAGE   211 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ROYAL DUTCH SHELL PLC          SPONS ADR A    780259206   19,053,175     309,707      X     28-5284     306047                3660
                                                          21,904,134     356,049      X   X 28-5284     326421               29628
                                                             774,906      12,596      X     28-13605     12596
                                                           1,222,341      19,869      X   X 28-13605     18569                1300
                                                              75,239       1,223      X     28-13663      1223
                                                               9,597         156      X   X 28-13663       156

ROYAL GOLD INC                 COM            780287108      219,598       3,428      X     28-5284        500                2928
                                                             102,240       1,596      X   X 28-5284       1497                  99
                                                               8,008         125      X     28-13663                           125

ROYCE VALUE TR INC             COM            780910105       25,484       2,300      X   X 28-5284       2300

RUBICON TECHNOLOGY INC         COM            78112T107       32,790       3,000      X   X 28-13605      3000

RUBY TUESDAY INC               COM            781182100       16,468       2,300      X     28-5284       2300

RUDDICK CORP                   COM            781258108      186,450       4,782      X     28-13605      4782

RUDOLPH TECHNOLOGIES INC       COM            781270103        1,539         230      X     28-5284                            230

RURBAN FINL CORP               COM            78176P108       27,000      10,000      X     28-5284      10000

RUTHS HOSPITALITY GROUP INC    COM            783332109          215          50      X     28-5284         50

RYANAIR HLDGS PLC              SPONSORED ADR  783513104       12,875         500      X     28-5284                            500
                                                              57,165       2,220      X   X 28-5284       2220

RYDER SYS INC                  COM            783549108      354,657       9,455      X     28-5284        450                9005
                                                             340,741       9,084      X   X 28-5284        275                8809
                                                              29,483         786      X     28-13605       232                 554
                                                              18,192         485      X     28-13663                           485

RYDEX ETF TRUST                S&P 500 EQ TRD 78355W106       16,560         400      X     28-5284        400
                                                              74,520       1,800      X   X 28-5284       1800

RYLAND GROUP INC               COM            783764103       12,780       1,200      X   X 28-5284                           1200

S & T BANCORP INC              COM            783859101      315,330      19,513      X     28-5284      19513
                                                              82,028       5,076      X   X 28-5284       4676                 400
               COLUMN TOTAL                               44,973,515







                                                                                                                   FILE NO. 28-1235
 PAGE   212 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SBA COMMUNICATIONS CORP        COM            78388J106       17,343         503      X     28-5284        503
                                                             305,734       8,867      X   X 28-5284        935                7932
                                                               3,414          99      X   X 28-13605        99

SAIC INC                       COM            78390X101        4,889         414      X     28-5284                            414
                                                              19,357       1,639      X   X 28-5284       1295                 344
                                                              53,936       4,567      X     28-13605      1356                3211

SEI INVESTMENTS CO             COM            784117103       61,874       4,023      X     28-5284       4023
                                                              38,158       2,481      X   X 28-5284       2481

SJW CORP                       COM            784305104       30,478       1,400      X   X 28-5284       1400

SK TELECOM LTD                 SPONSORED ADR  78440P108       77,343       5,497      X     28-5284        550                4947
                                                             192,379      13,673      X   X 28-5284                          13673
                                                               2,701         192      X   X 28-13605       192

SL GREEN RLTY CORP             COM            78440X101       65,710       1,130      X     28-5284                           1130
                                                             289,006       4,970      X   X 28-5284        530                4440

S L INDS INC                   COM            784413106       13,901         825      X     28-5284        825

SLM CORP                       COM            78442P106      124,064       9,965      X     28-5284       7349                2616
                                                              60,121       4,829      X   X 28-5284       4584                 245
                                                             115,947       9,313      X     28-13605      2512                6801

SM ENERGY CO                   COM            78454L100       33,903         559      X   X 28-5284        559

SPDR S&P 500 ETF TR            TR UNIT        78462F103  388,557,666   3,434,005      X     28-5284    3374844               59161
                                                         161,186,248   1,424,536      X   X 28-5284    1402143               22393
                                                          11,065,278      97,793      X     28-13605     97493                 300
                                                           6,000,571      53,032      X   X 28-13605     52847                 185
                                                           5,361,160      47,381      X     28-13663     47381
                                                           1,559,773      13,785      X   X 28-13663     13785

SPDR GOLD TRUST                GOLD SHS       78463V107   53,690,137     339,682      X     28-5284     334899                4783
                                                          20,119,141     127,288      X   X 28-5284     124002       100      3186
                                                           1,359,474       8,601      X     28-13605      8601
                                                           3,688,488      23,336      X   X 28-13605     17661                5675
                                                              75,079         475      X     28-13663       475
                                                             562,061       3,556      X   X 28-13663      3256                 300

SPDR INDEX SHS FDS             ASIA PACIF ETF 78463X301        7,721         120      X     28-5284        120
               COLUMN TOTAL                              654,743,055







                                                                                                                   FILE NO. 28-1235
 PAGE   213 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SPDR INDEX SHS FDS             EMERG MKTS ETF 78463X509       11,473         204      X   X 28-5284        204

SPDR INDEX SHS FDS             S&PINTL MC ETF 78463X764       74,453       2,888      X   X 28-5284       2888

SPDR INDEX SHS FDS             MIDEAST AFRICA 78463X806       18,235         301      X     28-13605       301

SPDR INDEX SHS FDS             MSCI ACWI EXUS 78463X848    2,746,772     101,657      X     28-5284     101657
                                                              32,289       1,195      X   X 28-5284       1195

SPDR INDEX SHS FDS             MACQU GLBIN100 78463X855       19,280         500      X     28-5284        500

SPDR INDEX SHS FDS             DJ INTL RL ETF 78463X863       25,448         794      X     28-5284        794
                                                             206,851       6,454      X   X 28-5284        654                5800
                                                               6,795         212      X   X 28-13605       212

SPDR INDEX SHS FDS             S&P INTL SMLCP 78463X871       95,356       3,796      X   X 28-5284       3796

SPDR INDEX SHS FDS             S&P WRLD EX US 78463X889        4,228         200      X     28-5284        200

SPX CORP                       COM            784635104      253,374       5,592      X     28-5284       5142                 450
                                                             615,174      13,577      X   X 28-5284      13577
                                                              32,850         725      X     28-13605       625                 100
                                                              15,859         350      X   X 28-13605       350

SPDR SERIES TRUST              MORGAN TECH ET 78464A102    1,265,435      22,776      X     28-5284      22776
                                                             314,914       5,668      X   X 28-5284       5468                 200

SPDR SERIES TRUST              BRCLYS CAP CON 78464A359    4,806,059     134,888      X     28-5284     134888
                                                             831,034      23,324      X   X 28-5284      22824                 500
                                                           1,046,809      29,380      X     28-13605     28380                1000
                                                             803,635      22,555      X   X 28-13605     22555

SPDR SERIES TRUST              INTR TRM CORP  78464A375       98,920       2,984      X   X 28-5284                           2984

SPDR SERIES TRUST              BRCLYS YLD ETF 78464A417   27,742,784     766,587      X     28-5284     766374                 213
                                                           5,026,140     138,882      X   X 28-5284     125581               13301
                                                           1,007,240      27,832      X     28-13605     27625                 207
                                                             567,604      15,684      X   X 28-13605     15551                 133
                                                           1,107,414      30,600      X     28-13663     30600
                                                           2,107,054      58,222      X   X 28-13663     58222
               COLUMN TOTAL                               50,883,479







                                                                                                                   FILE NO. 28-1235
 PAGE   214 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SPDR SERIES TRUST              NUVN BR SHT MU 78464A425   60,599,090   2,488,669      X     28-5284    2479469                9200
                                                          12,335,345     506,585      X   X 28-5284     479925               26660
                                                           1,671,311      68,637      X     28-13605     68637
                                                           1,109,532      45,566      X   X 28-13605     45566
                                                             845,481      34,722      X     28-13663     31972                2750
                                                             107,651       4,421      X   X 28-13663      4421

SPDR SERIES TRUST              DB INT GVT ETF 78464A490      137,304       2,400      X   X 28-5284        500                1900

SPDR SERIES TRUST              BRCLYS INTL ET 78464A516      627,368      10,437      X     28-5284       9588                 849
                                                             412,956       6,870      X   X 28-5284       6870
                                                              15,028         250      X     28-13605       250

SPDR SERIES TRUST              DJ REIT ETF    78464A607    7,325,112     129,648      X     28-5284     129348                 300
                                                           2,249,717      39,818      X   X 28-5284      37811                2007
                                                             458,724       8,119      X     28-13605      8119
                                                             129,950       2,300      X   X 28-13605      2300
                                                               5,085          90      X     28-13663        90

SPDR SERIES TRUST              KBW REGN BK ET 78464A698       28,386       1,470      X     28-5284                           1470

SPDR SERIES TRUST              S&P OILGAS EXP 78464A730      300,020       7,000      X     28-5284       7000

SPDR SERIES TRUST              OILGAS EQUIP   78464A748       24,098         850      X     28-5284        850

SPDR SERIES TRUST              S&P METALS MNG 78464A755      224,150       5,000      X     28-5284       5000
                                                              28,736         641      X   X 28-13605                           641

SPDR SERIES TRUST              S&P DIVID ETF  78464A763      924,392      19,040      X     28-5284      19040
                                                           3,849,627      79,292      X   X 28-5284      79292
                                                              19,420         400      X   X 28-13663       400

SPDR SERIES TRUST              S&P BIOTECH    78464A870        1,488          25      X     28-5284         25

SPDR SERIES TRUST              S&P HOMEBUILD  78464A888      159,480      12,000      X     28-5284      12000

SS&C TECHNOLOGIES HLDGS INC    COM            78467J100       58,089       4,065      X   X 28-5284                           4065

SPDR DOW JONES INDL AVRG ETF   UT SER 1       78467X109   12,917,573     118,586      X     28-5284     118324                 262
                                                           7,471,944      68,594      X   X 28-5284      65385                3209
                                                           1,698,763      15,595      X     28-13605     15595
                                                             582,667       5,349      X   X 28-13605      5349
               COLUMN TOTAL                              116,318,487







                                                                                                                   FILE NO. 28-1235
 PAGE   215 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SPDR S&P MIDCAP 400 ETF TR     UTSER1 S&PDCRP 78467Y107   65,206,259     458,779      X     28-5284     443776               15003
                                                          41,013,033     288,560      X   X 28-5284     287583                 977
                                                             228,403       1,607      X     28-13605      1607
                                                              76,892         541      X   X 28-13605       541
                                                             940,048       6,614      X     28-13663      6614
                                                           1,480,995      10,420      X   X 28-13663     10420

SVB FINL GROUP                 COM            78486Q101       84,989       2,297      X     28-13605      2297

SWS GROUP INC                  COM            78503N107        1,219         260      X     28-5284                            260

SXC HEALTH SOLUTIONS CORP      COM            78505P100       27,349         491      X   X 28-5284        491

S Y BANCORP INC                COM            785060104      170,373       9,150      X     28-5284       9150
                                                             663,524      35,635      X   X 28-5284      35635

SABINE ROYALTY TR              UNIT BEN INT   785688102      486,417       7,716      X     28-13605      7716
                                                               6,304         100      X   X 28-13605       100

SAFEGUARD SCIENTIFICS INC      COM NEW        786449207       11,040         736      X     28-5284        736
                                                                 495          33      X   X 28-5284         33

SAFETY INS GROUP INC           COM            78648T100        3,783         100      X   X 28-5284        100

SAFEWAY INC                    COM NEW        786514208       51,486       3,096      X     28-5284       3006                  90
                                                              21,819       1,312      X   X 28-5284       1246                  66
                                                             674,213      40,542      X     28-13605     36442                4100
                                                              61,714       3,711      X   X 28-13605      3711

SAGENT PHARMACEUTICALS INC     COM            786692103       91,890       4,540      X   X 28-5284                           4540

ST JOE CO                      COM            790148100       18,183       1,213      X     28-5284       1213
                                                             138,313       9,227      X   X 28-5284       9227
                                                              11,992         800      X     28-13605       800
                                                             104,930       7,000      X   X 28-13605                          7000

ST JUDE MED INC                COM            790849103    3,729,741     103,060      X     28-5284      85972               17088
                                                           4,305,090     118,958      X   X 28-5284     100962       390     17606
                                                           2,464,213      68,091      X     28-13605     63778                4313
                                                           1,101,189      30,428      X   X 28-13605     30428
                                                              86,965       2,403      X     28-13663      1820                 583
                                                             171,504       4,739      X   X 28-13663      4635                 104
               COLUMN TOTAL                              123,434,365







                                                                                                                   FILE NO. 28-1235
 PAGE   216 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SAKS INC                       COM            79377W108        1,750         200      X   X 28-13605       200

SALESFORCE COM INC             COM            79466L302    2,547,530      22,292      X     28-5284       8082               14210
                                                             919,840       8,049      X   X 28-5284       1243        55      6751
                                                             398,609       3,488      X     28-13605      2128                1360
                                                              58,740         514      X   X 28-13605         4                 510
                                                              91,310         799      X     28-13663                           799

SALIX PHARMACEUTICALS INC      NOTE  2.750% 5 795435AC0      398,000       4,000      X   X 28-5284       4000

SALIX PHARMACEUTICALS INC      COM            795435106      681,866      23,036      X     28-5284        341               22695
                                                             260,776       8,810      X   X 28-5284                           8810
                                                              63,048       2,130      X     28-13663                          2130

SALLY BEAUTY HLDGS INC         COM            79546E104          913          55      X     28-5284         55
                                                              27,290       1,644      X   X 28-5284       1644
                                                             334,606      20,157      X     28-13605     20157

SAN JUAN BASIN RTY TR          UNIT BEN INT   798241105      197,542       8,600      X     28-5284       8600
                                                              29,425       1,281      X   X 28-5284       1281

SANDISK CORP                   COM            80004C101      475,866      11,792      X     28-5284        990               10802
                                                             501,492      12,427      X   X 28-5284       4901                7526
                                                             223,325       5,534      X     28-13605      2830                2704
                                                              23,971         594      X   X 28-13605       594
                                                              14,124         350      X     28-13663                           350

SANDRIDGE PERMIAN TR           COM UNIT BEN I 80007A102       83,829       4,975      X     28-5284       4975

SANDRIDGE ENERGY INC           COM            80007P307       16,285       2,929      X     28-5284       1700                1229
                                                              28,923       5,202      X   X 28-5284       4952                 250

SANDRIDGE MISSISSIPPIAN TR I   UNIT BEN INT   80007T101       22,490       1,000      X   X 28-5284       1000

SANDY SPRING BANCORP INC       COM            800363103       22,706       1,552      X     28-5284       1552
                                                              30,723       2,100      X   X 28-5284        300                1800
                                                               4,389         300      X     28-13605       300

SANGAMO BIOSCIENCES INC        COM            800677106          435         100      X     28-5284        100

SANMINA SCI CORP               COM NEW        800907206          314          47      X     28-5284         47
               COLUMN TOTAL                                7,460,117







                                                                                                                   FILE NO. 28-1235
 PAGE   217 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SANOFI                         SPONSORED ADR  80105N105    1,233,542      37,608      X     28-5284      32679                4929
                                                             597,878      18,228      X   X 28-5284       4172               14056
                                                           2,168,867      66,124      X     28-13605     65748                 376
                                                             792,809      24,171      X   X 28-13605     23470       660        41
                                                              19,680         600      X     28-13663       600
                                                              32,800       1,000      X   X 28-13663      1000

SANOFI                         RIGHT 12/31/20 80105N113       27,898      26,319      X     28-5284      26319
                                                              15,880      14,981      X   X 28-5284      13531                1450
                                                              10,504       9,909      X     28-13605      4824                5085
                                                               2,936       2,770      X   X 28-13605      2670                 100

SANTARUS INC                   COM            802817304       10,797       3,870      X   X 28-5284                           3870

SAP AG                         SPON ADR       803054204    1,604,097      31,689      X     28-5284       7411               24278
                                                             656,997      12,979      X   X 28-5284        469               12510
                                                             110,099       2,175      X     28-13605      2175
                                                              57,201       1,130      X   X 28-13605      1130
                                                              31,384         620      X     28-13663                           620

SAPIENT CORP                   COM            803062108       14,308       1,411      X     28-5284       1411

SARA LEE CORP                  COM            803111103    3,002,808     183,658      X     28-5284     180288                3370
                                                           3,401,160     208,022      X   X 28-5284     204703                3319
                                                             342,336      20,938      X     28-13605     13953                6985
                                                              58,043       3,550      X   X 28-13605      2050                1500
                                                               1,651         101      X     28-13663                           101

SASOL LTD                      SPONSORED ADR  803866300       59,966       1,477      X     28-5284       1477
                                                                 731          18      X   X 28-5284         18

SATCON TECHNOLOGY CORP         COM            803893106        5,225       5,500      X   X 28-5284       5500

SAUER-DANFOSS INC              COM            804137107       17,340         600      X   X 28-5284                            600

SAUL CTRS INC                  COM            804395101       16,905         500      X     28-5284        500
                                                               8,757         259      X   X 28-5284        259

SAVIENT PHARMACEUTICALS INC    COM            80517Q100       48,442      11,815      X     28-5284      11815
               COLUMN TOTAL                               14,351,041







                                                                                                                   FILE NO. 28-1235
 PAGE   218 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SCANA CORP NEW                 COM            80589M102      106,909       2,643      X     28-5284       2301                 342
                                                             311,465       7,700      X   X 28-5284       7638                  62
                                                              98,334       2,431      X     28-13605      1172                1259
                                                              68,765       1,700      X   X 28-13605      1700
                                                              35,313         873      X   X 28-13663       873

SCHEIN HENRY INC               COM            806407102       50,166         809      X     28-5284        809
                                                              53,639         865      X   X 28-5284        865
                                                               3,101          50      X     28-13605        50

SCHIFF NUTRITION INTL INC      COM            806693107       16,620       1,500      X   X 28-5284       1500

SCHLUMBERGER LTD               COM            806857108   53,000,758     887,339      X     28-5284     828637        40     58662
                                                          48,727,853     815,802      X   X 28-5284     745738      1415     68649
                                                           8,868,949     148,484      X     28-13605    132582               15902
                                                           9,762,450     163,443      X   X 28-13605    149063               14380
                                                             534,165       8,943      X     28-13663      4865                4078
                                                             267,829       4,484      X   X 28-13663      4345                 139

SCHNITZER STL INDS             CL A           806882106       33,120         900      X     28-5284                            900
                                                             183,448       4,985      X   X 28-5284        415                4570
                                                              68,485       1,861      X     28-13605      1861

SCHOOL SPECIALTY INC           COM            807863105          927         130      X     28-5284                            130
                                                                 285          40      X   X 28-13605        40

SCHULMAN A INC                 COM            808194104       22,087       1,300      X   X 28-5284                           1300

SCHWAB CHARLES CORP NEW        COM            808513105    1,284,453     113,971      X     28-5284      33430               80541
                                                             980,828      87,030      X   X 28-5284      29635               57395
                                                             249,698      22,156      X     28-13605      9370               12786
                                                              26,462       2,348      X   X 28-13605      1323                1025
                                                              33,055       2,933      X     28-13663                          2933

SCICLONE PHARMACEUTICALS INC   COM            80862K104      198,272      52,040      X     28-13605     52040

SCOTTS MIRACLE GRO CO          CL A           810186106      535,111      11,998      X     28-5284       8002                3996
                                                           2,776,439      62,252      X   X 28-5284      62102                 150
                                                               4,415          99      X   X 28-13605        99

SCRIPPS E W CO OHIO            CL A NEW       811054402      301,217      43,031      X     28-5284                          43031
                                                              74,949      10,707      X   X 28-5284       9230                1477
                                                              12,894       1,842      X     28-13663                          1842
               COLUMN TOTAL                              128,692,461







                                                                                                                   FILE NO. 28-1235
 PAGE   219 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SCRIPPS NETWORKS INTERACT IN   CL A COM       811065101    1,214,864      32,684      X     28-5284      29936                2748
                                                             982,329      26,428      X   X 28-5284      25314                1114
                                                             111,324       2,995      X     28-13605      1967                1028
                                                           1,163,421      31,300      X   X 28-13605     31300
                                                               7,434         200      X     28-13663       200

SEABOARD CORP                  COM            811543107      127,941          71      X     28-13605        71

SEACHANGE INTL INC             COM            811699107      244,514      31,755      X     28-5284                          31755
                                                               8,701       1,130      X   X 28-5284                           1130
                                                              10,888       1,414      X     28-13663                          1414

SEACOAST BKG CORP FLA          COM            811707306          306         208      X     28-5284        208
                                                                 294         200      X   X 28-5284        200

SEACOR HOLDINGS INC            COM            811904101       10,828         135      X     28-5284                            135
                                                               7,379          92      X   X 28-5284         92
                                                             108,524       1,353      X     28-13605      1353

SEABRIDGE GOLD INC             COM            811916105          337          15      X     28-13605        15

SEALED AIR CORP NEW            COM            81211K100       72,495       4,341      X     28-5284       3925                 416
                                                             266,816      15,977      X   X 28-5284      13527                2450
                                                              51,369       3,076      X     28-13605      1335                1741
                                                               3,908         234      X   X 28-13605       234

SEARS HLDGS CORP               COM            812350106       84,612       1,471      X     28-5284       1088                 383
                                                              52,573         914      X   X 28-5284        837                  77
                                                              47,914         833      X     28-13605       334                 499
                                                             111,646       1,941      X   X 28-13605      1941

SEATTLE GENETICS INC           COM            812578102       69,096       3,629      X     28-5284       3629

SELECT SECTOR SPDR TR          SBI MATERIALS  81369Y100    5,917,616     201,588      X     28-5284     197143                4445
                                                           2,214,688      75,445      X   X 28-5284      72145                3300
                                                             507,842      17,300      X     28-13605     17300
                                                             120,356       4,100      X   X 28-13605      4100
                                                             221,836       7,557      X     28-13663      7407                 150

SELECT SECTOR SPDR TR          SBI HEALTHCARE 81369Y209       81,261       2,561      X     28-5284       2561
                                                           1,030,337      32,472      X   X 28-5284      32472

SELECT SECTOR SPDR TR          SBI CONS STPLS 81369Y308      481,500      16,234      X   X 28-5284      16234
               COLUMN TOTAL                               15,334,949







                                                                                                                   FILE NO. 28-1235
 PAGE   220 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 CONS DISCR 81369Y407      359,058      10,300      X     28-5284      10300
                                                             895,937      25,701      X   X 28-5284      25701

SELECT SECTOR SPDR TR          SBI INT-ENERGY 81369Y506   12,396,514     211,870      X     28-5284     211870
                                                           4,204,646      71,862      X   X 28-5284      71168                 694
                                                           2,380,070      40,678      X     28-13605     40678
                                                             108,361       1,852      X   X 28-13605      1852
                                                              39,611         677      X     28-13663       677
                                                              88,116       1,506      X   X 28-13663      1506

SELECT SECTOR SPDR TR          SBI INT-FINL   81369Y605    4,709,521     398,774      X     28-5284     398774
                                                           3,366,299     285,038      X   X 28-5284     284038                1000
                                                              59,050       5,000      X     28-13605      5000
                                                              41,052       3,476      X   X 28-13605      3476
                                                              33,068       2,800      X     28-13663      2800
                                                             356,780      30,210      X   X 28-13663     30210

SELECT SECTOR SPDR TR          SBI INT-INDS   81369Y704    3,601,394     123,251      X     28-5284     123251
                                                           1,771,872      60,639      X   X 28-5284      59139                1500
                                                             117,611       4,025      X     28-13605      4025
                                                             261,168       8,938      X     28-13663      8938
                                                               2,425          83      X   X 28-13663        83

SELECT SECTOR SPDR TR          TECHNOLOGY     81369Y803    3,926,993     166,398      X     28-5284     164898                1500
                                                           6,486,696     274,860      X   X 28-5284     260460     14400
                                                           1,658,986      70,296      X     28-13605     70296
                                                             141,600       6,000      X   X 28-13605      6000
                                                             118,000       5,000      X     28-13663      5000
                                                             281,241      11,917      X   X 28-13663     11917

SELECT SECTOR SPDR TR          SBI INT-UTILS  81369Y886    3,040,828      90,447      X     28-5284      90447
                                                           5,735,538     170,599      X   X 28-5284     168999                1600
                                                           4,302,520     127,975      X     28-13605    127475                 500
                                                             946,907      28,165      X   X 28-13605     28165
                                                             145,709       4,334      X   X 28-13663      4334

SELECT COMFORT CORP            COM            81616X103        8,382         600      X     28-5284        600
                                                              13,970       1,000      X     28-13605      1000

SELECT MED HLDGS CORP          COM            81619Q105       11,839       1,775      X     28-13605      1775

SELECTIVE INS GROUP INC        COM            816300107      168,084      12,880      X     28-5284      12500                 380
                                                             177,480      13,600      X   X 28-5284       9400                4200
               COLUMN TOTAL                               61,957,326







                                                                                                                   FILE NO. 28-1235
 PAGE   221 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SEMTECH CORP                   COM            816850101       13,420         636      X     28-5284        636
                                                              65,621       3,110      X     28-13605      3110

SEMPRA ENERGY                  COM            816851109      475,809       9,239      X     28-5284       8775                 464
                                                             309,618       6,012      X   X 28-5284       4994                1018
                                                             217,897       4,231      X     28-13605      1383                2848
                                                              36,359         706      X   X 28-13605       706
                                                               1,391          27      X     28-13663                            27
                                                              16,017         311      X   X 28-13663       311

SENIOR HSG PPTYS TR            SH BEN INT     81721M109       47,496       2,205      X     28-5284       2205
                                                              32,008       1,486      X   X 28-5284       1088                 398
                                                             238,857      11,089      X     28-13605     11089

SENSIENT TECHNOLOGIES CORP     COM            81725T100      188,530       5,792      X     28-5284       1000                4792
                                                              21,809         670      X   X 28-5284        500                 170
                                                             234,165       7,194      X     28-13605      7194

SERVICE CORP INTL              COM            817565104       12,467       1,361      X     28-5284       1361
                                                              24,695       2,696      X   X 28-5284       2696

SHAW COMMUNICATIONS INC        CL B CONV      82028K200        6,060         300      X     28-5284        300

SHAW GROUP INC                 COM            820280105       66,307       3,050      X     28-5284       3050
                                                              11,957         550      X   X 28-5284        400                 150

SHERWIN WILLIAMS CO            COM            824348106      833,053      11,209      X     28-5284      10905                 304
                                                             919,933      12,378      X   X 28-5284      12158                 220
                                                             129,094       1,737      X     28-13605       663                1074
                                                                 372           5      X     28-13663                             5

SHINHAN FINANCIAL GROUP CO L   SPN ADR RESTRD 824596100        9,787         143      X     28-5284        143

SHIRE PLC                      SPONSORED ADR  82481R106   16,258,062     173,087      X     28-5284     170957                2130
                                                           3,034,033      32,301      X   X 28-5284      30776                1525
                                                          18,741,665     199,528      X     28-13605    195990                3538
                                                           3,870,761      41,209      X   X 28-13605     39375                1834
                                                             113,843       1,212      X     28-13663      1212
                                                             112,716       1,200      X   X 28-13663      1200

SHORE BANCSHARES INC           COM            825107105      566,765     129,992      X   X 28-5284     129492                 500
                                                               2,616         600      X     28-13605       600
               COLUMN TOTAL                               46,613,183







                                                                                                                   FILE NO. 28-1235
 PAGE   222 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SHORETEL INC                   COM            825211105      107,478      21,582      X     28-13605     21582

SHUFFLE MASTER INC             COM            825549108       11,396       1,355      X     28-5284       1355

SHUTTERFLY INC                 COM            82568P304          988          24      X   X 28-5284         24
                                                               2,347          57      X     28-13605        57

SIEMENS A G                    SPONSORED ADR  826197501      397,680       4,429      X     28-5284       3227                1202
                                                             496,090       5,525      X   X 28-5284       2123                3402
                                                               4,938          55      X   X 28-13605        55

SIERRA BANCORP                 COM            82620P102        1,830         200      X   X 28-5284        200

SIFCO INDS INC                 COM            826546103       33,012       1,800      X   X 28-5284       1800

SIGMA ALDRICH CORP             COM            826552101      518,665       8,394      X     28-5284       7961                 433
                                                           2,212,885      35,813      X   X 28-5284      30135                5678
                                                           1,019,906      16,506      X     28-13605     15027                1479
                                                             457,926       7,411      X   X 28-13605      1411                6000
                                                               2,719          44      X     28-13663                            44

SIGNATURE BK NEW YORK N Y      COM            82669G104       72,534       1,520      X     28-5284                           1520
                                                             342,391       7,175      X     28-13605      7175

SILICON LABORATORIES INC       COM            826919102       88,244       2,631      X     28-5284                           2631
                                                               2,415          72      X   X 28-5284         72

SILGAN HOLDINGS INC            COM            827048109      235,761       6,417      X     28-5284                           6417
                                                              14,990         408      X   X 28-5284        408
                                                             167,902       4,570      X     28-13605      4570

SILICON IMAGE INC              COM            82705T102       23,480       4,000      X   X 28-5284       4000

SILICONWARE PRECISION INDS L   SPONSD ADR SPL 827084864       27,590       5,772      X     28-5284       5772
                                                                  57          12      X   X 28-5284         12

SILVER STD RES INC             COM            82823L106       22,479       1,225      X     28-5284       1225
                                                              57,894       3,155      X   X 28-5284       3155
                                                              18,350       1,000      X     28-13605      1000
               COLUMN TOTAL                                6,341,947







                                                                                                                   FILE NO. 28-1235
 PAGE   223 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SILVER WHEATON CORP            COM            828336107      202,616       6,880      X     28-5284       6880
                                                             358,024      12,157      X   X 28-5284      12157
                                                              11,780         400      X     28-13605       400
                                                              23,560         800      X   X 28-13605       800

SILVERCORP METALS INC          COM            82835P103       45,878       5,800      X     28-5284       5800
                                                                 396          50      X   X 28-5284         50

SIMMONS 1ST NATL CORP          CL A $1 PAR    828730200        8,680         400      X     28-5284        400

SIMON PPTY GROUP INC NEW       COM            828806109    2,360,281      21,461      X     28-5284      19587                1874
                                                           1,089,022       9,902      X   X 28-5284       9736                 166
                                                           3,349,771      30,458      X     28-13605     26751                3707
                                                             559,578       5,088      X   X 28-13605      5088
                                                              59,059         537      X     28-13663       484                  53
                                                              21,996         200      X   X 28-13663       200

SIMPSON MANUFACTURING CO INC   COM            829073105        6,233         250      X     28-5284                            250

SINCLAIR BROADCAST GROUP INC   CL A           829226109        2,868         400      X     28-5284        400
                                                              10,755       1,500      X   X 28-5284       1500
                                                               2,151         300      X   X 28-13605       300

SINGAPORE FD INC               COM            82929L109        5,196         455      X     28-5284        455

SIRONA DENTAL SYSTEMS INC      COM            82966C103       58,356       1,376      X     28-5284       1376
                                                              19,381         457      X   X 28-5284        457

SIRIUS XM RADIO INC            COM            82967N108    4,175,325   2,765,116      X     28-5284    2626768              138348
                                                             272,318     180,343      X   X 28-5284      36099              144244
                                                              13,439       8,900      X     28-13605      8900
                                                              11,823       7,830      X     28-13663                          7830

SKECHERS U S A INC             CL A           830566105      112,787       8,039      X     28-13605      8039
                                                               4,279         305      X   X 28-13605       305

SKILLED HEALTHCARE GROUP INC   CL A           83066R107       53,782      14,898      X     28-13605     14898

SKYLINE CORP                   COM            830830105          478          50      X     28-5284                             50

SKYWEST INC                    COM            830879102        4,259         370      X     28-5284                            370
               COLUMN TOTAL                               12,844,071







                                                                                                                   FILE NO. 28-1235
 PAGE   224 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SKYWORKS SOLUTIONS INC         COM            83088M102        2,227         124      X     28-5284        124
                                                              58,532       3,259      X   X 28-5284       3189                  70

SMART BALANCE INC              COM            83169Y108        1,180         200      X   X 28-5284        200

SMART TECHNOLOGIES INC         CL A SUB VTG S 83172R108        2,268         540      X     28-5284        540

SMITH & NEPHEW PLC             SPDN ADR NEW   83175M205       24,356         545      X     28-5284        545
                                                             126,249       2,825      X   X 28-5284                           2825

SMITH A O                      COM            831865209      116,653       3,642      X     28-5284        250                3392
                                                              48,045       1,500      X   X 28-5284                           1500

SMITHFIELD FOODS INC           COM            832248108      176,670       9,060      X     28-5284       9060
                                                              46,254       2,372      X   X 28-5284       2372
                                                               3,510         180      X     28-13605       180

SMUCKER J M CO                 COM NEW        832696405   34,410,276     472,085      X     28-5284     466475                5610
                                                          11,338,768     155,560      X   X 28-5284     146733                8827
                                                          30,430,773     417,489      X     28-13605    376577               40912
                                                           5,896,437      80,895      X   X 28-13605     74729                6166
                                                             344,187       4,722      X     28-13663      4670                  52
                                                             321,445       4,410      X   X 28-13663      4400                  10

SNAP ON INC                    COM            833034101      118,237       2,663      X     28-5284       2465                 198
                                                              61,006       1,374      X   X 28-5284       1336                  38
                                                              65,623       1,478      X     28-13605       827                 651
                                                               3,152          71      X   X 28-13605        71

SOCIEDAD QUIMICA MINERA DE C   SPON ADR SER B 833635105      414,513       8,670      X     28-5284                           8670
                                                             188,850       3,950      X   X 28-5284                           3950
                                                              40,639         850      X     28-13663                           850

SOHU COM INC                   COM            83408W103        1,398          29      X     28-5284         29

SOLARWINDS INC                 COM            83416B109        6,210         282      X     28-5284        282
                                                             188,271       8,550      X   X 28-5284                           8550

SOLERA HOLDINGS INC            COM            83421A104       28,331         561      X   X 28-5284        561

SOLUTIA INC                    *W EXP 02/27/2 834376147            3           4      X     28-5284          4
               COLUMN TOTAL                               84,464,063







                                                                                                                   FILE NO. 28-1235
 PAGE   225 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SOLUTIA INC                    COM NEW        834376501      186,466      14,511      X   X 28-5284       1011               13500

SONIC AUTOMOTIVE INC           CL A           83545G102      254,083      23,548      X     28-13605     23548

SONIC FDRY INC                 COM NEW        83545R207        8,680       1,000      X     28-5284       1000

SONIC CORP                     COM            835451105        4,419         625      X     28-5284        150                 475
                                                                 509          72      X   X 28-13605        72

SONOCO PRODS CO                COM            835495102      194,561       6,892      X     28-5284       6892
                                                             381,924      13,529      X   X 28-5284      13529
                                                             918,407      32,533      X     28-13605     32533
                                                               1,045          37      X   X 28-13605        37

SONOSITE INC                   COM            83568G104       10,103         333      X     28-5284        333
                                                                 394          13      X   X 28-13605        13

SONY CORP                      ADR NEW        835699307        9,842         518      X     28-5284        518
                                                              57,475       3,025      X   X 28-5284       3025
                                                              10,450         550      X   X 28-13605       550

SOTHEBYS                       COM            835898107      255,023       9,250      X     28-5284       1335                7915
                                                             236,082       8,563      X   X 28-5284        350                8213
                                                              12,269         445      X     28-13663                           445

SONUS NETWORKS INC             COM            835916107       43,200      20,000      X   X 28-13605     20000

SOURCE CAP INC                 COM            836144105       14,044         338      X     28-5284        338
                                                              12,050         290      X   X 28-5284        290

SOURCEFIRE INC                 COM            83616T108        2,676         100      X     28-5284        100

SOUTH JERSEY INDS INC          COM            838518108    2,457,650      49,400      X     28-5284      49400
                                                             122,385       2,460      X   X 28-5284        510                1950
                                                              40,198         808      X     28-13605       808
                                                               2,687          54      X   X 28-13605        54

SOUTHCOAST FINANCIAL CORP      COM            84129R100       21,780      12,100      X   X 28-5284                          12100
               COLUMN TOTAL                                5,258,402







                                                                                                                   FILE NO. 28-1235
 PAGE   226 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SOUTHERN CO                    COM            842587107   21,565,398     508,978      X     28-5284     485301               23677
                                                          15,264,174     360,259      X   X 28-5284     345068      3560     11631
                                                           1,437,275      33,922      X     28-13605     23575               10347
                                                           1,170,683      27,630      X   X 28-13605     24330                3300
                                                             317,817       7,501      X     28-13663      7365                 136
                                                             106,349       2,510      X   X 28-13663      2375                 135

SOUTHERN COPPER CORP           COM            84265V105      401,139      16,052      X     28-5284       4951               11101
                                                             800,605      32,037      X   X 28-5284      30927                1110
                                                              24,615         985      X     28-13605       985
                                                             128,948       5,160      X   X 28-13605      5160

SOUTHERN FIRST BANCSHARES IN   COM            842873101       75,141      10,890      X   X 28-5284      10890

SOUTHERN MO BANCORP INC        COM            843380106       10,000         500      X     28-5284        500

SOUTHERN NATL BANCORP OF VA    COM            843395104       84,729      13,535      X     28-13605     13535

SOUTHERN UN CO NEW             COM            844030106      798,620      19,685      X     28-5284      19499                 186
                                                             321,517       7,925      X   X 28-5284       7925
                                                               8,114         200      X   X 28-13605       200

SOUTHWEST AIRLS CO             COM            844741108       54,270       6,750      X     28-5284       5268                1482
                                                             369,768      45,991      X   X 28-5284      43153                2838
                                                             140,997      17,537      X     28-13605      8364                9173
                                                               8,571       1,066      X   X 28-13605       966                 100
                                                               2,967         369      X     28-13663                           369

SOUTHWEST BANCORP INC OKLA     COM            844767103      253,200      60,000      X     28-5284      60000

SOUTHWEST GAS CORP             COM            844895102      161,933       4,477      X     28-5284       4197                 280
                                                              98,816       2,732      X     28-13605      2732
                                                             144,680       4,000      X   X 28-13605                          4000

SOUTHWESTERN ENERGY CO         COM            845467109      504,416      15,134      X     28-5284       3499               11635
                                                           1,461,987      43,864      X   X 28-5284      36300                7564
                                                             219,378       6,582      X     28-13605      2354                4228
                                                              20,365         611      X   X 28-13605       236                 375
                                                              31,997         960      X     28-13663                           960

SOVRAN SELF STORAGE INC        COM            84610H108       44,604       1,200      X   X 28-5284       1200
               COLUMN TOTAL                               46,033,073







                                                                                                                   FILE NO. 28-1235
 PAGE   227 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SPECTRA ENERGY PARTNERS LP     COM            84756N109        8,463         300      X     28-5284        300
                                                             132,305       4,690      X   X 28-5284       3040                1650

SPECTRA ENERGY CORP            COM            847560109    3,832,028     156,218      X     28-5284     152475                3743
                                                           3,583,146     146,072      X   X 28-5284     125459               20613
                                                             382,128      15,578      X     28-13605      7768                7810
                                                             439,946      17,935      X   X 28-13605     11735                6200
                                                              92,012       3,751      X     28-13663      3500                 251

SPECTRUM BRANDS HLDGS INC      COM            84763R101       21,258         900      X   X 28-5284                            900

SPEEDWAY MOTORSPORTS INC       COM            847788106        7,248         600      X     28-5284        600

SPHERIX INC                    COM NEW        84842R205          400         200      X     28-5284        200

SPIRIT AEROSYSTEMS HLDGS INC   COM CL A       848574109       64,757       4,060      X     28-5284                           4060
                                                             303,369      19,020      X   X 28-5284        200               18820
                                                               3,094         194      X   X 28-13605       194

SPREADTRUM COMMUNICATIONS IN   ADR            849415203       86,932       4,843      X     28-13605      4843

SPRINT NEXTEL CORP             COM SER 1      852061100      150,219      49,414      X     28-5284      37435               11979
                                                             271,414      89,281      X   X 28-5284      88080                1201
                                                             165,285      54,370      X     28-13605     16602               37768
                                                               2,782         915      X   X 28-13605       915
                                                               1,526         502      X     28-13663                           502

SPROTT PHYSICAL GOLD TRUST     UNIT           85207H104        8,418         600      X     28-5284        600
                                                              93,875       6,691      X   X 28-5284       6691

SPROTT RESOURCE LENDING CORP   COM            85207J100       46,572      37,558      X   X 28-5284      37558

SPROTT PHYSICAL SILVER TR      TR UNIT        85207K107       43,924       3,160      X     28-5284       3160
                                                             130,438       9,384      X   X 28-5284       9384

STANCORP FINL GROUP INC        COM            852891100        4,356         158      X   X 28-5284        158

STANDARD MICROSYSTEMS CORP     COM            853626109        2,716         140      X     28-5284                            140
                                                                 776          40      X     28-13605        40

STANDARD MTR PRODS INC         COM            853666105        1,686         130      X     28-5284                            130

STANDARD PAC CORP NEW          COM            85375C101        2,075         840      X     28-5284                            840
               COLUMN TOTAL                                9,883,148







                                                                                                                   FILE NO. 28-1235
 PAGE   228 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
STANDARD REGISTER CO           COM            853887107          228          90      X     28-5284                             90
                                                               1,718         679      X   X 28-5284        679

STANDEX INTL CORP              COM            854231107        2,179          70      X     28-5284                             70
                                                              96,036       3,085      X     28-13605      3085

STANLEY BLACK & DECKER INC     COM            854502101    1,450,169      29,535      X     28-5284      27745                1790
                                                             221,736       4,516      X   X 28-5284       4171                 345
                                                             436,548       8,891      X     28-13605      6766                2125
                                                             384,158       7,824      X   X 28-13605      7697                 127
                                                                 344           7      X   X 28-13663                             7

STANLEY WKS                    FRNT         5 854616AM1      205,240       2,000      X   X 28-5284       2000

STAPLES INC                    COM            855030102      758,313      57,016      X     28-5284      53905                3111
                                                             650,716      48,926      X   X 28-5284      45433                3493
                                                             618,769      46,524      X     28-13605     38633                7891
                                                             569,360      42,809      X   X 28-13605     42809
                                                                 692          52      X     28-13663                            52
                                                              21,546       1,620      X   X 28-13663      1620

STARBUCKS CORP                 COM            855244109    7,928,040     212,605      X     28-5284     191021               21584
                                                           4,100,334     109,958      X   X 28-5284      96682      2000     11276
                                                             941,311      25,243      X     28-13605     16393                8850
                                                             274,343       7,357      X   X 28-13605      6833                 524
                                                             250,775       6,725      X     28-13663      5394                1331
                                                              30,764         825      X   X 28-13663       825

STARTEK INC                    COM            85569C107        1,069         375      X   X 28-5284        375

STATE AUTO FINL CORP           COM            855707105        8,219         625      X     28-5284        625
                                                               1,736         132      X   X 28-13605       132

STARWOOD HOTELS&RESORTS WRLD   COM            85590A401      892,161      22,982      X     28-5284       7931               15051
                                                             588,123      15,150      X   X 28-5284       5898                9252
                                                             145,109       3,738      X     28-13605      1662                2076
                                                               2,096          54      X   X 28-13605        54
                                                              49,301       1,270      X     28-13663                          1270

STATE BK FINL CORP             COM            856190103       32,181       2,550      X   X 28-5284                           2550
               COLUMN TOTAL                               20,663,314







                                                                                                                   FILE NO. 28-1235
 PAGE   229 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
STATE STR CORP                 COM            857477103    6,916,587     215,068      X     28-5284     211520                3548
                                                           8,868,377     275,758      X   X 28-5284     260699               15059
                                                           2,397,785      74,558      X     28-13605     68052                6506
                                                           1,597,291      49,667      X   X 28-13605     46073       465      3129
                                                              80,400       2,500      X     28-13663       700                1800
                                                               8,040         250      X   X 28-13663       250

STATOIL ASA                    SPONSORED ADR  85771P102      168,780       7,832      X     28-5284       5801                2031
                                                             346,977      16,101      X   X 28-5284      12150                3951
                                                              50,793       2,357      X   X 28-13663      2357

STEEL DYNAMICS INC             COM            858119100       47,120       4,750      X     28-5284       4750
                                                             142,501      14,365      X   X 28-5284      14365
                                                               3,770         380      X     28-13605       380
                                                             119,040      12,000      X   X 28-13605     12000

STEELCASE INC                  CL A           858155203       13,251       2,100      X   X 28-5284                           2100

STEIN MART INC                 COM            858375108        1,375         220      X     28-5284                            220

STELLARONE CORP                COM            85856G100       24,875       2,500      X     28-13605      2500

STEMCELLS INC                  COM NEW        85857R204          808         400      X     28-5284                            400

STERICYCLE INC                 COM            858912108      733,583       9,088      X     28-5284       6920                2168
                                                             833,515      10,326      X   X 28-5284       4333       130      5863
                                                             215,361       2,668      X     28-13605      1709                 959
                                                             377,527       4,677      X   X 28-13605      4677

STERIS CORP                    COM            859152100       10,040         343      X     28-5284        343
                                                              67,321       2,300      X   X 28-5284       2300
                                                               2,927         100      X     28-13605       100

STEREOTAXIS INC                COM            85916J102        7,658       6,899      X     28-5284       6899

STEWART ENTERPRISES INC        CL A           860370105      255,315      42,910      X   X 28-5284                          42910

STEWART INFORMATION SVCS COR   COM            860372101        1,414         160      X     28-5284                            160

STIFEL FINL CORP               COM            860630102      438,851      16,523      X     28-5284        182               16341
                                                              51,978       1,957      X   X 28-5284        358                1599
                                                              18,486         696      X     28-13663                           696
               COLUMN TOTAL                               23,801,746







                                                                                                                   FILE NO. 28-1235
 PAGE   230 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
STILLWATER MNG CO              COM            86074Q102       37,570       4,420      X   X 28-5284       3000                1420
                                                               5,100         600      X   X 28-13605       600

STMICROELECTRONICS N V         NY REGISTRY    861012102        3,023         465      X     28-5284        465
                                                               7,800       1,200      X   X 28-5284       1200

STONE ENERGY CORP              COM            861642106        4,863         300      X     28-5284                            300

STONERIDGE INC                 COM            86183P102       78,300      15,000      X     28-5284      15000

STRATASYS INC                  COM            862685104       24,102       1,300      X     28-5284       1300
                                                              37,080       2,000      X   X 28-5284       2000

STRATTEC SEC CORP              COM            863111100      107,923       4,480      X   X 28-5284       4480

STRYKER CORP                   COM            863667101    7,586,563     160,971      X     28-5284     160006                 965
                                                          26,203,149     555,976      X   X 28-5284     281369              274607
                                                             375,626       7,970      X     28-13605      3904                4066
                                                             136,111       2,888      X   X 28-13605      2888
                                                              70,648       1,499      X     28-13663      1475                  24
                                                             149,308       3,168      X   X 28-13663      3075                  93

STURM RUGER & CO INC           COM            864159108       20,394         785      X     28-5284        665                 120
                                                              51,960       2,000      X   X 28-5284       2000
                                                              63,183       2,432      X     28-13605      2432

SUBURBAN PROPANE PARTNERS L    UNIT LTD PARTN 864482104       33,647         725      X     28-5284        725
                                                             283,472       6,108      X   X 28-5284       5408                 700
                                                              23,205         500      X     28-13605       500

SUCCESSFACTORS INC             COM            864596101       11,426         497      X     28-5284        497
                                                              20,921         910      X   X 28-5284        910

SUMITOMO MITSUI FINL GROUP I   SPONSORED ADR  86562M209       19,594       3,582      X     28-5284        577                3005

SUN COMMUNITIES INC            COM            866674104       17,595         500      X     28-5284        500
                                                              31,671         900      X   X 28-5284        500                 400

SUN LIFE FINL INC              COM            866796105      320,309      13,464      X     28-5284      11864                1600
                                                             163,651       6,879      X   X 28-5284       3590                3289
                                                               8,327         350      X   X 28-13605       350
                                                               6,185         260      X     28-13663                           260
               COLUMN TOTAL                               35,902,706







                                                                                                                   FILE NO. 28-1235
 PAGE   231 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 HYDRAULICS CORP            COM            866942105       27,513       1,350      X   X 28-5284       1350

SUNCOKE ENERGY INC             COM            86722A103        8,800         800      X     28-5284        800

SUNCOR ENERGY INC NEW          COM            867224107       89,956       3,536      X     28-5284       3536
                                                             467,994      18,396      X   X 28-5284      15996                2400
                                                              61,081       2,401      X     28-13605      2401
                                                             362,902      14,265      X   X 28-13605      8235                6030

SUNOCO LOGISTICS PRTNRS L P    COM UNITS      86764L108      107,073       1,210      X     28-5284       1210
                                                             864,724       9,772      X   X 28-5284       6072                3700
                                                               8,849         100      X   X 28-13605       100

SUNOCO INC                     COM            86764P109      379,004      12,222      X     28-5284      11652                 570
                                                             220,946       7,125      X   X 28-5284       6946                 179
                                                              85,278       2,750      X     28-13605      1451                1299
                                                              88,379       2,850      X   X 28-13605      1850                1000

SUNPOWER CORP                  COM CL A       867652109        5,040         623      X     28-5284        623
                                                               2,945         364      X   X 28-5284        364
                                                                  16           2      X     28-13605         2

SUNPOWER CORP                  COM CL B       867652307          419          57      X     28-5284         57
                                                               5,726         779      X   X 28-5284        779
                                                              21,352       2,905      X     28-13605      2905

SUNRISE SENIOR LIVING INC      COM            86768K106       18,520       4,000      X   X 28-5284       4000

SUNSTONE HOTEL INVS INC NEW    COM            867892101        3,983         700      X     28-5284        700

SUNTRUST BKS INC               COM            867914103      439,308      24,474      X     28-5284      21774                2700
                                                             732,970      40,834      X   X 28-5284      36786                4048
                                                             426,923      23,784      X     28-13605     16428                7356
                                                           1,133,704      63,159      X   X 28-13605     63159
                                                               9,047         504      X     28-13663       100                 404

SUNTECH PWR HLDGS CO LTD       ADR            86800C104          462         200      X     28-5284        200
                                                               4,606       1,994      X   X 28-5284       1994

SUPERIOR ENERGY SVCS INC       COM            868157108        1,811          69      X     28-5284         69
                                                             198,007       7,546      X   X 28-5284        676                6870

SUPERIOR UNIFORM GP INC        COM            868358102        3,330         300      X     28-5284        300
               COLUMN TOTAL                                5,780,668







                                                                                                                   FILE NO. 28-1235
 PAGE   232 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SUPERTEX INC                   COM            868532102        1,211          70      X     28-5284                             70

SUPERVALU INC                  COM            868536103       53,959       8,102      X     28-5284         54                8048
                                                               1,818         273      X   X 28-5284         15                 258
                                                              22,404       3,364      X     28-13605      1000                2364
                                                              11,289       1,695      X   X 28-13605      1595                 100
                                                                 413          62      X     28-13663                            62

SURMODICS INC                  COM            868873100        1,092         120      X     28-5284                            120

SUSQUEHANNA BANCSHARES INC P   COM            869099101       98,340      18,011      X     28-5284      16587                1424
                                                              66,181      12,121      X   X 28-5284       9457                2664
                                                              27,404       5,019      X     28-13605      5019

SUSSER HLDGS CORP              COM            869233106        6,457         324      X     28-13605       324

SUSSEX BANCORP                 COM            869245100       55,913      10,650      X   X 28-5284                          10650

SWEDISH EXPT CR CORP           ROG TTL ETN 22 870297801       12,912       1,600      X   X 28-5284       1600

SWIFT ENERGY CO                COM            870738101       26,531       1,090      X     28-5284        830                 260
                                                           1,357,174      55,759      X     28-13605     45495               10264
                                                               7,667         315      X   X 28-13605       315

SWISHER HYGIENE INC            COM            870808102        4,050       1,000      X     28-5284       1000
                                                              40,500      10,000      X   X 28-5284      10000
                                                                   4           1      X     28-13605         1

SWISS HELVETIA FD INC          COM            870875101      144,586      12,921      X     28-5284      12625                 296
                                                              13,585       1,214      X     28-13605      1214

SYKES ENTERPRISES INC          COM            871237103        1,271          85      X     28-13605        85

SYMANTEC CORP                  NOTE  1.000% 6 871503AF5      227,750       2,000      X   X 28-5284       2000

SYMANTEC CORP                  COM            871503108    1,704,279     104,557      X     28-5284      53706               50851
                                                             964,406      59,166      X   X 28-5284      40152               19014
                                                             295,438      18,125      X     28-13605      9600                8525
                                                              33,008       2,025      X   X 28-13605      1775                 250
                                                              97,898       6,006      X     28-13663                          6006
                                                               7,335         450      X   X 28-13663       450

SYMETRA FINL CORP              COM            87151Q106      218,461      26,805      X     28-13605     26805
               COLUMN TOTAL                                5,503,336







                                                                                                                   FILE NO. 28-1235
 PAGE   233 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SYMMETRICOM INC                COM            871543104        1,259         290      X     28-5284                            290

SYMMETRY MED INC               COM            871546206          772         100      X   X 28-5284        100

SYNAPTICS INC                  COM            87157D109        2,390         100      X   X 28-5284        100

SYNGENTA AG                    SPONSORED ADR  87160A100       20,748         400      X     28-5284        400
                                                             476,115       9,179      X   X 28-5284       3325                5854
                                                              57,057       1,100      X   X 28-13605      1100

SYNOPSYS INC                   COM            871607107      215,805       8,859      X     28-5284       8859
                                                             131,325       5,391      X   X 28-5284       4701                 690
                                                               1,218          50      X     28-13605        50

SYNOVUS FINL CORP              COM            87161C105        5,503       5,143      X   X 28-5284       5143

SYSCO CORP                     COM            871829107   19,573,744     755,743      X     28-5284     746205                9538
                                                          13,276,366     512,601      X   X 28-5284     474550               38051
                                                             797,642      30,797      X     28-13605     23516                7281
                                                             834,550      32,222      X   X 28-13605     31557                 665
                                                              47,371       1,829      X     28-13663      1404                 425
                                                             295,131      11,395      X   X 28-13663     11395

SYSTEMAX INC                   COM            871851101      127,200      10,000      X     28-5284      10000

TCF FINL CORP                  COM            872275102      105,313      11,497      X     28-5284      11497
                                                             406,603      44,389      X   X 28-5284      33889               10500
                                                             179,362      19,581      X     28-13605     19581

TC PIPELINES LP                UT COM LTD PRT 87233Q108      320,032       7,300      X     28-5284       7300
                                                             111,792       2,550      X   X 28-5284       2050                 500
                                                                 219           5      X   X 28-13605         5

TD AMERITRADE HLDG CORP        COM            87236Y108       16,323       1,110      X     28-5284       1110
                                                              16,881       1,148      X   X 28-5284       1148

TECO ENERGY INC                COM            872375100      643,060      37,540      X     28-5284      35594                1946
                                                             924,866      53,991      X   X 28-5284      50341                3650
                                                             208,952      12,198      X     28-13605      9589                2609
                                                              20,556       1,200      X   X 28-13605      1200

TF FINL CORP                   COM            872391107      146,531       7,612      X   X 28-5284       5250                2362
               COLUMN TOTAL                               38,964,686







                                                                                                                   FILE NO. 28-1235
 PAGE   234 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TFS FINL CORP                  COM            87240R107      406,500      50,000      X     28-5284      50000
                                                               4,415         543      X   X 28-5284        543
                                                              20,325       2,500      X     28-13605      2500

TGC INDS INC                   COM NEW        872417308      221,940      50,441      X     28-5284      50441
                                                                 581         132      X     28-13605       132

TICC CAPITAL CORP              COM            87244T109       10,213       1,250      X   X 28-5284       1250

THQ INC                        COM NEW        872443403        1,050         607      X     28-5284                            607

TJX COS INC NEW                COM            872540109    3,353,827      60,462      X     28-5284      49574               10888
                                                           2,561,716      46,182      X   X 28-5284      35635               10547
                                                             686,053      12,368      X     28-13605      8746                3622
                                                             196,308       3,539      X     28-13663      2850                 689
                                                             137,843       2,485      X   X 28-13663      2400                  85

TRW AUTOMOTIVE HLDGS CORP      COM            87264S106        2,946          90      X     28-5284         90
                                                              35,479       1,084      X   X 28-5284       1084
                                                              16,365         500      X     28-13605       500

TTM TECHNOLOGIES  INC          COM            87305R109       19,971       2,100      X   X 28-5284                           2100

TW TELECOM INC                 COM            87311L104       32,644       1,976      X     28-5284       1976
                                                              21,195       1,283      X   X 28-5284       1283

TAIWAN SEMICONDUCTOR MFG LTD   SPONSORED ADR  874039100    1,215,546     106,347      X     28-5284     106347
                                                             977,379      85,510      X   X 28-5284      76616                8894
                                                               5,726         501      X   X 28-13605       501
                                                              26,095       2,283      X   X 28-13663      2283

TAKE-TWO INTERACTIVE SOFTWAR   COM            874054109      381,524      29,994      X     28-5284       2240               27754
                                                             357,585      28,112      X   X 28-5284                          28112
                                                               2,226         175      X     28-13605       175
                                                              19,525       1,535      X     28-13663                          1535

TALEO CORP                     CL A           87424N104      197,478       7,678      X   X 28-5284        248                7430

TALISMAN ENERGY INC            COM            87425E103      849,231      69,212      X     28-5284      69212
                                                             256,099      20,872      X   X 28-5284      20477                 395
                                                              58,982       4,807      X     28-13605      4807
                                                               1,841         150      X     28-13663       150
               COLUMN TOTAL                               12,078,608







                                                                                                                   FILE NO. 28-1235
 PAGE   235 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TANGER FACTORY OUTLET CTRS I   COM            875465106       26,010       1,000      X     28-5284       1000
                                                              70,227       2,700      X   X 28-5284       2700
                                                              84,324       3,242      X     28-13605      3242

TARGA RESOURCES PARTNERS LP    COM UNIT       87611X105      493,200      15,000      X     28-5284      15000
                                                             237,690       7,229      X   X 28-5284       7229

TARGET CORP                    COM            87612E106   79,544,351   1,622,030      X     28-5284    1605716               16314
                                                          17,029,287     347,253      X   X 28-5284     322985               24268
                                                          33,890,906     691,087      X     28-13605    644085               47002
                                                           6,154,961     125,509      X   X 28-13605    119699                5810
                                                              82,436       1,681      X     28-13663      1550                 131
                                                              73,560       1,500      X   X 28-13663      1500

TASEKO MINES LTD               COM            876511106        1,020         400      X   X 28-5284        400

TATA MTRS LTD                  SPONSORED ADR  876568502       26,223       1,705      X     28-5284       1705
                                                              22,301       1,450      X   X 28-5284       1450

TAUBMAN CTRS INC               COM            876664103       14,791         294      X     28-5284        114                 180
                                                             654,885      13,017      X   X 28-5284        372               12645

TEAM HEALTH HOLDINGS INC       COM            87817A107      244,986      14,920      X   X 28-5284                          14920

TECH DATA CORP                 DBCV  2.750%12 878237AE6      600,750       6,000      X   X 28-5284       6000

TECH DATA CORP                 COM            878237106       90,091       2,084      X     28-5284        464                1620
                                                             323,360       7,480      X   X 28-5284        310                7170

TECHNE CORP                    COM            878377100       81,612       1,200      X     28-5284       1200
                                                           1,547,159      22,749      X   X 28-5284      18649                4100
                                                              74,811       1,100      X     28-13605      1100
                                                             760,692      11,185      X   X 28-13605     11185

TECK RESOURCES LTD             CL B           878742204       76,799       2,631      X     28-5284       2160                 471
                                                              80,506       2,758      X   X 28-5284       1608                1150
                                                               1,781          61      X   X 28-13605        61

TEJON RANCH CO                 COM            879080109       18,690         783      X     28-5284        783

TEKELEC                        COM            879101103        3,624         600      X     28-5284        600

TELE NORTE LESTE PART S A      SPON ADR PFD   879246106        2,649         278      X     28-5284        278
               COLUMN TOTAL                              142,313,682







                                                                                                                   FILE NO. 28-1235
 PAGE   236 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TELECOM ITALIA S P A NEW       SPON ADR ORD   87927Y102        4,086         378      X     28-5284        378

TELECOM ITALIA S P A NEW       SPON ADR SVGS  87927Y201      110,241      11,365      X     28-5284                          11365
                                                             163,852      16,892      X   X 28-5284                          16892
                                                               3,279         338      X   X 28-13605       338

TELECOM ARGENTINA S A          SPON ADR REP B 879273209       18,630       1,000      X   X 28-5284       1000

TELECOM CORP NEW ZEALAND LTD   SPONSORED ADR  879278208       16,717       1,692      X     28-5284       1692
                                                             308,256      31,200      X   X 28-5284      31200
                                                               4,031         408      X   X 28-13605       408

TELECOMUNICACOES DE SAO PAUL   SPON ADR PFD   87929A102        2,910         110      X     28-5284        110

TELEDYNE TECHNOLOGIES INC      COM            879360105       42,850         877      X     28-5284        647                 230
                                                               3,469          71      X   X 28-13605        71

TELEFLEX INC                   COM            879369106    1,955,185      36,362      X     28-5284      25794               10568
                                                             518,719       9,647      X   X 28-5284       9398                 249
                                                              16,991         316      X     28-13663                           316
                                                             322,620       6,000      X   X 28-13663      6000

TELEFONICA S A                 SPONSORED ADR  879382208      344,485      18,017      X     28-5284      17756                 261
                                                             640,558      33,502      X   X 28-5284      29410                4092
                                                              10,784         564      X     28-13605       564
                                                               7,648         400      X   X 28-13605       400
                                                              38,240       2,000      X   X 28-13663      2000

TELEFONOS DE MEXICO S A B      SPON ADR A SHS 879403707       31,838       2,096      X     28-5284       2096

TELEFONOS DE MEXICO S A B      SPON ADR ORD L 879403780      248,619      16,630      X     28-5284      16630
                                                              68,381       4,574      X   X 28-5284       3074                1500
                                                              20,930       1,400      X   X 28-13605      1400
                                                              17,940       1,200      X   X 28-13663      1200

TELEPHONE & DATA SYS INC       COM            879433100       38,250       1,800      X     28-5284       1800

TELEPHONE & DATA SYS INC       SPL COM        879433860       35,586       1,800      X     28-5284       1800

TELLABS INC                    COM            879664100       12,608       2,939      X     28-5284        564                2375
                                                              11,506       2,682      X   X 28-5284       1265                1417
                                                              25,839       6,023      X     28-13605      1773                4250
               COLUMN TOTAL                                5,045,048







                                                                                                                   FILE NO. 28-1235
 PAGE   237 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TELUS CORP                     NON-VTG SHS    87971M202       23,120         500      X     28-5284        500
                                                             240,448       5,200      X   X 28-5284       5200

TEMPLE INLAND INC              COM            879868107        1,098          35      X     28-5284         35
                                                              25,159         802      X   X 28-5284        802

TEMPLETON DRAGON FD INC        COM            88018T101      231,110       9,550      X   X 28-5284       9550
                                                               4,840         200      X     28-13605       200

TEMPLETON EMERGING MKTS FD I   COM            880191101      181,716      10,810      X   X 28-5284      10810

TEMPLETON EMERG MKTS INCOME    COM            880192109       21,562       1,450      X     28-5284       1450
                                                             197,191      13,261      X   X 28-5284       9800                3461

TEMPLETON GLOBAL INCOME FD     COM            880198106      241,580      25,564      X     28-5284      25564
                                                             118,125      12,500      X   X 28-5284      12500

TEMPUR PEDIC INTL INC          COM            88023U101       45,192         859      X   X 28-5284        859

TENARIS S A                    SPONSORED ADR  88031M109       12,980         510      X     28-5284        510
                                                              31,813       1,250      X   X 28-5284                           1250

TENET HEALTHCARE CORP          COM            88033G100       62,649      15,243      X     28-5284      13678                1565
                                                              22,112       5,380      X   X 28-5284       5380
                                                              27,085       6,590      X     28-13605      2156                4434
                                                                 481         117      X     28-13663                           117

TENNANT CO                     COM            880345103          990          28      X     28-13605        28

TENNECO INC                    COM            880349105       61,746       2,411      X     28-5284        325                2086
                                                             306,808      11,980      X   X 28-5284                          11980

TERADATA CORP DEL              COM            88076W103      215,351       4,023      X     28-5284       3533                 490
                                                             236,656       4,421      X   X 28-5284       4215                 206
                                                             159,305       2,976      X     28-13605      1061                1915
                                                               9,207         172      X   X 28-13605       136                  36
                                                               2,569          48      X     28-13663                            48
                                                                 856          16      X   X 28-13663                            16

TERADYNE INC                   COM            880770102       23,594       2,143      X     28-5284       1152                 991
                                                              32,270       2,931      X   X 28-5284       2874                  57
                                                              30,454       2,766      X     28-13605       898                1868
                                                               3,325         302      X   X 28-13663                           302
               COLUMN TOTAL                                2,571,392







                                                                                                                   FILE NO. 28-1235
 PAGE   238 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TEREX CORP NEW                 COM            880779103       68,280       6,655      X     28-5284        700                5955
                                                             413,098      40,263      X   X 28-5284      40061                 202
                                                               2,627         256      X     28-13663                           256

TERNIUM SA                     SPON ADR       880890108        4,208         202      X   X 28-5284        202

TERRA NITROGEN CO L P          COM UNIT       881005201       79,442         550      X     28-5284        550
                                                              21,666         150      X   X 28-5284        150

TESLA MTRS INC                 COM            88160R101       77,658       3,184      X     28-5284       3184
                                                             123,462       5,062      X   X 28-5284        472                4590
                                                              12,585         516      X     28-13605       516

TESORO CORP                    COM            881609101       24,532       1,260      X     28-5284        600                 660
                                                             661,279      33,964      X   X 28-5284      24744                9220
                                                              40,011       2,055      X     28-13605       673                1382
                                                               1,986         102      X     28-13663                           102

TETRA TECHNOLOGIES INC DEL     COM            88162F105        7,905       1,024      X     28-5284        500                 524

TETRA TECH INC NEW             COM            88162G103       13,118         700      X     28-5284        300                 400
                                                              18,740       1,000      X   X 28-5284       1000

TEVA PHARMACEUTICAL INDS LTD   ADR            881624209   18,221,237     489,555      X     28-5284     397750               91805
                                                          14,160,647     380,458      X   X 28-5284     317292               63166
                                                           1,718,782      46,179      X     28-13605     45454                 725
                                                             924,396      24,836      X   X 28-13605     24422       390        24
                                                             333,491       8,960      X     28-13663      4400                4560
                                                              78,534       2,110      X   X 28-13663      2110

TEVA PHARMACEUTICAL FIN LLC    DBCV  0.250% 2 88163VAE9      409,500       4,000      X   X 28-5284       4000

TEXAS CAPITAL BANCSHARES INC   COM            88224Q107       22,850       1,000      X   X 28-5284                           1000

TEXAS INDS INC                 COM            882491103      159,684       5,031      X     28-5284                           5031
                                                             227,322       7,162      X   X 28-5284       7000                 162
                                                               6,634         209      X     28-13663                           209
               COLUMN TOTAL                               37,833,674







                                                                                                                   FILE NO. 28-1235
 PAGE   239 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TEXAS INSTRS INC               COM            882508104   12,497,597     468,953      X     28-5284     454108               14845
                                                           6,641,793     249,223      X   X 28-5284     224270               24953
                                                           1,185,765      44,494      X     28-13605     30601               13893
                                                             344,585      12,930      X   X 28-13605     12580                 350
                                                              25,984         975      X     28-13663       800                 175
                                                              77,978       2,926      X   X 28-13663      2725                 201

TEXAS PAC LD TR                SUB CTF PROP I 882610108       61,778       1,700      X     28-5284       1700
                                                               3,634         100      X   X 28-5284        100
                                                              76,314       2,100      X     28-13605      2100

TEXAS ROADHOUSE INC            COM            882681109    3,928,032     297,128      X     28-5284     272930               24198
                                                              10,986         831      X   X 28-5284                            831
                                                               1,890         143      X     28-13605       143
                                                              13,736       1,039      X     28-13663                          1039

TEXTRON INC                    COM            883203101      272,503      15,448      X     28-5284      12818                2630
                                                             204,201      11,576      X   X 28-5284      10918                 658
                                                              93,016       5,273      X     28-13605      2173                3100
                                                              14,112         800      X   X 28-13605       800
                                                               3,898         221      X     28-13663                           221

THERATECHNOLOGIES INC          COM            88338H100      164,180      54,545      X     28-5284                          54545

THERMO FISHER SCIENTIFIC INC   COM            883556102    3,348,013      66,114      X     28-5284      40907               25207
                                                           3,591,439      70,921      X   X 28-5284      58066               12855
                                                             284,192       5,612      X     28-13605      1987                3625
                                                             544,836      10,759      X   X 28-13605      3759                7000
                                                              46,488         918      X     28-13663                           918

THOMAS & BETTS CORP            COM            884315102      276,257       6,922      X     28-5284       6922
                                                             107,358       2,690      X   X 28-5284       2090                 600
                                                              61,062       1,530      X     28-13605      1530

THOMPSON CREEK METALS CO INC   COM            884768102        1,214         200      X   X 28-5284        200

THOMSON REUTERS CORP           COM            884903105      117,624       4,350      X     28-5284        150                4200
                                                             198,663       7,347      X   X 28-5284       7347

THORATEC CORP                  COM NEW        885175307       78,369       2,401      X     28-5284       2401
                                                              32,281         989      X   X 28-5284        989
               COLUMN TOTAL                               34,309,778







                                                                                                                   FILE NO. 28-1235
 PAGE   240 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
3-D SYS CORP DEL               COM NEW        88554D205      111,920       8,000      X   X 28-5284                           8000
                                                              20,985       1,500      X     28-13605                          1500
                                                             120,314       8,600      X   X 28-13605      8600

3M CO                          COM            88579Y101  110,576,773   1,540,281      X     28-5284    1496875               43406
                                                          98,348,926   1,369,953      X   X 28-5284    1292013       900     77040
                                                           9,309,871     129,682      X     28-13605    120959                8723
                                                          12,858,235     179,109      X   X 28-13605    161260               17849
                                                           1,019,633      14,203      X     28-13663     12892                1311
                                                           1,444,271      20,118      X   X 28-13663     20030                  88

TIBCO SOFTWARE INC             COM            88632Q103       76,731       3,427      X     28-5284       3427
                                                              30,518       1,363      X   X 28-5284       1363

TIDEWATER INC                  COM            886423102        9,293         221      X     28-5284        221
                                                              14,255         339      X   X 28-5284        339
                                                              21,025         500      X   X 28-13605       500

TIFFANY & CO NEW               COM            886547108   18,075,765     297,201      X     28-5284     292363                4838
                                                           5,083,579      83,584      X   X 28-5284      79452                4132
                                                          18,104,654     297,676      X     28-13605    290993                6683
                                                           3,748,580      61,634      X   X 28-13605     58854                2780
                                                             139,704       2,297      X     28-13663      2280                  17
                                                              38,013         625      X   X 28-13663       625

TIM HORTONS INC                COM            88706M103       69,837       1,509      X     28-5284       1489                  20
                                                              50,908       1,100      X   X 28-5284       1100
                                                              37,579         812      X   X 28-13605       812

TIM PARTICIPACOES S A          SPONSORED ADR  88706P205        3,699         157      X     28-5284        157

TIME WARNER INC                COM NEW        887317303    1,097,352      36,615      X     28-5284      29749                6866
                                                           1,023,775      34,160      X   X 28-5284      32979                1181
                                                             479,850      16,011      X     28-13605      5948               10063
                                                             137,353       4,583      X   X 28-13605      4583
                                                               9,530         318      X     28-13663        41                 277
                                                              15,974         533      X   X 28-13663       533
               COLUMN TOTAL                              282,078,902







                                                                                                                   FILE NO. 28-1235
 PAGE   241 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TIME WARNER CABLE INC          COM            88732J207      700,588      11,179      X     28-5284      10057                1122
                                                             592,232       9,450      X   X 28-5284       6929                2521
                                                           2,638,407      42,100      X     28-13605     38892                3208
                                                              73,261       1,169      X   X 28-13605      1169
                                                               4,575          73      X     28-13663        10                  63
                                                               8,335         133      X   X 28-13663       133

TIMKEN CO                      COM            887389104       67,347       2,052      X     28-5284       1092                 960
                                                              66,690       2,032      X   X 28-5284       2032
                                                              68,594       2,090      X   X 28-13605        90                2000
                                                               5,120         156      X     28-13663                           156

TITAN INTL INC ILL             COM            88830M102      228,600      15,240      X   X 28-5284        420               14820

TITAN MACHY INC                COM            88830R101        8,950         500      X   X 28-5284        500
                                                               1,432          80      X     28-13605        80

TITANIUM METALS CORP           COM NEW        888339207      105,624       7,051      X     28-5284       6663                 388
                                                              24,672       1,647      X   X 28-5284       1460                 187
                                                              10,471         699      X     28-13605       208                 491

TOLL BROTHERS INC              COM            889478103       72,727       5,040      X     28-5284       5040
                                                             175,050      12,131      X   X 28-5284        435               11696
                                                               4,329         300      X   X 28-13605       300

TOMPKINS FINANCIAL CORPORATI   COM            890110109       10,448         292      X     28-5284        292

TOOTSIE ROLL INDS INC          COM            890516107      160,036       6,635      X   X 28-13605                          6635

TORCHMARK CORP                 COM            891027104      849,782      24,377      X     28-5284      23472                 905
                                                             454,121      13,027      X   X 28-5284      12801                 226
                                                              63,794       1,830      X     28-13605       546                1284
                                                           1,573,929      45,150      X   X 28-13605     45150

TORO CO                        COM            891092108      176,387       3,580      X     28-5284       3400                 180
                                                             620,605      12,596      X   X 28-5284      10596                2000
                                                             149,781       3,040      X   X 28-13605      3040

TORONTO DOMINION BK ONT        COM NEW        891160509    2,422,943      34,150      X     28-5284      34068                  82
                                                             642,665       9,058      X   X 28-5284       6811                2247

TORTOISE ENERGY INFRSTRCTR C   COM            89147L100      324,812       9,573      X     28-5284       9573
                                                             587,668      17,320      X   X 28-5284      16940                 380
               COLUMN TOTAL                               12,893,975







                                                                                                                   FILE NO. 28-1235
 PAGE   242 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TORTOISE CAP RES CORP          COM            89147N304        7,733       1,031      X   X 28-5284       1031

TORTOISE NORTH AMRN ENRGY CO   COM            89147T103       22,400       1,000      X     28-5284       1000

TORTOISE ENERGY CAP CORP       COM            89147U100       23,400       1,000      X     28-5284       1000
                                                               2,925         125      X     28-13605       125

TORTOISE MLP FD INC            COM            89148B101       22,560       1,000      X     28-5284       1000

TOTAL S A                      SPONSORED ADR  89151E109    1,530,975      34,898      X     28-5284      33638                1260
                                                             715,125      16,301      X   X 28-5284      10344                5957
                                                              33,561         765      X     28-13605       765
                                                              55,803       1,272      X   X 28-13605      1272
                                                              44,747       1,020      X     28-13663      1020

TOWER BANCORP INC              COM            891709107       58,632       2,800      X     28-5284       2800
                                                              69,102       3,300      X   X 28-5284       3300
                                                              20,940       1,000      X     28-13605      1000

TOWER GROUP INC                COM            891777104      145,115       6,348      X     28-5284                           6348

TOWERS WATSON & CO             CL A           891894107      186,035       3,112      X     28-5284                           3112
                                                              20,206         338      X   X 28-5284        338
                                                             125,658       2,102      X   X 28-13605                          2102

TOTAL SYS SVCS INC             COM            891906109       15,559         919      X     28-5284                            919
                                                              19,910       1,176      X   X 28-5284       1094                  82
                                                              42,918       2,535      X     28-13605       756                1779
                                                               2,523         149      X     28-13663                           149

TOWN SPORTS INTL HLDGS INC     COM            89214A102      116,734      16,079      X     28-13605     16079

TOYOTA MOTOR CORP              SP ADR REP2COM 892331307      579,391       8,488      X     28-5284       5829                2659
                                                             487,718       7,145      X   X 28-5284       4566                2579
                                                              13,652         200      X     28-13605       200
                                                               1,911          28      X   X 28-13605        28

TRACTOR SUPPLY CO              COM            892356106    1,447,820      23,154      X     28-5284       2584               20570
                                                             672,573      10,756      X   X 28-5284       1046                9710
                                                           1,689,936      27,026      X     28-13605     22154                4872
                                                               7,504         120      X   X 28-13605       120
                                                             126,311       2,020      X     28-13663                          2020
                                                             193,843       3,100      X   X 28-13663      3100
               COLUMN TOTAL                                8,503,220







                                                                                                                   FILE NO. 28-1235
 PAGE   243 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TRANSATLANTIC HLDGS INC        COM            893521104       60,650       1,250      X     28-5284       1250
                                                              20,136         415      X   X 28-5284        415
                                                              81,077       1,671      X     28-13605      1671
                                                               2,960          61      X   X 28-13605        61

TRANSCANADA CORP               COM            89353D107       72,882       1,800      X     28-5284       1800
                                                             382,023       9,435      X   X 28-5284       4485                4950
                                                               4,049         100      X     28-13605       100
                                                             445,390      11,000      X   X 28-13605                         11000

TRANSDIGM GROUP INC            COM            893641100       20,581         252      X     28-5284        252
                                                              33,403         409      X   X 28-5284        409
                                                             186,861       2,288      X     28-13605      2288

TRANSMONTAIGNE PARTNERS L P    COM UNIT L P   89376V100       13,172         400      X   X 28-5284        400

TRANSOCEAN INC                 NOTE  1.500%12 893830AW9      387,500       4,000      X   X 28-5284       4000

TRAVELERS COMPANIES INC        COM            89417E109   17,742,154     364,091      X     28-5284     360282                3809
                                                           8,823,103     181,061      X   X 28-5284     174115                6946
                                                           5,051,059     103,654      X     28-13605     98454                5200
                                                           1,058,854      21,729      X   X 28-13605     18221       290      3218
                                                             239,118       4,907      X     28-13663      4675                 232
                                                             280,149       5,749      X   X 28-13663      5749

TRAVELCENTERS OF AMERICA LLC   COM            894174101          131          37      X   X 28-5284         37

TREDEGAR CORP                  COM            894650100       12,724         858      X     28-5284        698                 160

TREE COM INC                   COM            894675107           10           2      X   X 28-5284          2

TREEHOUSE FOODS INC            COM            89469A104      498,925       8,068      X     28-5284                           8068
                                                              17,130         277      X   X 28-5284                            277
                                                           2,114,681      34,196      X     28-13605     28207                5989
                                                               8,719         141      X   X 28-13605       141
                                                              21,458         347      X     28-13663                           347

TREX CO INC                    COM            89531P105       47,769       2,980      X     28-5284       2980

TRI CONTL CORP                 COM            895436103      116,439       9,154      X   X 28-5284       9154

TRIANGLE CAP CORP              COM            895848109       30,440       2,000      X   X 28-5284       2000
               COLUMN TOTAL                               37,773,547







                                                                                                                   FILE NO. 28-1235
 PAGE   244 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TRIMAS CORP                    COM NEW        896215209        1,396          94      X     28-13605        94

TRIMBLE NAVIGATION LTD         COM            896239100    1,476,536      44,010      X     28-5284      44010
                                                           1,401,518      41,774      X   X 28-5284      25348       110     16316
                                                             439,673      13,105      X     28-13605     13105
                                                             428,769      12,780      X   X 28-13605     12780
                                                              71,294       2,125      X   X 28-13663      2125

TRINA SOLAR LIMITED            SPON ADR       89628E104          365          60      X     28-13605        60

TRINITY INDS INC               COM            896522109       87,139       4,070      X     28-5284       1250                2820
                                                             427,386      19,962      X   X 28-5284       6602               13360

TRIQUINT SEMICONDUCTOR INC     COM            89674K103       42,670       8,500      X     28-5284       8500
                                                              25,100       5,000      X   X 28-5284                           5000

TRIUMPH GROUP INC NEW          COM            896818101      470,049       9,644      X     28-5284       9644
                                                             251,986       5,170      X   X 28-5284                           5170
                                                           1,998,145      40,996      X     28-13605     33764                7232
                                                               8,335         171      X   X 28-13605       171

TRUE RELIGION APPAREL INC      COM            89784N104      117,465       4,357      X     28-13605      4357

TRUSTCO BK CORP N Y            COM            898349105        5,887       1,320      X     28-5284        710                 610
                                                              20,070       4,500      X   X 28-5284                           4500

TRUSTMARK CORP                 COM            898402102       17,134         944      X     28-5284        944
                                                               3,140         173      X   X 28-13605       173

TUPPERWARE BRANDS CORP         COM            899896104       92,272       1,717      X     28-5284       1717
                                                              75,182       1,399      X   X 28-5284       1399
                                                             275,901       5,134      X     28-13605      5134
                                                              16,122         300      X   X 28-13605       300

TURKCELL ILETISIM HIZMETLERI   SPON ADR NEW   900111204       12,927       1,146      X     28-5284       1146

TURKISH INVT FD INC            COM            900145103       12,690       1,000      X     28-5284       1000

TWIN DISC INC                  COM            901476101        8,001         300      X     28-5284        300

TWO HBRS INVT CORP             COM            90187B101       22,923       2,596      X     28-5284       2596
                                                              17,660       2,000      X   X 28-5284       2000
               COLUMN TOTAL                                7,827,735







                                                                                                                   FILE NO. 28-1235
 PAGE   245 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
II VI INC                      COM            902104108      180,250      10,300      X     28-5284      10300
                                                             386,995      22,114      X   X 28-5284      10600               11514
                                                              21,000       1,200      X     28-13605                          1200
                                                              35,000       2,000      X   X 28-13605      2000

TYLER TECHNOLOGIES INC         COM            902252105    1,981,775      78,393      X     28-13605     65347               13046
                                                               7,887         312      X   X 28-13605       312

TYSON FOODS INC                CL A           902494103       42,532       2,450      X     28-5284       1372                1078
                                                              91,209       5,254      X   X 28-5284       4938                 316
                                                              83,936       4,835      X     28-13605      1403                3432
                                                              19,096       1,100      X   X 28-13605      1100

UBS AG JERSEY BRH              ALERIAN INFRST 902641646       10,318         358      X     28-5284        358

UBS AG JERSEY BRH              CMCI ETN 38    902641778       38,095       1,835      X     28-13605      1835

UDR INC                        COM            902653104      147,120       6,645      X     28-5284       6285                 360
                                                             225,961      10,206      X   X 28-5284      10206
                                                             104,124       4,703      X     28-13605      4703
                                                              11,956         540      X   X 28-13605       540

UGI CORP NEW                   COM            902681105      216,386       8,237      X     28-5284       8237
                                                             347,211      13,217      X   X 28-5284      13217
                                                              78,810       3,000      X     28-13605      3000

UIL HLDG CORP                  COM            902748102       37,211       1,130      X     28-5284        800                 330
                                                              69,153       2,100      X   X 28-5284       1000                1100

UMB FINL CORP                  COM            902788108      378,384      11,795      X     28-5284        751               11044
                                                              53,638       1,672      X   X 28-5284                           1672
                                                              14,757         460      X     28-13663                           460

US BANCORP DEL                 COM NEW        902973304   38,554,848   1,637,844      X     28-5284    1627358               10486
                                                          16,749,934     711,552      X   X 28-5284     668026               43526
                                                           4,409,348     187,313      X     28-13605    162053               25260
                                                           1,230,954      52,292      X   X 28-13605     47288      1040      3964
                                                              45,950       1,952      X     28-13663      1704                 248
                                                             288,294      12,247      X   X 28-13663     11497                 750

U M H PROPERTIES INC           COM            903002103          909         100      X   X 28-5284        100

UQM TECHNOLOGIES INC           COM            903213106        3,841       2,300      X     28-5284       2300
               COLUMN TOTAL                               65,866,882







                                                                                                                   FILE NO. 28-1235
 PAGE   246 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
URS CORP NEW                   COM            903236107      340,200      11,470      X     28-5284      11470
                                                              94,971       3,202      X   X 28-5284       3102                 100
                                                               5,191         175      X     28-13605       175
                                                              21,474         724      X   X 28-13605       724

USANA HEALTH SCIENCES INC      COM            90328M107      165,000       6,000      X   X 28-5284       6000

USA TECHNOLOGIES INC           *W EXP 12/31/2 90328S179          318       3,180      X     28-5284       3180

USA TECHNOLOGIES INC           CONV PFD SER A 90328S203        4,185         250      X     28-5284        250

USA TECHNOLOGIES INC           COM NO PAR     90328S500        6,744       5,620      X     28-5284       5620
                                                                 460         383      X   X 28-5284        383

U S G CORP                     COM NEW        903293405        1,481         220      X     28-5284        220
                                                              43,745       6,500      X   X 28-5284       6500

USEC INC                       COM            90333E108        2,093       1,300      X     28-5284       1300
                                                              53,935      33,500      X   X 28-13605                         33500

U S PHYSICAL THERAPY INC       COM            90337L108       90,026       4,861      X     28-13605      4861

ULTA SALON COSMETCS & FRAG I   COM            90384S303      144,685       2,325      X     28-5284       2325
                                                              24,394         392      X   X 28-5284        392
                                                             197,891       3,180      X     28-13605      3180

ULTRA PETROLEUM CORP           COM            903914109      852,667      30,760      X     28-5284       4800               25960
                                                             950,186      34,278      X   X 28-5284       4663               29615
                                                              23,174         836      X     28-13605       336                 500
                                                             603,658      21,777      X   X 28-13605     21777
                                                              56,272       2,030      X     28-13663                          2030

ULTRAPAR PARTICIPACOES S A     SP ADR REP COM 90400P101        1,013          64      X     28-5284         64
                                                              61,737       3,900      X   X 28-5284                           3900

ULTRATECH INC                  COM            904034105        2,744         160      X     28-5284                            160

UMPQUA HLDGS CORP              COM            904214103        8,790       1,000      X     28-5284       1000
                                                             203,489      23,150      X   X 28-5284                          23150
               COLUMN TOTAL                                3,960,523







                                                                                                                   FILE NO. 28-1235
 PAGE   247 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
UNDER ARMOUR INC               CL A           904311107       42,436         639      X     28-5284        639
                                                             239,142       3,601      X   X 28-5284       3601
                                                              83,013       1,250      X     28-13605      1250
                                                              29,885         450      X   X 28-13605       350                 100

UNILEVER PLC                   SPON ADR NEW   904767704      236,607       7,586      X     28-5284       6181                1405
                                                             475,523      15,246      X   X 28-5284      15069                 177
                                                             146,032       4,682      X     28-13605      4682
                                                             281,115       9,013      X   X 28-13605      9013

UNILEVER N V                   N Y SHS NEW    904784709    7,029,198     223,220      X     28-5284     220230                2990
                                                          11,357,561     360,672      X   X 28-5284     347296               13376
                                                             200,749       6,375      X     28-13605      6375
                                                             480,317      15,253      X   X 28-13605     15253
                                                             145,547       4,622      X   X 28-13663      4622

UNION BANKSHARES INC           COM            905400107       78,000       4,000      X   X 28-5284       4000

UNION PAC CORP                 COM            907818108   60,539,684     741,272      X     28-5284     729244               12028
                                                          34,117,888     417,753      X   X 28-5284     404230      1340     12183
                                                          29,173,994     357,218      X     28-13605    325438               31780
                                                           9,068,718     111,041      X   X 28-13605    101098                9943
                                                             653,523       8,002      X     28-13663      6371                1631
                                                             821,764      10,062      X   X 28-13663      9990                  72

UNISOURCE ENERGY CORP          COM            909205106       11,549         320      X     28-5284         80                 240

UNISYS CORP                    COM NEW        909214306        4,095         261      X     28-5284        261
                                                              15,878       1,012      X   X 28-5284       1012

UNIT CORP                      COM            909218109      218,862       5,928      X     28-5284       4000                1928
                                                             283,656       7,683      X   X 28-5284       1267                6416

UNITED CMNTY BKS BLAIRSVLE G   COM            90984P303       84,900      10,000      X     28-5284      10000

UNITED BANKSHARES INC WEST V   COM            909907107      137,396       6,839      X     28-5284       6569                 270
                                                              60,270       3,000      X   X 28-5284       3000
                                                               2,351         117      X   X 28-13605       117

UNITED BANCORP INC OHIO        COM            909911109       49,134       5,700      X     28-5284       5700

UNITED CONTL HLDGS INC         COM            910047109       16,395         846      X     28-5284        846
                                                             258,374      13,332      X   X 28-5284      13332
               COLUMN TOTAL                              156,343,556







                                                                                                                   FILE NO. 28-1235
 PAGE   248 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 FINANCIAL BANCORP INC   COM            91030T109       41,070       3,000      X   X 28-5284                           3000

UNITED FIRE & CAS CO           COM            910331107       81,551       4,610      X     28-5284       4610
                                                              60,146       3,400      X   X 28-5284                           3400
                                                               2,300         130      X   X 28-13605       130

UNITED MICROELECTRONICS CORP   SPON ADR NEW   910873405          204         107      X   X 28-5284        107

UNITED NAT FOODS INC           COM            911163103      432,627      11,680      X     28-5284       1761                9919
                                                              56,597       1,528      X   X 28-5284       1200                 328
                                                             211,610       5,713      X     28-13605      5713
                                                              15,186         410      X     28-13663                           410

UNITED ONLINE INC              COM            911268100      122,905      23,500      X   X 28-5284      23500

UNITED PARCEL SERVICE INC      CL B           911312106   74,402,951   1,178,194      X     28-5284     955357              222837
                                                          23,230,359     367,860      X   X 28-5284     358886       100      8874
                                                           2,708,630      42,892      X     28-13605     31375               11517
                                                           1,020,504      16,160      X   X 28-13605     15512       200       448
                                                           1,405,088      22,250      X     28-13663     20289                1961
                                                              42,942         680      X   X 28-13663       645                  35

UNITED RENTALS INC             COM            911363109        3,368         200      X     28-5284        200
                                                               1,246          74      X     28-13605        74

UNITED STATES CELLULAR CORP    COM            911684108        1,864          47      X   X 28-5284         47

UNITED STATES NATL GAS FUND    UNIT NEW       912318110       13,508       1,500      X     28-5284       1500

UNITED STATES OIL FUND LP      UNITS          91232N108       21,831         716      X     28-5284        716
                                                              11,007         361      X   X 28-5284        361

UNITED STATES STL CORP NEW     COM            912909108    1,974,275      89,699      X     28-5284      88504                1195
                                                             169,565       7,704      X   X 28-5284       7583                 121
                                                              47,145       2,142      X     28-13605       635                1507
                                                              48,422       2,200      X   X 28-13605      2200
                                                               2,861         130      X     28-13663                           130

UNITED STATIONERS INC          COM            913004107        7,622         280      X     28-5284                            280
               COLUMN TOTAL                              106,137,384







                                                                                                                   FILE NO. 28-1235
 PAGE   249 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
UNITED TECHNOLOGIES CORP       COM            913017109  125,870,100   1,788,944      X     28-5284    1754975               33969
                                                          70,553,771   1,002,754      X   X 28-5284     954105      2630     46019
                                                          45,033,144     640,039      X     28-13605    602216               37823
                                                          18,574,407     263,991      X   X 28-13605    253278       200     10513
                                                             874,645      12,431      X     28-13663     10361                2070
                                                           1,620,813      23,036      X   X 28-13663     22932                 104

UNITED THERAPEUTICS CORP DEL   COM            91307C102      174,741       4,661      X     28-5284                           4661
                                                             239,674       6,393      X   X 28-5284        138                6255
                                                               7,311         195      X     28-13663                           195

UNITEDHEALTH GROUP INC         COM            91324P102   39,074,248     847,230      X     28-5284     799635               47595
                                                          15,304,830     331,848      X   X 28-5284     293881      1500     36467
                                                          35,832,565     776,942      X     28-13605    694009               82933
                                                           6,091,068     132,070      X   X 28-13605    126746       265      5059
                                                             400,183       8,677      X     28-13663      5272                3405
                                                             111,564       2,419      X   X 28-13663      2419

UNIVERSAL CORP VA              COM            913456109       17,930         500      X   X 28-5284        500

UNIVERSAL DISPLAY CORP         COM            91347P105       28,764         600      X     28-5284        600
                                                             138,547       2,890      X   X 28-5284       2590                 300

UNIVERSAL ELECTRS INC          COM            913483103       12,145         741      X     28-5284        741
                                                             932,886      56,918      X     28-13605     47342                9576
                                                               4,163         254      X   X 28-13605       254

UNIVERSAL FST PRODS INC        COM            913543104        2,886         120      X     28-5284                            120

UNIVERSAL HEALTH RLTY INCM T   SH BEN INT     91359E105       62,179       1,850      X   X 28-5284        500                1350
                                                               3,361         100      X   X 28-13605       100

UNIVERSAL INS HLDGS INC        COM            91359V107      147,571      38,330      X     28-5284      38330

UNIVERSAL HLTH SVCS INC        CL B           913903100      329,392       9,688      X     28-5284       9428                 260
                                                              70,958       2,087      X   X 28-5284       1487                 600
                                                           1,726,860      50,790      X     28-13605     50380                 410
                                                             252,654       7,431      X   X 28-13605      7431
                                                              13,600         400      X     28-13663       400
               COLUMN TOTAL                              363,506,960







                                                                                                                   FILE NO. 28-1235
 PAGE   250 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
UNUM GROUP                     COM            91529Y106       98,659       4,707      X     28-5284       1196                3511
                                                             155,670       7,427      X   X 28-5284       7134                 293
                                                             120,080       5,729      X     28-13605      2104                3625
                                                              18,382         877      X   X 28-13605       877
                                                               5,890         281      X     28-13663                           281

URANIUM ENERGY CORP            COM            916896103       15,884       5,797      X     28-5284       5797
                                                               1,096         400      X   X 28-13605       400

URBAN OUTFITTERS INC           COM            917047102       53,522       2,399      X     28-5284       2399
                                                             275,930      12,368      X   X 28-5284      12368
                                                             121,991       5,468      X     28-13605      4283                1185
                                                              76,970       3,450      X   X 28-13605      3450
                                                               2,454         110      X     28-13663                           110

URSTADT BIDDLE PPTYS INS       COM            917286106        7,750         500      X   X 28-13605       500

URSTADT BIDDLE PPTYS INS       CL A           917286205       11,179         700      X     28-5284        700
                                                              31,940       2,000      X   X 28-13605      2000

UTAH MED PRODS INC             COM            917488108        7,946         300      X     28-5284        300

VCA ANTECH INC                 COM            918194101       13,263         830      X     28-5284        830
                                                               4,187         262      X   X 28-5284        262

V F CORP                       COM            918204108    2,125,628      17,492      X     28-5284      16737                 755
                                                        2590,281,312  21,315,679      X   X 28-5284   21315422                 257
                                                             216,670       1,783      X     28-13605       721                1062
                                                             200,630       1,651      X   X 28-13605      1501                 150
                                                              13,367         110      X     28-13663        85                  25
                                                          42,180,200     347,105      X   X 28-13663    347105

VAIL RESORTS INC               COM            91879Q109       57,441       1,520      X     28-5284                           1520
                                                             295,140       7,810      X   X 28-5284                           7810

VALHI INC NEW                  COM            918905100       19,989         369      X     28-5284        369

VALEANT PHARMACEUTICALS INTL   COM            91911K102      159,802       4,305      X     28-5284       4305
                                                             520,311      14,017      X   X 28-5284      14017

VALE S A                       ADR            91912E105      254,585      11,166      X     28-5284      11166
                                                             238,716      10,470      X   X 28-5284      10470
                                                              59,394       2,605      X     28-13605      2605
               COLUMN TOTAL                            2,637,645,978







                                                                                                                   FILE NO. 28-1235
 PAGE   251 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VALE S A                       ADR REPSTG PFD 91912E204       27,237       1,297      X     28-5284       1297
                                                              50,400       2,400      X   X 28-5284                           2400

VALERO ENERGY CORP NEW         COM            91913Y100      131,412       7,391      X     28-5284       6285                1106
                                                             620,078      34,875      X   X 28-5284      34036                 839
                                                             173,284       9,746      X     28-13605      3317                6429
                                                              44,166       2,484      X   X 28-13605      2484
                                                                 373          21      X     28-13663                            21
                                                               2,347         132      X   X 28-13663                           132

VALLEY NATL BANCORP            COM            919794107      285,665      26,975      X     28-5284       8110               18865
                                                              10,293         972      X   X 28-5284                            972

VALMONT INDS INC               COM            920253101      217,686       2,793      X     28-5284       1003                1790
                                                              68,821         883      X   X 28-5284        883

VALSPAR CORP                   COM            920355104      416,591      13,348      X     28-5284      13348
                                                           1,219,281      39,067      X   X 28-5284      39067
                                                               4,213         135      X   X 28-13605       135

VALUECLICK INC                 COM            92046N102      137,473       8,835      X     28-13605      8835

VANCEINFO TECHNOLOGIES INC     ADR            921564100        2,019         300      X     28-5284        300

VANGUARD SPECIALIZED PORTFOL   DIV APP ETF    921908844      603,405      12,375      X     28-5284      12375
                                                           7,072,882     145,055      X   X 28-5284     145055
                                                             173,976       3,568      X     28-13605      3568
                                                                 731          15      X   X 28-13663        15

VANGUARD ADMIRAL FDS INC       MIDCP 400 IDX  921932885      392,347       7,428      X     28-5284       7428

VANGUARD BD INDEX FD INC       LONG TERM BOND 921937793       27,531         300      X     28-5284        300
                                                             247,779       2,700      X   X 28-5284       2700

VANGUARD BD INDEX FD INC       INTERMED TERM  921937819       33,738         385      X   X 28-5284        385

VANGUARD BD INDEX FD INC       SHORT TRM BOND 921937827      115,942       1,424      X     28-5284       1424
                                                           3,214,055      39,475      X   X 28-5284      38655                 820
               COLUMN TOTAL                               15,293,725







                                                                                                                   FILE NO. 28-1235
 PAGE   252 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VANGUARD BD INDEX FD INC       TOTAL BND MRKT 921937835   90,298,098   1,078,315      X     28-5284    1075340                2975
                                                          10,409,636     124,309      X   X 28-5284     117660                6649
                                                             468,442       5,594      X     28-13605      5594
                                                             258,338       3,085      X   X 28-13605      1250                1835
                                                              44,298         529      X     28-13663       529
                                                             435,448       5,200      X   X 28-13663      5200

VANGUARD TAX-MANAGED INTL FD   MSCI EAFE ETF  921943858   49,544,808   1,644,368      X     28-5284    1631908               12460
                                                          30,628,320   1,016,539      X   X 28-5284     896546              119993
                                                           1,631,931      54,163      X     28-13605     54163
                                                             276,684       9,183      X   X 28-13605      9183
                                                             757,770      25,150      X     28-13663     25150
                                                             237,093       7,869      X   X 28-13663      7869

VANGUARD WHITEHALL FDS INC     HIGH DIV YLD   921946406    2,979,965      73,725      X   X 28-5284      73725
                                                              15,360         380      X     28-13605       380
                                                              20,210         500      X   X 28-13663       500

VANGUARD WORLD FDS             CONSUM DIS ETF 92204A108    2,094,290      37,559      X     28-5284      36759                 800
                                                             604,048      10,833      X   X 28-5284      10833
                                                              96,465       1,730      X     28-13605      1730
                                                              13,940         250      X   X 28-13605       250
                                                              32,118         576      X   X 28-13663       576

VANGUARD WORLD FDS             CONSUM STP ETF 92204A207    2,219,970      29,122      X     28-5284      29122
                                                             292,723       3,840      X   X 28-5284       3840
                                                              29,958         393      X     28-13605       393
                                                              45,052         591      X   X 28-13605       591
                                                             110,838       1,454      X     28-13663      1454
                                                              32,017         420      X   X 28-13663       420

VANGUARD WORLD FDS             ENERGY ETF     92204A306    1,590,815      18,425      X     28-5284      18425
                                                             221,721       2,568      X   X 28-5284       2568
                                                             132,446       1,534      X     28-13605      1534
                                                             114,055       1,321      X   X 28-13605      1321
                                                              34,536         400      X     28-13663       400

VANGUARD WORLD FDS             FINANCIALS ETF 92204A405    1,583,725      63,560      X     28-5284      63260                 300
                                                             972,735      39,039      X   X 28-5284      38834                 205
                                                              17,442         700      X     28-13605       700
                                                              14,950         600      X   X 28-13605       600
                                                             119,627       4,801      X     28-13663      4801
               COLUMN TOTAL                              198,379,872







                                                                                                                   FILE NO. 28-1235
 PAGE   253 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VANGUARD WORLD FDS             HEALTH CAR ETF 92204A504    1,456,139      25,686      X     28-5284      25330                 356
                                                             386,002       6,809      X   X 28-5284       6809
                                                             396,830       7,000      X     28-13605      7000
                                                             341,557       6,025      X   X 28-13605                          6025
                                                              58,958       1,040      X     28-13663      1040

VANGUARD WORLD FDS             INDUSTRIAL ETF 92204A603    1,758,510      32,565      X     28-5284      31035                1530
                                                             489,132       9,058      X   X 28-5284       8858                 200
                                                              56,322       1,043      X   X 28-13605      1043
                                                              27,378         507      X   X 28-13663       507

VANGUARD WORLD FDS             INF TECH ETF   92204A702    3,533,537      62,254      X     28-5284      62254
                                                           4,780,611      84,225      X   X 28-5284      84225
                                                             129,526       2,282      X     28-13605      2282
                                                              18,050         318      X   X 28-13605       318
                                                              28,380         500      X     28-13663       500

VANGUARD WORLD FDS             MATERIALS ETF  92204A801    3,247,741      50,376      X     28-5284      48943                1433
                                                           1,490,095      23,113      X   X 28-5284      22513                 600
                                                             311,712       4,835      X     28-13605      4685                 150
                                                             246,985       3,831      X   X 28-13605      3831
                                                              58,023         900      X     28-13663       900
                                                               8,059         125      X   X 28-13663       125

VANGUARD WORLD FDS             UTILITIES ETF  92204A876      810,571      11,343      X     28-5284      11343
                                                             708,097       9,909      X   X 28-5284       9909
                                                              88,325       1,236      X     28-13663      1236

VANGUARD WORLD FDS             TELCOMM ETF    92204A884      133,617       2,202      X     28-5284       2202
                                                              30,037         495      X   X 28-5284        495

VANGUARD INTL EQUITY INDEX F   FTSE SMCAP ETF 922042718      150,624       1,920      X     28-5284       1920
                                                              23,535         300      X   X 28-5284        300
                                                              86,295       1,100      X     28-13605      1100

VANGUARD INTL EQUITY INDEX F   TT WRLD ST ETF 922042742       39,431         970      X   X 28-5284        970

VANGUARD INTL EQUITY INDEX F   ALLWRLD EX US  922042775  105,239,992   2,717,975      X     28-5284    2583909              134066
                                                          34,760,725     897,746      X   X 28-5284     862339               35407
                                                             761,196      19,659      X     28-13605     19659
                                                             641,010      16,555      X   X 28-13605     16555
                                                           1,018,452      26,303      X     28-13663     26303
                                                             330,785       8,543      X   X 28-13663      8543
               COLUMN TOTAL                              163,646,239







                                                                                                                   FILE NO. 28-1235
 PAGE   254 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VANGUARD INTL EQUITY INDEX F   MSCI EMR MKT E 922042858  158,202,313   4,415,359      X     28-5284    4362316               53043
                                                          68,634,407   1,915,557      X   X 28-5284    1856950               58607
                                                           7,010,749     195,667      X     28-13605    195465                 202
                                                           2,869,732      80,093      X   X 28-13605     78643                1450
                                                           1,915,436      53,459      X     28-13663     53459
                                                           1,067,985      29,807      X   X 28-13663     29807

VANGUARD INTL EQUITY INDEX F   MSCI PAC ETF   922042866    2,795,464      57,686      X     28-5284      57021                 665
                                                           1,455,351      30,032      X   X 28-5284      30032
                                                             153,715       3,172      X     28-13605      3172
                                                             217,488       4,488      X   X 28-13605      4488

VANGUARD INTL EQUITY INDEX F   MSCI EUROPE ET 922042874    1,143,481      28,123      X     28-5284      28123
                                                             243,960       6,000      X   X 28-5284       6000
                                                             195,981       4,820      X     28-13605      4820
                                                             167,641       4,123      X   X 28-13605      4123
                                                              49,483       1,217      X     28-13663      1217

VANGUARD NATURAL RESOURCES L   COM UNIT       92205F106       49,701       1,905      X     28-5284       1905
                                                              57,398       2,200      X   X 28-5284       2200
                                                               7,827         300      X   X 28-13605       300

VANGUARD SCOTTSDALE FDS        SHRT-TERM CORP 92206C409       17,853         230      X   X 28-5284        230

VANGUARD SCOTTSDALE FDS        INT-TERM CORP  92206C870      165,158       2,040      X   X 28-5284                           2040

VARIAN MED SYS INC             COM            92220P105    5,893,871     112,996      X     28-5284      83163               29833
                                                           5,368,099     102,916      X   X 28-5284      83393               19523
                                                             174,788       3,351      X     28-13605      1457                1894
                                                               2,608          50      X   X 28-13605                            50
                                                             159,818       3,064      X     28-13663       760                2304
                                                              20,864         400      X   X 28-13663       400

VARIAN SEMICONDUCTOR EQUIPMN   COM            922207105       32,104         525      X     28-5284        525
                                                              64,085       1,048      X   X 28-5284       1048

VASCO DATA SEC INTL INC        COM            92230Y104      198,610      38,867      X     28-5284                          38867
                                                               7,011       1,372      X   X 28-5284                           1372
                                                               8,840       1,730      X     28-13663                          1730
               COLUMN TOTAL                              258,351,821







                                                                                                                   FILE NO. 28-1235
 PAGE   255 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VECTREN CORP                   COM            92240G101      270,015       9,971      X     28-5284       9971
                                                             329,834      12,180      X   X 28-5284      12180
                                                             168,925       6,238      X     28-13605      6238
                                                              11,509         425      X   X 28-13605       425

VECTOR GROUP LTD               COM            92240M108       99,060       5,766      X     28-5284       5766
                                                              19,791       1,152      X     28-13605      1152

VEECO INSTRS INC DEL           COM            922417100      409,603      16,787      X     28-5284       1307               15480
                                                             169,019       6,927      X   X 28-5284        157                6770
                                                               1,074          44      X     28-13605        44
                                                              40,748       1,670      X     28-13663                          1670

VENOCO INC                     COM            92275P307        8,810       1,000      X   X 28-5284                           1000

VENTAS INC                     COM            92276F100    2,406,719      48,719      X     28-5284      48101                 618
                                                           1,126,962      22,813      X   X 28-5284      16552                6261
                                                           2,496,725      50,541      X     28-13605     47022                3519
                                                             844,197      17,089      X   X 28-13605     16664       400        25
                                                               9,880         200      X     28-13663       200
                                                              69,160       1,400      X   X 28-13663      1400

VANGUARD INDEX FDS             S&P 500 ETF SH 922908413      124,224       2,400      X     28-5284       2400
                                                              84,783       1,638      X   X 28-5284                           1638

VANGUARD INDEX FDS             MCAP VL IDXVIP 922908512    8,351,397     179,987      X     28-5284     178902                1085
                                                           9,092,498     195,959      X   X 28-5284     195959
                                                             683,982      14,741      X     28-13605     14741
                                                             243,693       5,252      X   X 28-13605      4413                 839
                                                               6,264         135      X     28-13663       135
                                                             343,360       7,400      X   X 28-13663      7400

VANGUARD INDEX FDS             MCAP GR IDXVIP 922908538   10,213,778     187,926      X     28-5284     186877                1049
                                                          21,515,208     395,864      X   X 28-5284     395864
                                                           1,827,356      33,622      X     28-13605     33622
                                                             422,897       7,781      X   X 28-13605      6549                1232
                                                             353,275       6,500      X   X 28-13663      6500
               COLUMN TOTAL                               61,744,746







                                                                                                                   FILE NO. 28-1235
 PAGE   256 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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             REIT ETF       922908553    9,668,200     190,057      X     28-5284     190057
                                                           1,026,658      20,182      X   X 28-5284      19682                 500
                                                             192,899       3,792      X     28-13605      3792
                                                             206,024       4,050      X   X 28-13605      4050
                                                             670,619      13,183      X     28-13663     13183
                                                             101,740       2,000      X   X 28-13663      2000

VANGUARD INDEX FDS             SML CP GRW ETF 922908595    4,462,771      66,748      X     28-5284      66482                 266
                                                           7,182,369     107,424      X   X 28-5284     105773                1651
                                                             361,913       5,413      X     28-13605      5413
                                                              14,241         213      X   X 28-13605       213
                                                             276,266       4,132      X     28-13663      4132
                                                             319,725       4,782      X   X 28-13663      4782

VANGUARD INDEX FDS             SM CP VAL ETF  922908611    3,611,977      64,987      X     28-5284      64721                 266
                                                           7,443,829     133,930      X   X 28-5284     133670                 260
                                                             349,543       6,289      X     28-13605      6289
                                                              36,238         652      X   X 28-13605       652
                                                              58,359       1,050      X     28-13663      1050
                                                             208,703       3,755      X   X 28-13663      3755

VANGUARD INDEX FDS             MID CAP ETF    922908629   27,030,757     415,219      X     28-5284     397455               17764
                                                           8,782,250     134,904      X   X 28-5284     133613                1291
                                                           3,856,068      59,233      X     28-13605     59233
                                                           1,573,988      24,178      X   X 28-13605     24178
                                                             332,531       5,108      X     28-13663      5108
                                                             847,081      13,012      X   X 28-13663     13012

VANGUARD INDEX FDS             LARGE CAP ETF  922908637   59,269,873   1,147,529      X     28-5284    1146529                1000
                                                          13,678,366     264,828      X   X 28-5284     262591                2237
                                                             553,998      10,726      X     28-13605     10726
                                                             170,910       3,309      X   X 28-13605      3309
                                                              51,650       1,000      X     28-13663      1000
                                                           1,309,018      25,344      X   X 28-13663     25344

VANGUARD INDEX FDS             EXTEND MKT ETF 922908652       73,391       1,592      X     28-5284       1592
                                                             844,322      18,315      X   X 28-5284      18315
                                                               6,454         140      X     28-13605       140
               COLUMN TOTAL                              154,572,731







                                                                                                                   FILE NO. 28-1235
 PAGE   257 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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             GROWTH ETF     922908736   24,680,113     441,189      X     28-5284     427649               13540
                                                          19,421,193     347,179      X   X 28-5284     345181                1998
                                                           3,167,547      56,624      X     28-13605     56624
                                                             159,877       2,858      X   X 28-13605      2858
                                                             598,055      10,691      X   X 28-13663     10691

VANGUARD INDEX FDS             VALUE ETF      922908744   38,225,584     812,446      X     28-5284     756954               55492
                                                          29,168,318     619,943      X   X 28-5284     618843                1100
                                                           2,768,234      58,836      X     28-13605     58836
                                                             503,341      10,698      X   X 28-13605     10698
                                                             341,113       7,250      X   X 28-13663      7250

VANGUARD INDEX FDS             SMALL CP ETF   922908751   36,408,857     593,268      X     28-5284     556338               36930
                                                          11,877,243     193,535      X   X 28-5284     192411                1124
                                                           1,861,045      30,325      X     28-13605     30325
                                                           1,387,023      22,601      X   X 28-13605     22601
                                                             366,808       5,977      X     28-13663      5977
                                                             964,614      15,718      X   X 28-13663     15718

VANGUARD INDEX FDS             TOTAL STK MKT  922908769   41,019,815     710,669      X     28-5284     710183                 486
                                                          26,040,609     451,154      X   X 28-5284     450154                1000
                                                           1,507,935      26,125      X     28-13605     26125
                                                             777,373      13,468      X   X 28-13605     13100                 368

VEOLIA ENVIRONNEMENT           SPONSORED ADR  92334N103      664,955      45,670      X     28-5284       2610               43060
                                                              71,053       4,880      X   X 28-5284        400                4480
                                                              16,453       1,130      X     28-13663                          1130

VERENIUM CORP                  COM NEW        92340P209          434         181      X     28-5284        181

VERIFONE SYS INC               COM            92342Y109        3,502         100      X     28-5284        100
                                                              41,464       1,184      X   X 28-5284        838                 346

VERISIGN INC                   COM            92343E102       18,968         663      X     28-5284        150                 513
                                                              83,341       2,913      X   X 28-5284       2749                 164
                                                              92,096       3,219      X     28-13605       827                2392
                                                               4,292         150      X   X 28-13605       150
                                                               1,402          49      X     28-13663                            49
               COLUMN TOTAL                              242,242,657







                                                                                                                   FILE NO. 28-1235
 PAGE   258 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VERIZON COMMUNICATIONS INC     COM            92343V104  106,161,008   2,884,810      X     28-5284    2852197               32613
                                                         105,629,248   2,870,360      X   X 28-5284    2772267      9198     88895
                                                          19,732,344     536,205      X     28-13605    452026               84179
                                                           9,995,358     271,613      X   X 28-13605    255218      1325     15070
                                                             443,550      12,053      X     28-13663     10966                1087
                                                             632,960      17,200      X   X 28-13663     17050                 150

VERISK ANALYTICS INC           CL A           92345Y106      309,801       8,910      X     28-5284       1095                7815
                                                             366,232      10,533      X   X 28-5284        948                9585
                                                              54,937       1,580      X     28-13605      1580

VERSAR INC                     COM            925297103       56,000      20,000      X   X 28-13605     20000

VERTEX PHARMACEUTICALS INC     COM            92532F100      173,483       3,902      X     28-5284       3902
                                                              80,695       1,815      X   X 28-5284       1815
                                                               1,512          34      X     28-13605        34
                                                               1,556          35      X   X 28-13605        35

VIAD CORP                      COM NEW        92552R406       14,518         855      X     28-5284        855
                                                               1,070          63      X   X 28-5284         63

VIASAT INC                     COM            92552V100       61,624       1,850      X     28-5284                           1850
                                                              13,324         400      X   X 28-5284        400
                                                              24,983         750      X     28-13605       750

VIACOM INC NEW                 CL A           92553P102       80,858       1,672      X     28-5284       1625                  47
                                                              81,728       1,690      X   X 28-5284       1537                 153

VIACOM INC NEW                 CL B           92553P201   24,202,118     624,732      X     28-5284     607698               17034
                                                           6,589,093     170,085      X   X 28-5284     153458      2000     14627
                                                          28,899,691     745,991      X     28-13605    674287               71704
                                                           5,296,455     136,718      X   X 28-13605    130976                5742
                                                             321,774       8,306      X     28-13663      6902                1404
                                                              62,449       1,612      X   X 28-13663      1500                 112

VICOR CORP                     COM            925815102        1,313         150      X     28-5284                            150

VILLAGE BK & TR FINANCIAL CO   COM            92705T101      128,396      73,369      X   X 28-5284                          73369

VIRGIN MEDIA INC               COM            92769L101      140,938       5,788      X   X 28-5284       5788

VIRGINIA COMM BANCORP INC      COM            92778Q109        5,870       1,000      X     28-13605      1000
               COLUMN TOTAL                              309,564,886







                                                                                                                   FILE NO. 28-1235
 PAGE   259 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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          452          25      X     28-5284         25

VISA INC                       COM CL A       92826C839    9,074,233     105,859      X     28-5284      82427               23432
                                                          11,131,513     129,859      X   X 28-5284      96882               32977
                                                           8,327,698      97,150      X     28-13605     73397               23753
                                                           1,323,174      15,436      X   X 28-13605     14051                1385
                                                             155,153       1,810      X     28-13663       400                1410
                                                             111,436       1,300      X   X 28-13663      1300

VIRTUS INVT PARTNERS INC       COM            92828Q109        2,681          50      X     28-5284         50
                                                                 429           8      X   X 28-5284          8
                                                           2,593,278      48,364      X     28-13605     39917                8447
                                                              11,528         215      X   X 28-13605       215

VISHAY INTERTECHNOLOGY INC     COM            928298108       24,244       2,900      X     28-5284       2900
                                                              36,466       4,362      X   X 28-5284       4362

VISHAY PRECISION GROUP INC     COM            92835K103          277          21      X     28-5284         21
                                                               1,911         145      X   X 28-5284        145

VISTEON CORP                   COM NEW        92839U206      119,540       2,780      X   X 28-5284       2780
                                                                 301           7      X     28-13605         7
                                                                 129           3      X   X 28-13605         3

VITAMIN SHOPPE INC             COM            92849E101       23,063         616      X     28-5284        616

VITESSE SEMICONDUCTOR CORP     COM NEW        928497304        1,033         350      X   X 28-5284        350

VITRAN CORP INC                COM            92850E107    1,169,848     296,164      X     28-5284     296164

VIVUS INC                      COM            928551100        1,614         200      X     28-5284        200

VMWARE INC                     CL A COM       928563402      595,053       7,403      X     28-5284       7403
                                                              60,767         756      X   X 28-5284        756
                                                              18,487         230      X     28-13605       230

VODAFONE GROUP PLC NEW         SPONS ADR NEW  92857W209   18,064,974     704,013      X     28-5284     542311              161702
                                                           8,828,066     344,040      X   X 28-5284     291149               52891
                                                          26,076,975   1,016,250      X     28-13605    943699               72551
                                                           7,151,853     278,716      X   X 28-13605    268646       585      9485
                                                             187,446       7,305      X     28-13663      3025                4280
                                                              59,660       2,325      X   X 28-13663      2325
               COLUMN TOTAL                               95,153,282







                                                                                                                   FILE NO. 28-1235
 PAGE   260 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VOLCANO CORPORATION            COM            928645100       30,519       1,030      X   X 28-5284       1030

VOLTERRA SEMICONDUCTOR CORP    COM            928708106        6,731         350      X   X 28-5284                            350

VORNADO RLTY TR                SH BEN INT     929042109      316,314       4,239      X     28-5284       3098                1141
                                                             221,398       2,967      X   X 28-5284       2894                  73
                                                             264,752       3,548      X     28-13605      1533                2015
                                                               4,328          58      X     28-13663                            58

VULCAN MATLS CO                COM            929160109       96,432       3,499      X     28-5284       3271                 228
                                                             145,765       5,289      X   X 28-5284       5289
                                                              52,144       1,892      X     28-13605       577                1315

W & T OFFSHORE INC             COM            92922P106       28,896       2,100      X   X 28-5284                           2100
                                                              66,186       4,810      X     28-13605      4810

WD-40 CO                       COM            929236107        3,984         100      X     28-5284                            100
                                                              43,824       1,100      X   X 28-5284       1100
                                                             203,582       5,110      X     28-13605      5110

WGL HLDGS INC                  COM            92924F106       97,831       2,504      X     28-5284       2504
                                                             328,188       8,400      X   X 28-5284        700                7700
                                                             419,026      10,725      X     28-13605     10725
                                                             142,371       3,644      X   X 28-13605      3644

WABCO HLDGS INC                COM            92927K102       62,658       1,655      X     28-5284       1655
                                                             147,919       3,907      X   X 28-5284        657                3250
                                                              11,358         300      X     28-13605       300

WMS INDS INC                   COM            929297109       18,153       1,032      X     28-5284       1032
                                                             792,535      45,056      X     28-13605     37584                7472
                                                               4,784         272      X   X 28-13605       272

W P CAREY & CO LLC             COM            92930Y107    1,340,114      36,786      X     28-5284      36786
                                                             524,592      14,400      X   X 28-5284      12400                2000
                                                              10,929         300      X     28-13605       300
                                                              89,071       2,445      X   X 28-13605      2445

WSFS FINL CORP                 COM            929328102       23,962         759      X     28-5284        759
                                                              47,355       1,500      X   X 28-5284       1500

WPP PLC                        ADR            92933H101       55,490       1,205      X     28-5284       1205
                                                             169,878       3,689      X   X 28-5284          9                3680
               COLUMN TOTAL                                5,771,069







                                                                                                                   FILE NO. 28-1235
 PAGE   261 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WABASH NATL CORP               COM            929566107       10,494       2,200      X   X 28-5284                           2200

WABTEC CORP                    COM            929740108    1,962,640      37,122      X     28-5284       1855               35267
                                                           3,132,125      59,242      X   X 28-5284       2205               57037
                                                             139,577       2,640      X   X 28-13605      2640
                                                          11,353,304     214,740      X     28-13663    214402                 338

WACOAL HOLDINGS CORP           ADR            930004205       80,136       1,272      X     28-5284                           1272
                                                             127,827       2,029      X   X 28-5284                           2029

WADDELL & REED FINL INC        CL A           930059100      112,620       4,503      X     28-5284       1983                2520
                                                              27,361       1,094      X   X 28-5284        594                 500
                                                             492,472      19,691      X   X 28-13605     19691

WAL MART STORES INC            COM            931142103   98,624,895   1,900,287      X     28-5284    1843937       250     56100
                                                          55,964,393   1,078,312      X   X 28-5284     972110      3100    103102
                                                          32,227,720     620,958      X     28-13605    593816               27142
                                                           9,980,059     192,294      X   X 28-13605    184201                8093
                                                             686,533      13,228      X     28-13663     10629                2599
                                                             632,090      12,179      X   X 28-13663     11635                 544

WALGREEN CO                    COM            931422109   12,398,149     376,958      X     28-5284     369077                7881
                                                           7,271,551     221,087      X   X 28-5284     143761               77326
                                                             909,244      27,645      X     28-13605     16660               10985
                                                             559,623      17,015      X   X 28-13605     16815                 200
                                                              45,684       1,389      X     28-13663      1160                 229
                                                              93,309       2,837      X   X 28-13663      2685                 152

WALTER ENERGY INC              COM            93317Q105       35,646         594      X     28-5284        594
                                                              12,422         207      X   X 28-5284        207

WARNACO GROUP INC              COM NEW        934390402      434,767       9,433      X     28-5284        695                8738
                                                             416,423       9,035      X   X 28-5284                           9035
                                                              22,584         490      X     28-13663                           490

WARREN RES INC                 COM            93564A100        6,202       2,606      X     28-5284       2606

WASHINGTON FED INC             COM            938824109      131,719      10,339      X     28-5284       1792                8547
                                                              44,399       3,485      X   X 28-5284        102                3383

WASHINGTON POST CO             CL B           939640108       57,874         177      X     28-5284        162                  15
                                                             236,072         722      X   X 28-5284        672                  50
                                                             124,576         381      X     28-13605        96                 285
               COLUMN TOTAL                              238,354,490







                                                                                                                   FILE NO. 28-1235
 PAGE   262 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)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 REAL ESTATE INVT    SH BEN INT     939653101      218,480       7,753      X     28-5284       7753
                                                             181,282       6,433      X   X 28-5284       5733                 700
                                                             169,390       6,011      X     28-13605      6011
                                                             119,906       4,255      X   X 28-13605      4255

WASHINGTON TR BANCORP          COM            940610108       13,846         700      X     28-5284        700
                                                             106,713       5,395      X   X 28-5284                           5395

WASTE CONNECTIONS INC          COM            941053100       50,493       1,493      X     28-5284        685                 808
                                                              33,347         986      X   X 28-5284        986

WASTE MGMT INC DEL             COM            94106L109   29,812,457     915,616      X     28-5284     880504               35112
                                                          11,077,693     340,224      X   X 28-5284     296878      1430     41916
                                                           2,247,259      69,019      X     28-13605     63109                5910
                                                             961,627      29,534      X   X 28-13605     25634                3900
                                                             189,369       5,816      X     28-13663      4116                1700
                                                             261,945       8,045      X   X 28-13663      7430                 615

WATERS CORP                    COM            941848103    1,098,983      14,558      X     28-5284       4044               10514
                                                             777,094      10,294      X   X 28-5284       5629                4665
                                                             112,329       1,488      X     28-13605       439                1049
                                                              11,701         155      X   X 28-13605       155
                                                              72,470         960      X     28-13663                           960
                                                              90,588       1,200      X   X 28-13663      1200

WATSCO INC                     COM            942622200       51,815       1,014      X     28-5284       1014
                                                             125,195       2,450      X   X 28-5284                           2450
                                                               1,278          25      X   X 28-13605        25

WATSON PHARMACEUTICALS INC     COM            942683103    2,961,641      43,394      X     28-5284      42806                 588
                                                             576,917       8,453      X   X 28-5284       3995                4458
                                                           3,935,568      57,664      X     28-13605     31567               26097
                                                             293,066       4,294      X   X 28-13605      4294
                                                              10,784         158      X     28-13663       158
                                                             103,467       1,516      X   X 28-13663      1500                  16

WATTS WATER TECHNOLOGIES INC   CL A           942749102       84,747       3,180      X     28-5284       3000                 180
                                                              47,970       1,800      X   X 28-5284       1800

WAVE SYSTEMS CORP              COM NEW        943526301       11,232       4,800      X     28-13605      4800
               COLUMN TOTAL                               55,810,652







                                                                                                                   FILE NO. 28-1235
 PAGE   263 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WEBSENSE INC                   COM            947684106      333,146      19,257      X     28-5284                          19257
                                                              40,793       2,358      X   X 28-5284                           2358
                                                              14,290         826      X     28-13663                           826

WEBMD HEALTH CORP              COM            94770V102        9,799         325      X     28-5284        325
                                                               1,538          51      X   X 28-5284         51

WEBSTER FINL CORP CONN         COM            947890109      111,690       7,300      X   X 28-5284       4500                2800

WEIGHT WATCHERS INTL INC NEW   COM            948626106        4,602          79      X     28-5284         79
                                                             167,003       2,867      X   X 28-5284       2867

WEINGARTEN RLTY INVS           SH BEN INT     948741103       20,112         950      X     28-5284        950
                                                             116,816       5,518      X   X 28-5284       2718                2800
                                                             198,998       9,400      X   X 28-13605      4900                4500

WEIS MKTS INC                  COM            948849104      479,705      12,944      X     28-5284      12944
                                                               9,265         250      X   X 28-5284        250
                                                              63,076       1,702      X     28-13605      1702

WELLPOINT INC                  COM            94973V107    1,645,839      25,212      X     28-5284      21144                4068
                                                           1,261,928      19,331      X   X 28-5284      15261                4070
                                                             622,641       9,538      X     28-13605      5166                4372
                                                              93,024       1,425      X   X 28-13605      1425
                                                              91,131       1,396      X     28-13663       100                1296
                                                              14,688         225      X   X 28-13663       150                  75

WELLS FARGO & CO NEW           COM            949746101   70,703,414   2,931,319      X     28-5284    2872210               59109
                                                          54,142,839   2,244,728      X   X 28-5284    2147578      4400     92750
                                                          41,866,628   1,735,764      X     28-13605   1487451              248313
                                                          10,873,031     450,789      X   X 28-13605    433987      1600     15202
                                                             431,169      17,876      X     28-13663     16273                1603
                                                             735,346      30,487      X   X 28-13663     30005                 482

WELLS FARGO & CO NEW           PERP PFD CNV A 949746804      149,640         145      X     28-5284        145
                                                             292,056         283      X   X 28-5284        283

WELLS FARGO ADVANTAGE INCOME   COM SHS        94987B105       16,567       1,770      X     28-5284       1770
                                                               5,916         632      X   X 28-5284        632

WELLS FARGO ADV GLB DIV OPP    COM            94987C103        3,040         381      X   X 28-5284        381

WELLS FARGO ADVANTAGE UTILS    COM            94987E109        4,668         455      X     28-5284        455
               COLUMN TOTAL                              184,524,398







                                                                                                                   FILE NO. 28-1235
 PAGE   264 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WENDYS CO                      COM            95058W100       54,933      11,968      X     28-5284      11968
                                                              40,667       8,860      X   X 28-5284       2360                6500
                                                              91,304      19,892      X     28-13605     19892

WERNER ENTERPRISES INC         COM            950755108       18,122         870      X   X 28-5284        870

WESBANCO INC                   COM            950810101      311,165      17,976      X     28-5284      17976
                                                              51,930       3,000      X   X 28-5284       3000

WESCO INTL INC                 COM            95082P105      114,171       3,403      X     28-5284                           3403
                                                               9,763         291      X   X 28-5284        291

WEST PHARMACEUTICAL SVSC INC   SDCV  4.000% 3 955306AA3    1,730,000      20,000      X     28-13605     20000

WEST PHARMACEUTICAL SVSC INC   COM            955306105      282,925       7,626      X     28-5284       4900                2726
                                                              24,857         670      X   X 28-5284                            670
                                                             270,867       7,301      X     28-13605      7301

WESTAR ENERGY INC              COM            95709T100       26,579       1,006      X     28-5284       1006
                                                              60,634       2,295      X   X 28-5284       2295
                                                              16,513         625      X   X 28-13605       625
                                                              36,090       1,366      X   X 28-13663      1366

WESTELL TECHNOLOGIES INC       CL A           957541105          378         175      X   X 28-5284        175

WESTERN ASSET GLB HI INCOME    COM            95766B109        2,324         200      X   X 28-13605       200

WESTERN ASSET HIGH INCM FD I   COM            95766J102       72,198       7,640      X     28-5284       7640

WESTERN ASSET HIGH INCM OPP    COM            95766K109       68,429      11,839      X     28-5284      11839
                                                              61,846      10,700      X   X 28-5284      10700

WESTERN ASSET MGD HI INCM FD   COM            95766L107       95,744      16,886      X     28-5284      16886

WESTERN ASSET MUN HI INCM FD   COM            95766N103       14,920       2,000      X   X 28-5284       2000

WESTERN ASST MN PRT FD INC     COM            95766P108      149,000      10,000      X   X 28-5284      10000

WESTERN ASSET CLYM INFL SEC    COM SH BEN INT 95766Q106        6,330         500      X   X 28-5284        500
                                                              28,738       2,270      X     28-13605      2270

WESTERN ASSET CLYM INFL OPP    COM            95766R104        6,315         500      X   X 28-5284        500
               COLUMN TOTAL                                3,646,742







                                                                                                                   FILE NO. 28-1235
 PAGE   265 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WESTERN ASSET PREMIER BD FD    SHS BEN INT    957664105       70,999       4,671      X     28-13605      4671

WESTERN DIGITAL CORP           COM            958102105      119,109       4,631      X     28-5284       4604                  27
                                                              59,027       2,295      X   X 28-5284       2071                 224
                                                             126,054       4,901      X     28-13605      2124                2777
                                                              41,769       1,624      X   X 28-13605      1624
                                                               2,469          96      X     28-13663                            96

WESTERN GAS PARTNERS LP        COM UNIT LP IN 958254104    1,733,921      51,345      X     28-5284      51345
                                                             542,110      16,053      X   X 28-5284      11788                4265
                                                              60,786       1,800      X   X 28-13605      1800

WESTERN REFNG INC              COM            959319104       21,182       1,700      X   X 28-5284                           1700
                                                             112,701       9,045      X     28-13605      9045

WESTERN UN CO                  COM            959802109      977,306      63,918      X     28-5284      58423                5495
                                                           2,175,859     142,306      X   X 28-5284     129089               13217
                                                           1,029,048      67,302      X     28-13605     59776                7526
                                                             119,354       7,806      X   X 28-13605      7806
                                                               7,981         522      X     28-13663                           522
                                                               3,868         253      X   X 28-13663                           253

WESTLAKE CHEM CORP             COM            960413102        2,057          60      X   X 28-5284         60
                                                              54,368       1,586      X     28-13605      1586

WESTPORT INNOVATIONS INC       COM NEW        960908309        8,679         300      X     28-5284        300
                                                              15,912         550      X   X 28-5284        200                 350

WESTPAC BKG CORP               SPONSORED ADR  961214301       67,914         707      X     28-5284        707
                                                               4,803          50      X   X 28-5284         50

WEYERHAEUSER CO                COM            962166104      213,346      13,720      X     28-5284      12091                1629
                                                             748,670      48,146      X   X 28-5284      37507               10639
                                                             155,313       9,988      X     28-13605      4072                5916
                                                             110,218       7,088      X   X 28-13605      7088
                                                               2,846         183      X     28-13663                           183

WHIRLPOOL CORP                 COM            963320106    6,176,812     123,759      X     28-5284     122870                 889
                                                             976,539      19,566      X   X 28-5284      17626                1940
                                                           1,168,193      23,406      X     28-13605     22353                1053
                                                             375,822       7,530      X   X 28-13605      7317       200        13
                                                              12,328         247      X     28-13663       147                 100
               COLUMN TOTAL                               17,297,363







                                                                                                                   FILE NO. 28-1235
 PAGE   266 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WHITESTONE REIT                CL B SBI       966084204       17,267       1,550      X     28-5284       1550

WHITING PETE CORP NEW          COM            966387102      302,179       8,614      X     28-5284       1676                6938
                                                             287,866       8,206      X   X 28-5284       1018                7188
                                                              13,681         390      X     28-13663                           390

WHITING USA TR I               TR UNIT        966389108        3,326         200      X     28-5284        200

WHOLE FOODS MKT INC            COM            966837106   14,611,023     223,718      X     28-5284     218613                5105
                                                           2,671,244      40,901      X   X 28-5284      39222       250      1429
                                                          24,023,826     367,843      X     28-13605    359473                8370
                                                           4,710,027      72,118      X   X 28-13605     68571                3547
                                                             122,587       1,877      X     28-13663      1835                  42
                                                               6,531         100      X   X 28-13663       100

WILEY JOHN & SONS INC          CL A           968223206      472,318      10,633      X     28-5284       7417                3216
                                                              33,093         745      X   X 28-5284        745
                                                               4,575         103      X   X 28-13605       103
                                                              53,304       1,200      X   X 28-13663      1200

WILEY JOHN & SONS INC          CL B           968223305      107,784       2,400      X     28-5284       2400

WILLIAMS COS INC DEL           COM            969457100    2,913,668     119,707      X     28-5284     105840               13867
                                                           1,523,246      62,582      X   X 28-5284      56215                6367
                                                             472,902      19,429      X     28-13605     12225                7204
                                                              36,510       1,500      X   X 28-13605      1500
                                                               3,213         132      X     28-13663                           132

WILLIAMS CTLS INC              COM NEW        969465608        6,001         550      X   X 28-5284        550

WILLIAMS CLAYTON ENERGY INC    COM            969490101        8,562         200      X   X 28-5284        200
                                                              42,810       1,000      X   X 28-13605      1000

WILLIAMS PARTNERS L P          COM UNIT L P   96950F104    1,875,456      34,577      X     28-5284      34577
                                                           1,320,147      24,339      X   X 28-5284      21629                2710
                                                             142,922       2,635      X     28-13605      2635
                                                             257,640       4,750      X   X 28-13605      4450                 300

WILLIAMS SONOMA INC            COM            969904101       64,597       2,098      X   X 28-5284       2098
                                                              96,311       3,128      X     28-13605      3128

WILLIS LEASE FINANCE CORP      COM            970646105        2,258         200      X   X 28-5284        200
               COLUMN TOTAL                               56,206,874







                                                                                                                   FILE NO. 28-1235
 PAGE   267 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WINDSTREAM CORP                COM            97381W104    3,865,889     331,836      X     28-5284     330774                1062
                                                           1,551,792     133,201      X   X 28-5284     119719               13482
                                                             116,931      10,037      X     28-13605      2877                7160
                                                              36,115       3,100      X   X 28-13605      3100
                                                               2,225         191      X     28-13663                           191
                                                               4,660         400      X   X 28-13663       400

WINNEBAGO INDS INC             COM            974637100      133,120      19,237      X     28-5284        400               18837
                                                               4,505         651      X   X 28-5284                            651
                                                               5,709         825      X     28-13663                           825

WINTHROP RLTY TR               SH BEN INT NEW 976391300        7,169         825      X     28-5284        825

WISCONSIN ENERGY CORP          COM            976657106   49,861,929   1,593,542      X     28-5284    1575583               17959
                                                          13,016,546     415,997      X   X 28-5284     400082               15915
                                                          38,833,894   1,241,096      X     28-13605   1105961              135135
                                                           8,435,283     269,584      X   X 28-13605    258268       800     10516
                                                             213,022       6,808      X     28-13663      6780                  28
                                                             119,841       3,830      X   X 28-13663      3830

WISDOMTREE INVTS INC           COM            97717P104      140,400      20,000      X   X 28-5284      20000

WISDOMTREE TRUST               TOTAL DIVID FD 97717W109      475,179      10,834      X   X 28-5284      10834

WISDOMTREE TRUST               FUTRE STRAT FD 97717W125        9,050         190      X     28-5284        190

WISDOMTREE TRUST               DRYFS CURR ETF 97717W133       10,340         500      X     28-5284        500

WISDOMTREE TRUST               CHINESE YUAN E 97717W182       29,906       1,183      X   X 28-5284                           1183

WISDOMTREE TRUST               BRAZILN RL ETF 97717W240       16,947         694      X   X 28-5284                            694

WISDOMTREE TRUST               EMG MKTS SMCAP 97717W281       12,371         320      X     28-5284        320
                                                             190,362       4,924      X   X 28-5284       4644                 280

WISDOMTREE TRUST               LARGECAP DIVID 97717W307   50,725,595   1,153,641      X     28-5284    1125377               28264
                                                          10,564,056     240,256      X   X 28-5284     230410                9846
                                                           1,230,105      27,976      X     28-13605     27976
                                                             152,620       3,471      X   X 28-13605      3471
                                                           1,071,109      24,360      X     28-13663     24360
                                                             260,390       5,922      X   X 28-13663      5922
               COLUMN TOTAL                              181,097,060







                                                                                                                   FILE NO. 28-1235
 PAGE   268 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WISDOMTREE TRUST               EMERG MKTS ETF 97717W315       52,274       1,104      X     28-5284       1104
                                                             103,034       2,176      X   X 28-5284       2176

WISDOMTREE TRUST               DIV EX-FINL FD 97717W406      440,954       9,400      X     28-5284       9400
                                                              10,086         215      X   X 28-5284        215

WISDOMTREE TRUST               INDIA ERNGS FD 97717W422       19,058       1,050      X     28-5284       1050
                                                             408,811      22,524      X   X 28-5284      22524
                                                              23,704       1,306      X   X 28-13605      1306

WISDOMTREE TRUST               SMALLCAP DIVID 97717W604      170,199       4,320      X   X 28-13663      4320

WISDOMTREE TRUST               DEFA FD        97717W703      107,062       2,690      X     28-5284       2690
                                                             394,020       9,900      X   X 28-5284       9900
                                                             420,089      10,555      X   X 28-13663     10555

WISDOMTREE TRUST               INTL SMCAP DIV 97717W760       26,310         604      X   X 28-5284        604

WISDOMTREE TR                  ASIA LC DBT FD 97717X842        4,744          96      X   X 28-5284         96

WISDOMTREE TR                  EM LCL DEBT FD 97717X867       11,258         234      X   X 28-5284        234

WOLVERINE WORLD WIDE INC       COM            978097103    7,615,647     229,042      X     28-5284     223730                5312
                                                              16,625         500      X   X 28-5284        500
                                                             120,265       3,617      X     28-13605      3617

WOODWARD INC                   COM            980745103        2,740         100      X     28-5284        100
                                                              24,660         900      X   X 28-5284                            900
                                                              82,200       3,000      X   X 28-13605                          3000

WOORI FIN HLDGS CO LTD         ADR            981063100        1,394          55      X     28-5284         55

WORLD ACCEP CORP DEL           COM            981419104    1,803,492      32,234      X     28-13605     27387                4847
                                                               6,714         120      X   X 28-13605       120

WORLD FUEL SVCS CORP           COM            981475106       84,988       2,603      X     28-5284       2603
                                                              81,625       2,500      X   X 28-5284       2500
                                                           2,789,714      85,443      X     28-13605     72753               12690
                                                              10,742         329      X   X 28-13605       329

WORLD WRESTLING ENTMT INC      CL A           98156Q108       28,993       3,254      X     28-5284       3254
                                                               8,108         910      X   X 28-5284        910
               COLUMN TOTAL                               14,869,510







                                                                                                                   FILE NO. 28-1235
 PAGE   269 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WORTHINGTON INDS INC           COM            981811102       60,490       4,330      X     28-5284       4330
                                                              75,438       5,400      X   X 28-5284       4100                1300
                                                              81,222       5,814      X     28-13605      5814
                                                             345,758      24,750      X   X 28-13605     24750

WRIGHT EXPRESS CORP            COM            98233Q105      613,205      16,120      X   X 28-5284                          16120
                                                           1,559,374      40,993      X     28-13605     34011                6982
                                                               6,961         183      X   X 28-13605       183

WYNDHAM WORLDWIDE CORP         COM            98310W108    1,178,575      41,339      X     28-5284      38874                2465
                                                             515,860      18,094      X   X 28-5284      16013                2081
                                                           7,807,521     273,852      X     28-13605    200636               73216
                                                             791,808      27,773      X   X 28-13605     27773
                                                              25,516         895      X     28-13663       600                 295
                                                              37,662       1,321      X   X 28-13663      1200                 121

WYNN RESORTS LTD               COM            983134107      536,963       4,666      X     28-5284        507                4159
                                                           1,382,801      12,016      X   X 28-5284      10711                1305
                                                             152,941       1,329      X     28-13605       379                 950
                                                              16,687         145      X     28-13663                           145

XO GROUP INC                   COM            983772104       24,510       3,000      X   X 28-5284                           3000

XCEL ENERGY INC                COM            98389B100      809,264      32,777      X     28-5284      29951                2826
                                                           1,644,823      66,619      X   X 28-5284      65178                1441
                                                           1,248,796      50,579      X     28-13605     44646                5933
                                                           1,709,116      69,223      X   X 28-13605     69223
                                                              10,444         423      X     28-13663                           423

XILINX INC                     COM            983919101      137,282       5,003      X     28-5284        643                4360
                                                             129,517       4,720      X   X 28-5284       4406                 314
                                                             116,318       4,239      X     28-13605      1242                2997
                                                               8,287         302      X   X 28-13605       302
                                                               1,674          61      X     28-13663                            61
                                                               3,650         133      X   X 28-13663                           133

XEROX CORP                     COM            984121103      142,160      20,396      X     28-5284      17758                2638
                                                             170,925      24,523      X   X 28-5284      24523
                                                             159,258      22,849      X     28-13605      7041               15808
                                                             685,402      98,336      X   X 28-13605     98336
                                                               1,673         240      X     28-13663                           240

YPF SOCIEDAD ANONIMA           SPON ADR CL D  984245100        3,421         100      X   X 28-5284        100
               COLUMN TOTAL                               22,195,302







                                                                                                                   FILE NO. 28-1235
 PAGE   270 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
YRC WORLDWIDE INC              COM NEW        984249300          490      10,000      X     28-5284      10000

YAHOO INC                      COM            984332106      345,001      26,196      X     28-5284      18432                7764
                                                             156,512      11,884      X   X 28-5284      11604                 280
                                                             281,298      21,359      X     28-13605      6580               14779
                                                              99,104       7,525      X   X 28-13605      7425                 100
                                                                 606          46      X     28-13663                            46
                                                               3,925         298      X   X 28-13663                           298

YAMANA GOLD INC                COM            98462Y100      297,009      21,743      X     28-5284      21743
                                                             208,165      15,239      X   X 28-5284      14835                 404

YANZHOU COAL MNG CO LTD        SPON ADR H SHS 984846105       67,731       3,210      X     28-5284       3210

YORK WTR CO                    COM            987184108       11,326         700      X     28-5284        700
                                                               4,854         300      X   X 28-5284        300

YOUKU COM INC                  SPONSORED ADR  98742U100       24,278       1,484      X     28-5284       1484
                                                                 196          12      X   X 28-5284         12
                                                                 327          20      X     28-13605        20

YUM BRANDS INC                 COM            988498101   11,923,981     241,425      X     28-5284     235860                5565
                                                          10,994,214     222,600      X   X 28-5284     209313      2858     10429
                                                           1,187,533      24,044      X     28-13605     18321                5723
                                                             848,965      17,189      X   X 28-13605     15195                1994
                                                             121,252       2,455      X     28-13663      2300                 155
                                                              88,161       1,785      X   X 28-13663      1785

ZAGG INC                       COM            98884U108        4,960         500      X   X 28-5284        500

ZALE CORP NEW                  COM            988858106          884         310      X     28-5284                            310

ZEBRA TECHNOLOGIES CORP        CL A           989207105       51,484       1,664      X     28-5284       1664
                                                              21,689         701      X   X 28-5284        701

ZEP INC                        COM            98944B108       70,354       4,684      X     28-5284       4684
                                                              15,020       1,000      X   X 28-5284       1000
               COLUMN TOTAL                               26,829,319







                                                                                                                   FILE NO. 28-1235
 PAGE   271 OF   271             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ZIMMER HLDGS INC               COM            98956P102    8,293,892     155,084      X     28-5284     136489               18595
                                                           8,828,692     165,084      X   X 28-5284     162167      1000      1917
                                                             719,466      13,453      X     28-13605     11278                2175
                                                             762,304      14,254      X   X 28-13605     13454                 800
                                                              68,508       1,281      X     28-13663      1250                  31
                                                             317,190       5,931      X   X 28-13663      5931

ZION OIL & GAS INC             *W EXP 12/31/2 989696125           66         110      X     28-5284        110

ZIONS BANCORPORATION           COM            989701107      130,916       9,298      X     28-5284       7400                1898
                                                              43,183       3,067      X   X 28-5284       2540                 527
                                                              41,987       2,982      X     28-13605       861                2121

ZIOPHARM ONCOLOGY INC          COM            98973P101        4,410       1,000      X     28-5284       1000
                                                             197,568      44,800      X   X 28-5284      44800

ZOLTEK COS INC                 COM            98975W104       70,730      11,000      X     28-5284      11000

ZWEIG TOTAL RETURN FD INC      COM            989837109        9,090       3,000      X   X 28-5284       3000

ZOLL MED CORP                  COM            989922109       26,418         700      X     28-5284        700
                                                              18,870         500      X   X 28-5284        500
               COLUMN TOTAL                               19,533,290
                GRAND TOTAL                           35,134,133,336







 PAGE     1 OF     1             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/11

         ENTITY TOTALS                                  FAIR MARKET                         ENTITY                    UNITS
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                          
                                                         25,212,532,741                     28-5284                517,360,744
                                                          4,560,757,359                     28-13605               111,905,477
                                                             21,148,997                     28-11439                   662,495
                                                            426,536,218                     28-13663                 7,664,441
                                                          4,912,074,475                     28-4750                 33,187,450
                                                              1,083,546                                                148,435
      GRAND TOTALS                                       35,134,133,336                                            670,929,042
  NUMBER OF ISSUES                                                3,187