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, 2005

Check here if Amendment [ ]; Amendment Number:

This Amendment (Check only one.):    [ ] is a restatement.
                                     [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    The PNC Financial Services Group, Inc.
Address: 249 Fifth Avenue
         Pittsburgh, PA 15222-2707

Form 13F File Number: 28-1235

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

Person Signing the Report on behalf of Reporting Manager:

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

   /s/ Joan L. Gulley              Pittsburgh, PA           November 4, 2005
 -------------------------    ------------------------    --------------------
       [Signature]                  [City, State]                [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager:
        Form 13F File Number            Name
        28-5703                         BlackRock, Inc.




Page 2

                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                        5
Form 13F Information Table Entry Total:               2,863
Form 13F Information Table Value Total:         $23,762,352
                                                (thousands)

List of Other Included Managers:

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

No.              Form 13F File Number        Name

  1              28-1500                     J.J. B. Hilliard, W. L. Lyons, Inc.
  2              28-4750                     PNC Bancorp, Inc.
  3              28-4580                     PNC Bank, Delaware
  4              28-5284                     PNC Bank, National Association
  5              28-11439                    PNC Equity Securities, LLC






                                                                                                                  FILE NO. 28-1235
PAGE 1 OF 201                  FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                 
DAIMLERCHRYSLER AG           ORD            D1668R123        368,547      6,938      X         28-5284      6296               642
                                                             365,891      6,888      X      X  28-5284      5957       311     620
                                                              79,680      1,500      X         28-4580      1500
                                                              82,336      1,550      X      X  28-4580      1550

DEUTSCHE BANK AG NAMEN       ORD            D18190898         25,531        273      X         28-5284       273
                                                               9,352        100      X      X  28-5284                         100

ACE LTD                      ORD            G0070K103        389,457      8,274      X         28-5284      8274
                                                             512,357     10,885      X      X  28-5284     10735               150
                                                             164,745      3,500      X      X  28-1500      3500
                                                               7,061        150      X         28-4580       150

APEX SILVER MINES LTD        ORD            G04074103          6,944        442      X      X  28-4580       141               301

ARLINGTON TANKERS LTD        COM            G04899103          9,372        400      X         28-5284       400
                                                               7,029        300      X      X  28-5284       300
                                                               5,693        243      X      X  28-4580        51               192

ASSURED GUARANTY LTD         COM            G0585R106        323,055     13,500      X         28-5284     13500

ACCENTURE LTD BERMUDA        CL A           G1150G111         15,021        590      X         28-5284       590
                                                              58,558      2,300      X      X  28-5284      2300

BUNGE LIMITED                COM            G16962105        119,711      2,275      X         28-5284      2275
                                                              61,565      1,170      X      X  28-5284       370               800

CDC CORP                     SHS A          G2022L106            728        200      X         28-5284       200

CHINA YUCHAI INTL LTD        COM            G21082105          2,058        200      X      X  28-1500       200

COOPER INDS LTD              CL A           G24182100        148,582      2,149      X         28-5284      2149
                                                             346,599      5,013      X      X  28-5284      4853               160
                                                              69,140      1,000      X      X  28-4580      1000

ENDURANCE SPECIALTY HLDGS LT SHS            G30397106         18,761        550      X         28-5284       550

ASA BERMUDA LIMITED          COM            G3156P103      2,345,302     50,124      X      X  28-5284     50124

EVEREST RE GROUP LTD         COM            G3223R108          4,895         50      X         28-5284        50
                                                              97,900      1,000      X      X  28-5284      1000

FOSTER WHEELER LTD           SHS NEW        G36535139         98,848      3,200      X      X  28-5284      3200
               COLUMN TOTAL                                5,744,718







                                                                                                                  FILE NO. 28-1235
PAGE 2 OF 201                  FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
FRONTLINE LTD                SHS            G3682E127         79,416      1,800      X         28-5284      1800
                                                              33,222        753      X      X  28-5284       753
                                                               4,544        103      X      X  28-4580        23                80

GARMIN LTD                   ORD            G37260109         94,962      1,400      X      X  28-5284      1400
                                                               3,256         48      X      X  28-4580        48

GLOBALSANTAFE CORP           SHS            G3930E101      3,788,057     83,035      X         28-5284     80428              2607
                                                             960,529     21,055      X      X  28-5284     18355       900    1800
                                                              30,794        675      X         28-4580       675

GLOBAL SOURCES LTD           ORD            G39300101         54,777      6,830      X         28-5284      6830

HELEN OF TROY CORP LTD       COM            G4388N106          7,224        350      X         28-5284       150               200

INGERSOLL-RAND COMPANY LTD   CL A           G4776G101     59,433,505  1,554,630      X         28-5284   1527230             27400
                                                          22,335,839    584,249      X      X  28-5284    549039      9160   26050
                                                              22,938        600      X      X  28-1500       600
                                                             955,062     24,982      X         28-4580     24796               186
                                                             766,282     20,044      X      X  28-4580     18772              1272

IPC HLDGS LTD                ORD            G4933P101         65,300      2,000      X         28-5284      2000

KNIGHTSBRIDGE TANKERS LTD    ORD            G5299G106         36,780      1,000      X         28-5284      1000
                                                              14,712        400      X      X  28-5284       400

MARVELL TECHNOLOGY GROUP LTD ORD            G5876H105            922         20      X      X  28-5284        20
                                                               4,703        102      X      X  28-4580       102

MONTPELIER RE HOLDINGS LTD   SHS            G62185106         12,301        495      X         28-5284       495
                                                             449,785     18,100      X      X  28-5284     18100
                                                              99,400      4,000      X      X  28-1500      4000

NABORS INDUSTRIES LTD        SHS            G6359F103        325,103      4,526      X         28-5284      4526
                                                           1,029,108     14,327      X      X  28-5284     12874       153    1300
                                                              14,366        200      X      X  28-1500       200
                                                              11,852        165      X      X  28-4580        76                89

NOBLE CORPORATION            SHS            G65422100        137,399      2,007      X         28-5284      1947                60
                                                              49,634        725      X      X  28-5284       615               110
                                                              11,981        175      X      X  28-1500       175
               COLUMN TOTAL                               90,833,753







                                                                                                                  FILE NO. 28-1235
PAGE 3 OF 201                  FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
NORDIC AMERICAN TANKER SHIPP COM            G65773106          7,554        200      X         28-5284       200
                                                              35,882        950      X      X  28-5284       950
                                                               3,739         99      X      X  28-4580        24                75

ORIENT-EXPRESS HOTELS LTD    CL A           G67743107          2,927        103      X         28-5284       103

PARTNERRE LTD                COM            G6852T105          3,203         50      X         28-5284        50

PEAK INTL LTD                ORD            G69586108          3,978      1,300      X         28-5284      1300

PLATINUM UNDERWRITER HLDGS L COM            G7127P100          2,242         75      X         28-5284        75

PRIMUS GUARANTY LTD          SHS            G72457107          2,176        200      X         28-5284       200

PXRE GROUP LTD               COM            G73018106        165,383     12,287      X      X  28-5284     12287

SEAGATE TECHNOLOGY           SHS            G7945J104          2,473        156      X      X  28-4580       156

SHIP FINANCE INTERNATIONAL L SHS            G81075106         27,160      1,358      X         28-5284      1358

STEWART W P & CO LTD         COM            G84922106        225,722     10,113      X         28-5284     10113

UTI WORLDWIDE INC            ORD            G87210103         38,850        500      X      X  28-1500       500

TRANSOCEAN INC               ORD            G90078109     17,145,893    279,659      X         28-5284    274382              5277
                                                           4,429,034     72,240      X      X  28-5284     63775      3659    4806
                                                             653,626     10,661      X         28-4580     10184               477
                                                              99,261      1,619      X      X  28-4580      1468               151

WEATHERFORD INTERNATIONAL LT COM            G95089101         36,870        537      X         28-5284       537
                                                              50,946        742      X      X  28-5284       742

WHITE MTNS INS GROUP LTD     COM            G9618E107         24,160         40      X         28-5284        40

WILLIS GROUP HOLDINGS LTD    SHS            G96655108      1,732,557     46,140      X         28-5284      1540             44600
                                                           1,164,989     31,025      X      X  28-5284      3125             27900

XOMA LTD                     ORD            G9825R107         11,440      6,500      X         28-5284      6500
                                                                 176        100      X      X  28-1500       100

XL CAP LTD                   CL A           G98255105        153,612      2,258      X         28-5284      1858               400
                                                             530,634      7,800      X      X  28-5284      2800              5000
               COLUMN TOTAL                               26,554,487







                                                                                                                  FILE NO. 28-1235
PAGE 4 OF 201                  FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
ALCON INC                    COM SHS        H01301102     10,661,739     83,373      X         28-5284     81098              2275
                                                           3,071,166     24,016      X      X  28-5284     22046      1380     590
                                                             250,901      1,962      X         28-4580      1962
                                                              56,395        441      X      X  28-4580       441

UBS AG                       NAMEN AKT      H8920M855        650,228      7,605      X         28-5284      7605
                                                              76,950        900      X      X  28-5284       650               250

ALVARION LTD                 SHS            M0861T100        179,300     22,000      X      X  28-5284     22000
                                                              48,688      5,974      X         28-1500      5974

CHECK POINT SOFTWARE TECH LT ORD            M22465104        841,107     34,585      X         28-5284     34585
                                                             697,376     28,675      X      X  28-5284     28395               280
                                                               9,242        380      X         28-4580       380
                                                              95,261      3,917      X      X  28-4580      3917

CLICKSOFTWARE TECHNOLOGIES L ORD            M25082104            815        500      X         28-5284       500

WILLI G FOOD INTL LTD        ORD            M52523103         35,200     10,000      X         28-11439    10000

LIPMAN ELECTRONIC ENGINEERIN ORD            M6772H101          4,580        218      X         28-5284       218

RADWARE LTD                  ORD            M81873107          5,467        287      X         28-5284       287

SYNERON MEDICAL LTD          ORD SHS        M87245102          3,283         90      X         28-5284        90

CNH GLOBAL N V               SHS NEW        N20935206          1,970        100      X         28-5284       100

CORE LABORATORIES N V        COM            N22717107         12,420        385      X         28-5284       385

KERZNER INTERNATIONAL LTD    SHS            P6065Y107         33,330        600      X         28-5284       600

SINOVAC BIOTECH LTD          SHS            P8696W104          9,540      2,000      X         28-5284      2000

STEINER LEISURE LTD          ORD            P8744Y102         27,516        810      X         28-5284       810
                                                             509,550     15,000      X      X  28-5284     15000

ROYAL CARIBBEAN CRUISES LTD  COM            V7780T103         17,280        400      X      X  28-5284       400

EAGLE BULK SHIPPING INC      COM            Y2187A101        171,500     10,000      X      X  28-5284               10000
               COLUMN TOTAL                               17,470,804







                                                                                                                  FILE NO. 28-1235
PAGE 5 OF 201                  FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.      AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
FLEXTRONICS INTL LTD         ORD            Y2573F102     10,099,458    785,950      X         28-5284    781550              4400
                                                           3,520,090    273,937      X      X  28-5284    270987       250    2700
                                                             541,371     42,130      X         28-1500     24090     18040
                                                              88,986      6,925      X         28-4580      6925
                                                              35,852      2,790      X      X  28-4580      2790

GENERAL MARITIME CORP        SHS            Y2692M103          3,681        100      X         28-5284       100
                                                              13,988        380      X      X  28-5284       380
                                                               3,681        100      X      X  28-4580       100

OMI CORP NEW                 COM            Y6476W104          5,361        300      X         28-5284       300
                                                               8,935        500      X      X  28-1500       500
                                                               5,915        331      X      X  28-4580        61               270

TEEKAY SHIPPING MARSHALL ISL COM            Y8564W103          4,305        100      X         28-5284       100
                                                               4,908        114      X      X  28-4580        25                89

AAR CORP                     COM            000361105          3,608        210      X      X  28-5284       210

ABB LTD                      SPONSORED ADR  000375204          4,416        600      X         28-5284       600
                                                              22,080      3,000      X      X  28-5284      3000

ABC BANCORP                  COM            000400101        207,252     10,800      X         28-1500     10800

ACCO BRANDS CORP             COM            00081T108      1,981,580     70,219      X         28-5284     69325               894
                                                           2,250,404     79,745      X      X  28-5284     57852       359   21534
                                                              13,630        483      X         28-1500        11       472
                                                              15,944        565      X         28-4580       565
                                                              14,138        501      X      X  28-4580       501

A C MOORE ARTS & CRAFTS INC  COM            00086T103          2,302        120      X         28-5284       120
                                                              11,508        600      X      X  28-5284       600

A D C TELECOMMUNICATIONS     COM NEW        000886309          3,223        141      X         28-5284        57                84
                                                              23,774      1,040      X      X  28-5284       142               898

ADE CORP MASS                COM            00089C107          3,934        175      X         28-5284       175

ACM INCOME FUND INC          COM            000912105        365,417     43,815      X         28-5284     43815
                                                              78,154      9,371      X      X  28-5284      7371              2000
                                                              26,605      3,190      X      X  28-1500      3190

ACM MANAGED INCOME FD INC    COM            000919100          1,843        509      X      X  28-5284       509
               COLUMN TOTAL                               19,366,343







                                                                                                                  FILE NO. 28-1235
PAGE 6 OF 201                  FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
ABN AMRO HLDG NV             SPONSORED ADR  000937102          4,200        175      X         28-5284       175
                                                              25,056      1,044      X      X  28-1500      1044

ACM MUN SECS INCOME FD INC   COM            000942102         29,939      2,707      X      X  28-5284      2707

ABM INDS INC                 COM            000957100         17,064        820      X         28-5284       820

AFLAC INC                    COM            001055102      1,934,446     42,703      X         28-5284     34053              8650
                                                           1,867,628     41,228      X      X  28-5284     38328       300    2600
                                                              40,770        900      X         28-1500                 900

AGL RES INC                  COM            001204106         30,616        825      X      X  28-5284        75               750
                                                              44,532      1,200      X      X  28-4580      1200

AES CORP                     COM            00130H105        295,477     17,984      X         28-5284     17136               848
                                                              74,839      4,555      X      X  28-5284      4555

AK STL HLDG CORP             COM            001547108         25,710      3,000      X         28-5284      3000
                                                               2,134        249      X      X  28-1500       249

AMB PROPERTY CORP            COM            00163T109          7,184        160      X         28-5284       160
                                                               5,253        117      X      X  28-4580        21                96

AMR CORP                     COM            001765106         25,446      2,276      X         28-5284      2276

ATI TECHNOLOGIES INC         COM            001941103          6,970        500      X         28-5284       500

AT&T CORP                    COM NEW        001957505      1,297,336     65,522      X         28-5284     63952       161    1409
                                                           1,359,072     68,640      X      X  28-5284     63349      2570    2721
                                                           1,649,340     83,300      X         28-11439    83300
                                                              29,918      1,511      X         28-4580      1511
                                                              26,611      1,344      X      X  28-4580      1344

A S V INC                    COM            001963107        101,472      4,480      X         28-5284      4480

AVX CORP NEW                 COM            002444107         21,021      1,650      X      X  28-5284                        1650

AARON RENTS INC              COM            002535201          5,288        250      X      X  28-5284       250
               COLUMN TOTAL                                8,927,322







                                                                                                                  FILE NO. 28-1235
PAGE 7 OF 201                  FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
ABBOTT LABS                  COM            002824100     94,313,415  2,224,373      X         28-5284   2120943            103430
                                                          85,300,998  2,011,816      X      X  28-5284   1965405     15021   31390
                                                             507,189     11,962      X         28-1500       155     11807
                                                           2,862,000     67,500      X         28-11439    67500
                                                           1,331,826     31,411      X         28-4580     31261               150
                                                           2,574,528     60,720      X      X  28-4580     60720

ABER DIAMOND CORP            COM            002893105         18,315        500      X         28-5284       500

ABERCROMBIE & FITCH CO       CL A           002896207          8,823        177      X         28-5284       177
                                                               4,985        100      X      X  28-5284       100
                                                           1,859,405     37,300      X         28-11439    37300

ABBEY NATL PLC               GDR            002920809         26,060      1,000      X      X  28-5284      1000

ABERDEEN ASIA PACIFIC INCOM  COM            003009107          6,250      1,000      X         28-5284      1000
                                                              26,875      4,300      X      X  28-5284      4300

ABERDEEN GLOBAL INCOME FD IN COM            003013109         13,420      1,000      X         28-5284      1000

ABIOMED INC                  COM            003654100        129,903     12,900      X      X  28-5284     12900

ACCREDITED HOME LENDRS HLDG  COM            00437P107          1,582         45      X      X  28-5284        45
                                                               1,582         45      X      X  28-4580        45

ACME UTD CORP                COM            004816104        574,600     42,500      X      X  28-5284     42500

ACTIVISION INC NEW           COM NEW        004930202         81,800      4,000      X         28-5284      4000

ACTIVE POWER INC             COM            00504W100         21,013      5,088      X      X  28-5284      5088

ACTUANT CORP                 CL A NEW       00508X203          9,594        205      X         28-5284       205

ADAMS EXPRESS CO             COM            006212104         34,046      2,595      X         28-5284      2595
                                                              25,794      1,966      X      X  28-5284      1966

ADECCO SA                    SPONSORED ADR  006754105          4,690        410      X         28-5284       410

ADESA INC                    COM            00686U104         17,238        780      X         28-5284       780
                                                             164,866      7,460      X      X  28-5284      7460
                                                               7,293        330      X         28-4580       330
               COLUMN TOTAL                              189,928,090







                                                                                                                  FILE NO. 28-1235
PAGE 8 OF 201                  FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ADMINISTAFF INC              COM            007094105         14,505        365      X      X  28-5284       365
                                                               2,981         75      X      X  28-4580        75

ADOBE SYS INC                COM            00724F101      1,638,347     54,886      X         28-5284     54886
                                                             535,927     17,954      X      X  28-5284     14220      2334    1400

ADVANCE AUTO PARTS INC       COM            00751Y106          8,703        225      X         28-5284                         225

ADVANCED NEUROMODULATION SYS COM            00757T101         23,725        500      X      X  28-5284       500

ADVISORY BRD CO              COM            00762W107         10,408        200      X      X  28-5284       200

ADVANCED MEDICAL OPTICS INC  COM            00763M108         92,446      2,436      X         28-5284      2436
                                                             226,599      5,971      X      X  28-5284      5971
                                                               4,212        111      X      X  28-1500       111
                                                               7,704        203      X      X  28-4580       203

AEROPOSTALE                  COM            007865108          2,083         98      X         28-5284        98

ADVANCED MICRO DEVICES INC   COM            007903107        153,846      6,105      X         28-5284      6105
                                                             295,092     11,710      X      X  28-5284     11510               200
                                                              42,840      1,700      X         28-11439     1700

AEGON N V                    ORD AMER REG   007924103      3,606,560    242,051      X         28-5284    229693             12358
                                                           3,084,658    207,024      X      X  28-5284    191551      1001   14472
                                                              14,781        992      X         28-1500        90       902

ADVANTA CORP                 CL A           007942105          8,235        316      X         28-5284       316

ADVANTA CORP                 CL B           007942204      4,244,550    150,356      X         28-5284    150356

AES TR III                   PFD CV 6.75%   00808N202         71,550      1,500      X         28-5284      1500
                                                              38,160        800      X      X  28-5284                         800

AETNA INC NEW                COM            00817Y108        612,628      7,112      X         28-5284      6842               270
                                                           2,899,300     33,658      X      X  28-5284     33058               600
                                                             104,574      1,214      X      X  28-1500      1214

AFFILIATED COMPUTER SERVICES CL A           008190100         31,668        580      X         28-5284       480               100
                                                              86,814      1,590      X      X  28-5284      1590

AFFILIATED MANAGERS GROUP    COM            008252108          1,304         18      X         28-5284        18
               COLUMN TOTAL                               17,864,200







                                                                                                                  FILE NO. 28-1235
PAGE 9 OF 201                  FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
AFFYMETRIX INC               COM            00826T108          9,246        200      X         28-5284       200

AFFORDABLE RESIDENTIAL CMTYS COM            008273104         40,440      4,000      X         28-4580      4000

AGERE SYS INC                COM            00845V308          3,362        323      X         28-5284       323
                                                              16,968      1,630      X      X  28-5284      1630
                                                                  83          8      X         28-4580         8
                                                                  83          8      X      X  28-4580         8

AGILENT TECHNOLOGIES INC     COM            00846U101      2,269,149     69,287      X         28-5284     68455               832
                                                           3,450,180    105,349      X      X  28-5284     99583       904    4862
                                                              25,971        793      X         28-4580       793
                                                              57,345      1,751      X      X  28-4580      1751

AGNICO EAGLE MINES LTD       COM            008474108          7,405        500      X         28-5284       500

AIM SELECT REAL ESTATE INCM  SHS            00888R107         91,952      5,600      X         28-5284      5600

AIR PRODS & CHEMS INC        COM            009158106     18,200,832    330,084      X         28-5284    328359              1725
                                                          12,674,922    229,868      X      X  28-5284    221535      3433    4900
                                                               1,764         32      X      X  28-1500        32
                                                             198,504      3,600      X         28-4580      3600
                                                             106,972      1,940      X      X  28-4580      1940

AIRGAS INC                   COM            009363102        355,560     12,000      X         28-5284                       12000
                                                               5,926        200      X      X  28-5284       200

AIRTRAN HLDGS INC            COM            00949P108          7,469        590      X      X  28-4580                         590

AKAMAI TECHNOLOGIES INC      COM            00971T101         17,864      1,120      X         28-5284      1120

AKZO NOBEL NV                SPONSORED ADR  010199305          7,028        161      X         28-5284       161
                                                              69,840      1,600      X      X  28-5284                        1600
                                                              14,797        339      X      X  28-1500       339

ALABAMA NATL BANCORP DELA    COM            010317105        264,264      4,133      X         28-5284      3633               500

ALASKA AIR GROUP INC         COM            011659109          2,906        100      X         28-5284       100

ALASKA COMMUNICATIONS SYS GR COM            01167P101          5,720        500      X      X  28-5284       500

ALBEMARLE CORP               COM            012653101         93,383      2,477      X         28-5284      1921               556
               COLUMN TOTAL                               37,999,935







                                                                                                                  FILE NO. 28-1235
PAGE 10 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ALBERTO CULVER CO            COM            013068101         45,735      1,022      X         28-5284       922               100
                                                             149,286      3,336      X      X  28-5284      2991               345

ALBERTSONS INC               COM            013104104        378,055     14,739      X         28-5284     14739
                                                             720,842     28,103      X      X  28-5284     25703              2400

ALCAN INC                    COM            013716105        234,802      7,400      X         28-5284      7400
                                                              15,897        501      X      X  28-5284       501

ALCOA INC                    COM            013817101     14,442,183    591,408      X         28-5284    588218              3190
                                                          12,502,552    511,980      X      X  28-5284    469994      8886   33100
                                                               2,442        100      X         28-1500                 100
                                                             228,400      9,353      X         28-4580      9353
                                                             139,658      5,719      X      X  28-4580      5719

ALCATEL                      SPONSORED ADR  013904305         10,937        815      X         28-5284       815
                                                               3,556        265      X      X  28-5284       265

ALEXANDER & BALDWIN INC      COM            014482103        228,932      4,300      X         28-5284      4300
                                                             492,470      9,250      X      X  28-5284      8500               750

ALEXION PHARMACEUTICALS INC  COM            015351109          5,530        200      X      X  28-5284       200

ALIGN TECHNOLOGY INC         COM            016255101         53,444      7,953      X         28-5284      7953

ALKERMES INC                 COM            01642T108          3,612        215      X         28-5284       215

ALLEGHANY CORP DEL           COM            017175100     45,873,072    149,912      X      X  28-5284       619            149293

ALLEGHENY ENERGY INC         COM            017361106        143,094      4,658      X         28-5284      4533               125
                                                             153,631      5,001      X      X  28-5284      4501               500
                                                               3,072        100      X      X  28-4580       100

ALLEGHENY TECHNOLOGIES INC   COM            01741R102         21,686        700      X      X  28-1500       700

ALLERGAN INC                 COM            018490102     48,901,717    533,745      X         28-5284    500923             32822
                                                          24,553,977    267,998      X      X  28-5284    257988      7590    2420
                                                              88,413        965      X         28-1500       565       400
                                                           1,070,396     11,683      X         28-4580     11403               280
                                                             512,156      5,590      X      X  28-4580      5590

ALLETE INC                   COM NEW        018522300          9,620        210      X         28-5284       210
                                                             117,915      2,574      X      X  28-5284      2574
               COLUMN TOTAL                              151,107,082







                                                                                                                  FILE NO. 28-1235
PAGE 11 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ALLIANCE BANKSHARES CORP     COM            018535104         24,900      1,500      X      X  28-5284                        1500

ALLIANCE CAP MGMT HLDG L P   UNIT LTD PARTN 01855A101        507,210     10,600      X         28-5284     10600
                                                             790,817     16,527      X      X  28-5284     16027               500

ALLIANCE DATA SYSTEMS CORP   COM            018581108         25,056        640      X         28-5284       640
                                                               2,388         61      X      X  28-4580        61

ALLIANCE GAMING CORP         COM NEW        01859P609         16,275      1,500      X      X  28-5284      1500

ALLIANCE RES PARTNER L P     UT LTD PART    01877R108        156,196      3,400      X         28-5284      3400
                                                              32,158        700      X      X  28-5284       700

ALLIANCE WORLD DLR GV FD II  COM            01879R106         91,340      7,255      X         28-5284      7255
                                                              11,293        897      X      X  28-5284       897

ALLIANCE WORLD DLR GV FD INC COM            018796102         51,220      4,078      X      X  28-5284      4078

ALLIANT ENERGY CORP          COM            018802108         34,199      1,174      X         28-5284      1174
                                                              23,945        822      X      X  28-5284       822

ALLIANT TECHSYSTEMS INC      COM            018804104         58,899        789      X         28-5284       789
                                                             571,670      7,658      X      X  28-5284      7658

ALLIED CAP CORP NEW          COM            01903Q108         95,911      3,350      X         28-5284      3350
                                                             880,745     30,763      X      X  28-5284     30763

ALLIED IRISH BKS P L C       SPON ADR ORD   019228402      1,493,774     34,983      X         28-5284     34983
                                                             906,777     21,236      X      X  28-5284      9557             11679
                                                             157,136      3,680      X         28-4580      3680

ALLIED WASTE INDS INC        COM PAR$.01NEW 019589308          1,056        125      X      X  28-5284       125
                                                               1,056        125      X      X  28-4580       125

ALLMERICA FINL CORP          COM            019754100        324,883      7,897      X         28-5284      7897
                                                              44,884      1,091      X      X  28-5284                        1091

ALLSCRIPTS HEALTHCARE SOLUTI COM            01988P108          9,010        500      X      X  28-1500       500
               COLUMN TOTAL                                6,312,798








                                                                                                                  FILE NO. 28-1235
PAGE 12 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ALLSTATE CORP                COM            020002101     25,218,045    456,105      X         28-5284    451742       994    3369
                                                          36,768,845    665,018      X      X  28-5284    644588      1601   18829
                                                              16,311        295      X      X  28-1500       295
                                                             521,661      9,435      X         28-4580      9435
                                                             199,984      3,617      X      X  28-4580      3617

ALLTEL CORP                  COM            020039103     46,462,431    713,599      X         28-5284    698069      1600   13930
                                                          28,570,073    438,797      X      X  28-5284    386969      5859   45969
                                                               6,316         97      X      X  28-1500        97
                                                             758,336     11,647      X         28-4580     11386               261
                                                             353,873      5,435      X      X  28-4580      5435

ALLTEL CORP                  PFD C CV $2.06 020039509         18,750         50      X      X  28-5284        50

ALMOST FAMILY INC            COM            020409108         36,223      2,236      X         28-1500      2236

ALPHA NATURAL RESOURCES INC  COM            02076X102         30,040      1,000      X         28-5284      1000
                                                              24,032        800      X      X  28-5284       800

ALTAIR NANOTECHNOLOGIES INC  COM            021373105          2,660      1,000      X         28-5284      1000
                                                               3,990      1,500      X      X  28-4580      1500

ALTEON INC                   COM            02144G107          4,200     14,000      X      X  28-1500     14000

ALTERA CORP                  COM            021441100      1,124,050     58,820      X         28-5284      1120             57700
                                                             769,178     40,250      X      X  28-5284       350             39900

ALTIRIS INC                  COM            02148M100            443         29      X         28-5284        29

ALTRIA GROUP INC             COM            02209S103     85,501,757  1,159,975      X         28-5284   1142379             17596
                                                         286,050,820  3,880,760      X      X  28-5284   3842699     14440   23621
                                                             122,211      1,658      X         28-1500        30      1628
                                                           5,745,916     77,953      X         28-4580     62753             15200
                                                           2,424,322     32,890      X      X  28-4580     30790              2100

ALUMINA LTD                  SPONSORED ADR  022205108         14,205        752      X         28-5284       752

AMAZON COM INC               COM            023135106        147,225      3,250      X         28-5284      3250
                                                             108,992      2,406      X      X  28-5284      2406
                                                               9,105        201      X      X  28-4580       201

AMBAC FINL GROUP INC         COM            023139108        214,018      2,970      X         28-5284      2970
                                                               1,802         25      X      X  28-5284        25
               COLUMN TOTAL                              521,229,814







                                                                                                                  FILE NO. 28-1235
PAGE 13 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
AMCOR LTD                    ADR NEW        02341R302          5,263        258      X      X  28-4580       258

AMEGY BANCORPORATION INC     COM            02343R102            498         22      X         28-5284        22
                                                              33,945      1,500      X      X  28-5284      1500

AMEDISYS INC                 COM            023436108         23,205        595      X         28-5284       595
                                                             593,775     15,225      X      X  28-5284     15225

AMERADA HESS CORP            COM            023551104        625,900      4,552      X         28-5284      4552
                                                             571,175      4,154      X      X  28-5284      4154

AMEREN CORP                  COM            023608102        337,843      6,316      X         28-5284      4816              1500
                                                             608,716     11,380      X      X  28-5284     11380
                                                             192,564      3,600      X      X  28-1500      3600
                                                              32,896        615      X      X  28-4580       615

AMERICA FIRST TAX EX IVS L P BEN UNIT CTF   02364V107          3,750        500      X         28-5284       500
                                                               1,875        250      X      X  28-5284                         250

AMERICA MOVIL S A DE C V     SPON ADR L SHS 02364W105        303,575     11,534      X         28-5284     11534
                                                             326,368     12,400      X      X  28-5284     12400
                                                               4,501        171      X      X  28-4580       171

AMERICA MOVIL S A DE C V     SPON ADR A SHS 02364W204         82,499      3,144      X         28-5284      3144

AMERICAN AXLE & MFG HLDGS IN COM            024061103          4,616        200      X         28-5284       200

AMERICAN CAMPUS CMNTYS INC   COM            024835100          4,804        200      X      X  28-1500       200

AMERICAN CAPITAL STRATEGIES  COM            024937104        614,055     16,750      X         28-5284     16750
                                                             197,964      5,400      X      X  28-5284      4400              1000
                                                             138,428      3,776      X         28-1500       440      3336

AMERICAN EAGLE OUTFITTERS NE COM            02553E106         42,636      1,812      X         28-5284      1812
                                                              22,236        945      X      X  28-5284       945
                                                               2,965        126      X      X  28-4580       126

AMERICAN ECOLOGY CORP        COM NEW        025533407        203,754     10,385      X      X  28-1500     10385
               COLUMN TOTAL                                4,979,806







                                                                                                                  FILE NO. 28-1235
PAGE 14 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
AMERICAN ELEC PWR INC        COM            025537101      1,823,381     45,929      X         28-5284     45929
                                                           1,691,299     42,602      X      X  28-5284     24802             17800
                                                              11,910        300      X      X  28-1500       300
                                                              68,760      1,732      X         28-4580      1732
                                                             136,568      3,440      X      X  28-4580      2898               542

AMERICAN EQTY INVT LIFE HLD  COM            025676206          3,008        265      X         28-5284       265

AMERICAN EXPRESS CO          COM            025816109     56,837,512    989,511      X         28-5284    949501      3173   36837
                                                          26,671,058    464,329      X      X  28-5284    417849     12868   33612
                                                              39,806        693      X         28-1500        60       633
                                                           3,842,736     66,900      X         28-11439    66900
                                                             252,564      4,397      X         28-4580      4397
                                                           1,101,125     19,170      X      X  28-4580     19170

AMERICAN FINL GROUP INC OHIO COM            025932104         54,831      1,616      X      X  28-5284      1616

AMERICAN FINL RLTY TR        COM            02607P305         19,880      1,400      X      X  28-5284      1400

AMERICAN GREETINGS CORP      CL A           026375105         45,594      1,664      X         28-5284      1664
                                                              25,345        925      X      X  28-5284       925

AMERICAN HEALTHWAYS INC      COM            02649V104         37,312        880      X         28-5284       880
                                                             685,608     16,170      X      X  28-5284     16170
                                                               2,332         55      X      X  28-4580        55

AMERICAN HOME MTG INVT CORP  COM            02660R107          1,970         65      X      X  28-5284        65

AMERICAN INTL GROUP INC      COM            026874107    154,727,256  2,497,212      X         28-5284   2288978      2230  206004
                                                          74,163,704  1,196,961      X      X  28-5284   1161371     16419   19171
                                                           1,455,316     23,488      X         28-1500      8149     15339
                                                             851,950     13,750      X         28-4580     13750
                                                           2,649,348     42,759      X      X  28-4580     42759

AMERICAN ISRAELI PAPER MLS L ORD IS 10      027069509         71,321      1,719      X         28-5284      1719

AMERICAN LD LEASE INC        COM            027118108          1,449         61      X      X  28-5284        61

AMERICAN MED SYS HLDGS INC   COM            02744M108            443         22      X         28-5284        22

AMERICAN NATL INS CO         COM            028591105         23,824        200      X      X  28-5284       200

AMERICAN PAC CORP            COM            028740108          1,065        180      X         28-5284       180
               COLUMN TOTAL                              327,298,275







                                                                                                                  FILE NO. 28-1235
PAGE 15 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
AMERICAN PHARMACEUTICALS PTN COM            02886P109          5,981        131      X         28-5284       131
                                                              13,698        300      X      X  28-5284       300

AMERICAN PWR CONVERSION CORP COM            029066107          2,746        106      X         28-5284       106
                                                             202,098      7,800      X      X  28-5284      1600              6200

AMERICAN REAL ESTATE PARTNR  DEPOSITRY UNIT 029169109          5,888        157      X      X  28-4580        22               135

AMERICAN SCIENCE & ENGR INC  COM            029429107         26,236        400      X      X  28-5284       400

AMERICAN STD COS INC DEL     COM            029712106      1,349,903     28,999      X         28-5284     28999
                                                             321,381      6,904      X      X  28-5284      6370       204     330
                                                              37,240        800      X      X  28-1500       800

AMERICAN STS WTR CO          COM            029899101          6,357        190      X         28-5284       190

AMERICAN TOWER CORP          CL A           029912201         49,900      2,000      X         28-5284      2000
                                                              12,899        517      X      X  28-5284       517
                                                           1,040,415     41,700      X         28-11439    41700
                                                               4,616        185      X      X  28-4580       185

AMERICAN SUPERCONDUCTOR CORP COM            030111108          1,034        100      X         28-5284       100

AMERICAN TECHNOLOGY CORP     COM NEW        030145205         25,500      5,000      X         28-5284      5000
                                                               2,550        500      X      X  28-5284       500

AMERICAN WOODMARK CORP       COM            030506109          8,400        250      X         28-5284       250

AMERICREDIT CORP             COM            03060R101         28,644      1,200      X         28-5284      1200
                                                               3,581        150      X      X  28-5284       150
                                                               2,029         85      X      X  28-4580        85

AMERICAS CAR MART INC        COM            03062T105          3,624        202      X         28-5284       202
                                                                  36          2      X         28-1500         2

AMERIVEST PPTYS INC DEL      COM            03071L101         26,585      6,500      X      X  28-1500      6500

AMERUS GROUP CO              COM            03072M108        355,694      6,200      X         28-5284      4151              2049
                                                              18,817        328      X      X  28-5284       328

AMERISOURCEBERGEN CORP       COM            03073E105         27,055        350      X         28-5284        50               300
                                                              87,117      1,127      X      X  28-5284      1127
               COLUMN TOTAL                                3,670,024







                                                                                                                  FILE NO. 28-1235
PAGE 16 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
AMERIGROUP CORP              COM            03073T102             96          5      X         28-5284         5
                                                                 956         50      X      X  28-5284        50
                                                               2,352        123      X      X  28-4580       123

AMERISERV FINL INC           COM            03074A102         17,705      4,070      X         28-5284      4070

AMERITRADE HLDG CORP NEW     COM            03074K100          2,254        105      X      X  28-5284       105

AMERIPRISE FINL INC          COM            03076C106          2,148         60      X         28-5284        60
                                                              21,480        600      X      X  28-5284       600
                                                               4,940        138      X         28-1500        12       126

AMERIGAS PARTNERS L P        UNIT L P INT   030975106         86,242      2,680      X         28-5284      2680
                                                              96,540      3,000      X      X  28-5284      2000      1000
                                                              10,459        325      X         28-4580       325

AMETEK INC NEW               COM            031100100        122,035      2,840      X         28-5284      2840
                                                             103,128      2,400      X      X  28-5284      2400

AMGEN INC                    COM            031162100     51,602,259    647,700      X         28-5284    636185             11515
                                                          36,160,620    453,880      X      X  28-5284    435162      1717   17001
                                                             472,045      5,925      X         28-1500      1025      4900
                                                             553,707      6,950      X         28-4580      6950
                                                           1,608,697     20,192      X      X  28-4580     20192

AMKOR TECHNOLOGY INC         COM            031652100         10,464      2,400      X         28-5284      2400

AMPAL AMERN ISRAEL CORP      CL A           032015109          3,890      1,000      X         28-5284      1000

AMPAL AMERN ISRAEL CORP      PFD CV 6.50%   032015307         42,614      3,566      X         28-5284      3566

AMPHENOL CORP NEW            CL A           032095101          2,622         65      X         28-5284        65

AMSOUTH BANCORPORATION       COM            032165102        445,005     17,617      X         28-5284     17617
                                                             210,264      8,324      X      X  28-5284      3844      4000     480

AMSURG CORP                  COM            03232P405         27,168        993      X         28-5284       993

AMYLIN PHARMACEUTICALS INC   COM            032346108         10,437        300      X         28-5284       300
                                                           3,620,247    104,060      X      X  28-5284    104060
               COLUMN TOTAL                               95,240,374







                                                                                                                  FILE NO. 28-1235
PAGE 17 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ANADARKO PETE CORP           COM            032511107      9,387,905     98,046      X         28-5284     93554              4492
                                                           7,327,748     76,530      X      X  28-5284     72213       607    3710
                                                              19,150        200      X      X  28-1500       200
                                                              57,450        600      X         28-4580       600
                                                              22,023        230      X      X  28-4580       230

ANADIGICS INC                COM            032515108         33,200     10,000      X         28-5284     10000

ANALOG DEVICES INC           COM            032654105      4,383,449    118,025      X         28-5284    117350               675
                                                           1,993,601     53,678      X      X  28-5284     53128               550
                                                              80,780      2,175      X         28-4580      2175
                                                              21,913        590      X      X  28-4580       590

ANDERSONS INC                COM            034164103        347,144     11,856      X      X  28-1500     11856

ANDREW CORP                  COM            034425108          6,289        564      X         28-5284       564
                                                               4,460        400      X      X  28-5284       400
                                                             100,350      9,000      X         28-11439     9000
                                                              11,150      1,000      X         28-4580      1000

ANDRX CORP DEL               ANDRX GROUP    034553107          2,315        150      X         28-5284       150

ANGLO AMERN PLC              ADR            03485P102         49,797      1,650      X         28-5284      1650
                                                             880,652     29,180      X      X  28-5284     29180

ANGLOGOLD ASHANTI LTD        SPONSORED ADR  035128206         30,175        711      X         28-5284       711
                                                              29,708        700      X      X  28-5284       700

ANHEUSER BUSCH COS INC       COM            035229103     28,786,486    668,831      X         28-5284    648797             20034
                                                          21,878,781    508,336      X      X  28-5284    492915      5909    9512
                                                              18,378        427      X         28-1500                 427
                                                             278,254      6,465      X         28-4580      6465
                                                             956,091     22,214      X      X  28-4580     22214

ANIXTER INTL INC             COM            035290105         10,324        256      X         28-5284       256

ANNALY MTG MGMT INC          COM            035710409         38,850      3,000      X         28-5284      3000
                                                               6,475        500      X      X  28-5284       500
                                                               6,605        510      X      X  28-4580       510

ANSYS INC                    COM            03662Q105         23,094        600      X         28-5284       600
                                                              38,490      1,000      X      X  28-5284      1000
               COLUMN TOTAL                               76,831,087







                                                                                                                  FILE NO. 28-1235
PAGE 18 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ANTEON INTL CORP             COM            03674E108         36,987        865      X         28-5284       865
                                                             662,780     15,500      X      X  28-5284     15500

ANTHRACITE CAP INC           COM            037023108         46,320      4,000      X         28-5284      4000

ANWORTH MORTGAGE ASSET CP    COM            037347101         14,059      1,700      X         28-5284      1700
                                                             124,050     15,000      X         28-4580     15000

AON CORP                     COM            037389103      1,770,816     55,200      X         28-5284     54430               770
                                                           1,359,711     42,385      X      X  28-5284     38965      1220    2200
                                                           1,469,264     45,800      X         28-11439    45800

APACHE CORP                  COM            037411105      2,078,705     27,635      X         28-5284     13067             14568
                                                           6,683,748     88,856      X      X  28-5284     73656             15200
                                                             358,423      4,765      X      X  28-1500      4765

APARTMENT INVT & MGMT CO     CL A           03748R101          4,654        120      X         28-5284       120
                                                               4,343        112      X      X  28-5284       112

APOLLO GROUP INC             CL A           037604105        188,415      2,838      X         28-5284      2213               625
                                                              52,780        795      X      X  28-5284       795

APOLLO INVT CORP             COM            03761U106          2,178        110      X         28-5284       110

APPLE COMPUTER INC           COM            037833100      1,083,083     20,203      X         28-5284     20203
                                                           2,608,127     48,650      X      X  28-5284     40650      8000
                                                              29,593        552      X         28-1500                 552
                                                             192,996      3,600      X         28-4580      3600
                                                              16,619        310      X      X  28-4580       310

APPLEBEES INTL INC           COM            037899101         17,069        825      X         28-5284       150               675

APRIA HEALTHCARE GROUP INC   COM            037933108         19,146        600      X         28-5284       600
                                                               6,382        200      X      X  28-5284       200

APPLERA CORP                 COM AP BIO GRP 038020103        513,953     22,115      X         28-5284     22115
                                                             222,755      9,585      X      X  28-5284      9585

APPLERA CORP                 COM CE GEN GRP 038020202         30,325      2,500      X         28-5284      2500
                                                               4,852        400      X      X  28-5284       400

APPLIED DIGITAL SOLUTIONS    COM NEW        038188306          7,994      2,805      X         28-5284      2805
               COLUMN TOTAL                               19,610,127







                                                                                                                  FILE NO. 28-1235
PAGE 19 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
APPLIED INDL TECHNOLOGIES IN COM            03820C105         53,820      1,500      X         28-5284      1500

APPLIED MICRO CIRCUITS CORP  COM            03822W109          1,899        633      X         28-5284       633
                                                               2,100        700      X      X  28-5284                         700

APPLIED MATLS INC            COM            038222105     19,633,693  1,157,647      X         28-5284   1023847            133800
                                                           6,762,563    398,736      X      X  28-5284    375646     10900   12190
                                                             313,099     18,461      X         28-1500      3461     15000
                                                           1,126,144     66,400      X         28-11439    66400
                                                              30,867      1,820      X         28-4580      1820

APPLIED SIGNAL TECHNOLOGY IN COM            038237103          1,813         95      X         28-5284        95

APTIMUS INC                  COM            03833V108        139,500     10,000      X      X  28-5284     10000

AQUA AMERICA INC             COM            03836W103      2,247,324     59,109      X         28-5284     57352              1757
                                                           3,935,982    103,524      X      X  28-5284     99612      2812    1100
                                                             764,582     20,110      X      X  28-1500     20110
                                                               9,505        250      X         28-4580       250

AQUILA INC                   COM            03840P102         11,880      3,000      X      X  28-5284      3000

ARAMARK CORP                 CL B           038521100        175,351      6,565      X         28-5284      6565
                                                              26,710      1,000      X      X  28-5284      1000

ARCH CHEMICALS INC           COM            03937R102          7,580        326      X         28-5284       326
                                                             158,426      6,814      X      X  28-5284      6814

ARCH COAL INC                COM            039380100         71,618      1,061      X         28-5284       711               350

ARCHER DANIELS MIDLAND CO    COM            039483102      1,508,132     61,157      X         28-5284     61157
                                                             636,672     25,818      X      X  28-5284     25398               420
                                                              24,660      1,000      X      X  28-1500      1000

ARCHIPELAGO HLDG INC         COM            03957A104        219,175      5,500      X      X  28-5284      5500

ARCHSTONE SMITH TR           COM            039583109        394,394      9,892      X         28-5284      9892
                                                           4,519,663    113,360      X      X  28-5284     13360            100000

ARDEN RLTY INC               COM            039793104          2,141         52      X         28-5284        52
                                                              82,340      2,000      X      X  28-5284      2000
               COLUMN TOTAL                               42,861,633







                                                                                                                  FILE NO. 28-1235
PAGE 20 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
ARGONAUT GROUP INC           COM            040157109          3,646        135      X         28-5284       135
                                                              14,234        527      X      X  28-5284        27               500

ARGOSY GAMING CO             COM            040228108         23,495        500      X         28-5284       500
                                                               2,725         58      X      X  28-4580         9                49

ARIBA INC                    COM NEW        04033V203          9,496      1,666      X         28-5284      1666

ARKANSAS BEST CORP DEL       COM            040790107          3,487        100      X      X  28-5284       100

ARMOR HOLDINGS INC           COM            042260109         21,505        500      X         28-5284       500
                                                              10,753        250      X      X  28-5284       250

AROTECH CORP                 COM            042682104          2,220      3,000      X         28-5284      3000

ARROW ELECTRS INC            COM            042735100          7,401        236      X         28-5284       236
                                                              56,448      1,800      X      X  28-5284                        1800

ARROWHEAD RESH CORP          COM            042797100          2,990      1,000      X         28-5284      1000

ARTESIAN RESOURCES CORP      CL A           043113208         54,882      1,800      X         28-5284      1800
                                                              16,770        550      X      X  28-5284       550
                                                              85,677      2,810      X         28-1500       310      2500

ARTESYN TECHNOLOGIES INC     COM            043127109      1,174,516    126,292      X         28-5284    126292

ARVINMERITOR INC             COM            043353101         62,917      3,763      X         28-5284      3763
                                                              16,436        983      X      X  28-5284       983

ASHLAND INC NEW              COM            044209104        888,093     16,077      X         28-5284     12077              4000
                                                             172,680      3,126      X      X  28-5284      3126
                                                              65,294      1,182      X      X  28-1500      1182

ASSOCIATED BANC CORP         COM            045487105     10,140,300    332,687      X         28-5284    323612              9075
                                                           2,929,250     96,104      X      X  28-5284     87964      5080    3060
                                                             235,153      7,715      X         28-4580      7559               156
                                                              23,835        782      X      X  28-4580       782

ASTA FDG INC                 COM            046220109          2,732         90      X         28-5284        90

ASTORIA FINL CORP            COM            046265104        124,306      4,705      X      X  28-5284       105      4600
                                                               2,378         90      X      X  28-4580        90
               COLUMN TOTAL                               16,153,619







                                                                                                                  FILE NO. 28-1235
PAGE 21 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
ASTRAZENECA PLC              SPONSORED ADR  046353108         30,003        637      X         28-5284       637
                                                              35,090        745      X      X  28-5284       745
                                                              17,286        367      X      X  28-1500       367

ATHEROS COMMUNICATIONS INC   COM            04743P108          5,007        513      X         28-5284       513

ATHEROGENICS INC             COM            047439104        389,994     24,329      X      X  28-5284     24329

ATLANTIS PLASTICS INC        COM            049156102         27,473      2,750      X         28-5284      2750

ATLAS AMER INC               COM            049167109         86,465      1,770      X      X  28-5284      1770

ATLAS PIPELINE PARTNERS LP   UNIT L P INT   049392103          9,760        200      X         28-5284       200
                                                               4,880        100      X      X  28-5284                         100

ATMEL CORP                   COM            049513104        195,700     95,000      X      X  28-5284     95000

ATMOS ENERGY CORP            COM            049560105        877,163     31,050      X         28-5284     26050              5000
                                                              36,019      1,275      X      X  28-5284      1275
                                                              58,760      2,080      X      X  28-1500      2080

ATRION CORP                  COM            049904105         80,145      1,233      X         28-1500      1233

AUBURN NATL BANCORP          COM            050473107        472,350     20,100      X         28-1500     20100

AUDIBLE INC                  COM NEW        05069A302          4,179        340      X         28-5284       340

AUSTRALIA&NEW ZEALAND BKG GR SPONSORED ADR  052528304         18,342        200      X         28-5284       200

AUTHENTIDATE HLDG CORP       COM            052666104            504        200      X      X  28-1500       200

AUTODESK INC                 COM            052769106      3,058,863     65,867      X         28-5284     65867
                                                           1,051,634     22,645      X      X  28-5284     19485      1260    1900
                                                               3,808         82      X      X  28-4580        82

AUTOLIV INC                  COM            052800109        227,984      5,241      X         28-5284      5241
                                                             141,027      3,242      X      X  28-5284      3242

AUTOMATIC DATA PROCESSING IN COM            053015103    103,494,285  2,404,607      X         28-5284   2131007            273600
                                                          43,007,290    999,240      X      X  28-5284    944063      8706   46471
                                                           1,216,698     28,269      X         28-1500     13678     14591
                                                             252,860      5,875      X         28-4580      5875
                                                             855,807     19,884      X      X  28-4580     19884
               COLUMN TOTAL                              155,659,376







                                                                                                                  FILE NO. 28-1235
PAGE 22 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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         83,874      4,200      X      X  28-5284       200              4000

AUTOZONE INC                 COM            053332102        288,628      3,467      X         28-5284      2792               675
                                                             103,646      1,245      X      X  28-5284      1245

AVANEX CORP                  COM            05348W109         24,250     25,000      X         28-5284     25000

AVALONBAY CMNTYS INC         COM            053484101          7,713         90      X         28-5284        90
                                                             248,530      2,900      X      X  28-5284      2900

AVATAR HLDGS INC             COM            053494100         82,936      1,400      X         28-5284       400              1000
                                                             148,100      2,500      X      X  28-5284                        2500

AVAYA INC                    COM            053499109         37,832      3,673      X         28-5284      3443               230
                                                              73,511      7,137      X      X  28-5284      3686              3451
                                                               1,360        132      X      X  28-4580       132

AVERY DENNISON CORP          COM            053611109      1,605,125     30,638      X         28-5284     30638
                                                           2,320,458     44,292      X      X  28-5284     44038       254

AVIALL INC NEW               COM            05366B102         14,019        415      X         28-5284       415
                                                              37,158      1,100      X      X  28-5284      1100

AVID TECHNOLOGY INC          COM            05367P100         24,426        590      X         28-5284       590
                                                              65,412      1,580      X      X  28-5284      1580
                                                              16,560        400      X         28-4580       400

AVISTA CORP                  COM            05379B107         15,054        776      X         28-5284       776
                                                               7,760        400      X      X  28-5284       400

AVNET INC                    COM            053807103         48,900      2,000      X      X  28-5284      2000

AVOCENT CORP                 COM            053893103          9,302        294      X         28-5284       294
                                                              71,190      2,250      X      X  28-5284                        2250

AVON PRODS INC               COM            054303102      5,562,999    206,037      X         28-5284    145006             61031
                                                             342,036     12,668      X      X  28-5284     11868               800

AWARE INC MASS               COM            05453N100          2,785        500      X         28-5284       500

AXA                          SPONSORED ADR  054536107         29,347      1,066      X         28-5284       766               300
                                                              22,740        826      X      X  28-5284       826
               COLUMN TOTAL                               11,295,651







                                                                                                                  FILE NO. 28-1235
PAGE 23 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                             
AXCELIS TECHNOLOGIES INC     COM            054540109         10,847      2,078      X         28-5284      2078
                                                              47,867      9,170      X      X  28-5284      9170

AZTAR CORP                   COM            054802103         21,567        700      X      X  28-5284       700
                                                               2,434         79      X      X  28-4580        10                69

AXCAN PHARMA INC             COM            054923107          3,178        246      X         28-5284       246

BB&T CORP                    COM            054937107     10,898,699    279,096      X         28-5284    275424              3672
                                                           2,607,017     66,761      X      X  28-5284     56347      9532     882
                                                           1,394,749     35,717      X         28-1500     33000      2717
                                                             136,675      3,500      X         28-4580      3500
                                                              19,525        500      X      X  28-4580       500

B A S F  A G                 SPONSORED ADR  055262505         10,104        134      X         28-5284       134
                                                               7,540        100      X      X  28-5284                         100

BCE INC                      COM            05534B109          5,131        187      X         28-5284       187
                                                             115,248      4,200      X      X  28-5284                        4200

BG PLC                       ADR FIN INST N 055434203         14,307        300      X         28-5284       300
                                                              14,307        300      X      X  28-5284       300
                                                              38,057        798      X      X  28-1500       798
                                                              16,024        336      X      X  28-4580       336

BISYS GROUP INC              NOTE  4.000% 3 055472AB0        496,875      5,000      X         28-5284      5000

BISYS GROUP INC              COM            055472104          2,015        150      X         28-5284       150
                                                              10,019        746      X      X  28-1500       746
                                                              16,828      1,253      X      X  28-4580      1253

BJS WHOLESALE CLUB INC       COM            05548J106        309,970     11,150      X         28-5284     11150
                                                             166,800      6,000      X      X  28-5284      6000

BJ SVCS CO                   COM            055482103         73,204      2,034      X         28-5284      2034
                                                           1,011,319     28,100      X      X  28-5284     28100
                                                              40,741      1,132      X         28-1500                1132

BP PLC                       SPONSORED ADR  055622104    133,294,498  1,881,362      X         28-5284   1846113             35249
                                                         216,331,619  3,053,375      X      X  28-5284   1748284     13687 1291404
                                                           1,035,189     14,611      X      X  28-1500     14611
                                                           3,031,955     42,794      X         28-4580     42322               472
                                                          10,648,259    150,293      X      X  28-4580    101768             48525
               COLUMN TOTAL                              381,832,567







                                                                                                                  FILE NO. 28-1235
PAGE 24 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
BP PRUDHOE BAY RTY TR        UNIT BEN INT   055630107        189,888      2,400      X         28-5284      2400
                                                             221,536      2,800      X      X  28-5284      2800
                                                              15,824        200      X      X  28-1500       200

BRE PROPERTIES INC           CL A           05564E106        111,250      2,500      X         28-5284      2500
                                                             214,090      4,811      X      X  28-5284      4811

BT GROUP PLC                 ADR            05577E101         26,995        681      X         28-5284       681
                                                             142,704      3,600      X      X  28-5284      2600      1000

BMC SOFTWARE INC             COM            055921100        132,930      6,300      X      X  28-5284      3500              2800

BNCCORP INC                  COM            055936108      1,497,250    113,000      X         28-1500    113000

BAKER HUGHES INC             COM            057224107     11,931,345    199,922      X         28-5284    168122             31800
                                                           4,484,594     75,144      X      X  28-5284     56224             18920
                                                              73,406      1,230      X         28-4580      1230
                                                             102,530      1,718      X      X  28-4580      1718

BALL CORP                    COM            058498106      5,812,746    158,213      X         28-5284    154359              3854
                                                           2,959,407     80,550      X      X  28-5284     76770       180    3600
                                                             159,819      4,350      X         28-4580      4350
                                                              85,237      2,320      X      X  28-4580      2320

BALLARD PWR SYS INC          COM            05858H104         31,723      5,675      X      X  28-5284      5675

BANCO BILBAO VIZCAYA ARGENTA SPONSORED ADR  05946K101          6,367        363      X         28-5284       363

BANCO BRADESCO S A           SP ADR PFD NEW 059460303         51,366      1,050      X      X  28-5284      1050

BANCO SANTANDER CENT HISPANO ADR            05964H105        189,622     14,398      X         28-5284     14398
                                                              18,675      1,418      X      X  28-4580      1418

BANCO SANTANDER CHILE NEW    SP ADR REP COM 05965X109          4,387        100      X      X  28-5284                         100

BANCORP INC DEL              COM            05969A105        105,534      6,600      X      X  28-5284                6600

BANCORPSOUTH INC             COM            059692103        137,100      6,000      X         28-5284      6000
                                                             103,739      4,540      X      X  28-5284      4540

BANCROFT CONV FD INC         COM            059695106         52,161      2,855      X         28-5284      2855
               COLUMN TOTAL                               28,862,225







                                                                                                                  FILE NO. 28-1235
PAGE 25 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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  COM            060505104    210,211,489  4,993,147      X         28-5284   4944659             48488
                                                         316,761,200  7,524,019      X      X  28-5284   7422813     36182   65024
                                                           7,494,937    178,027      X         28-1500    169350      8677
                                                           4,742,523    112,649      X         28-4580    111339              1310
                                                           1,587,507     37,708      X      X  28-4580     36966               742

BANK HAWAII CORP             COM            062540109         34,651        704      X         28-5284       704
                                                             171,384      3,482      X      X  28-5284      3482

BANK MONTREAL QUE            COM            063671101      2,490,000     50,000      X         28-5284     50000

BANK NEW YORK INC            COM            064057102      1,174,665     39,941      X         28-5284     39341               600
                                                           1,017,204     34,587      X      X  28-5284     28537      5000    1050
                                                             158,814      5,400      X         28-4580      5400
                                                              47,056      1,600      X      X  28-4580                        1600

BANK NOVA SCOTIA HALIFAX     COM            064149107      4,342,140    116,100      X         28-5284    116100

BANK WILMINGTON CORP         COM            065820102        188,438     18,750      X      X  28-5284     18750

BANKATLANTIC BANCORP         CL A           065908501         18,553      1,092      X         28-5284      1092

BANKUNITED FINL CORP         CL A           06652B103          2,973        130      X         28-5284       130
                                                                 915         40      X      X  28-5284        40
                                                                 915         40      X      X  28-4580        40

BANTA CORP                   COM            066821109          8,906        175      X      X  28-5284       175

BAR HBR BANKSHARES           COM            066849100         53,880      2,000      X      X  28-5284      2000

BARCLAYS PLC                 ADR            06738E204          8,156        200      X      X  28-5284                         200

BARD C R INC                 COM            067383109     23,160,485    350,757      X         28-5284    342665              8092
                                                           7,016,414    106,261      X      X  28-5284     97806      5260    3195
                                                             160,123      2,425      X      X  28-1500      2425
                                                             736,499     11,154      X         28-4580     10965               189
                                                             166,065      2,515      X      X  28-4580      2497                18

BARNES & NOBLE INC           COM            067774109         41,093      1,090      X         28-5284      1090
                                                              69,745      1,850      X      X  28-5284      1850
                                                              25,975        689      X      X  28-1500       689

BARNES GROUP INC             COM            067806109          3,945        110      X         28-5284       110
               COLUMN TOTAL                              581,896,650







                                                                                                                  FILE NO. 28-1235
PAGE 26 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
BARRICK GOLD CORP            COM            067901108        116,694      4,017      X         28-5284      4017
                                                           1,330,926     45,815      X      X  28-5284     45815
                                                             392,175     13,500      X         28-11439    13500

BARR PHARMACEUTICALS INC     COM            068306109      4,170,844     75,944      X         28-5284     75449               495
                                                           1,468,780     26,744      X      X  28-5284     25364       780     600
                                                              17,300        315      X      X  28-1500       315
                                                               8,238        150      X         28-4580       150
                                                              20,650        376      X      X  28-4580       376

BARRETT BUSINESS SERVICES IN COM            068463108         47,300      2,070      X         28-5284      2070
                                                           1,421,270     62,200      X      X  28-5284     62200

BAUSCH & LOMB INC            COM            071707103        399,366      4,950      X         28-5284      4950
                                                             439,706      5,450      X      X  28-5284      5450

BAXTER INTL INC              COM            071813109      7,797,854    195,582      X         28-5284    164382             31200
                                                           7,871,614    197,432      X      X  28-5284    164592       800   32040
                                                              12,758        320      X         28-4580       320
                                                              97,721      2,451      X      X  28-4580      2451

BAXTER INTL INC              CORP UNITS 7%  071813406        729,030     12,790      X         28-5284     12790

BAYER A G                    SPONSORED ADR  072730302         21,197        576      X         28-5284       576
                                                             101,200      2,750      X      X  28-5284       300              2450
                                                               3,680        100      X      X  28-1500       100
                                                               9,642        262      X      X  28-4580       262

BEA SYS INC                  COM            073325102         83,787      9,320      X         28-5284      2420              6900
                                                             253,158     28,160      X      X  28-5284      9060             19100
                                                              48,141      5,355      X         28-1500      5355

BEACON POWER CORP            COM            073677106          1,507        516      X      X  28-5284       516

BEAR STEARNS COS INC         COM            073902108        115,238      1,050      X         28-5284       350               700
                                                             870,647      7,933      X      X  28-5284      1261              6672

BEAZER HOMES USA INC         COM            07556Q105         12,438        212      X         28-5284       212

BEBE STORES INC              COM            075571109          3,115        178      X         28-5284       178
               COLUMN TOTAL                               27,865,976







                                                                                                                  FILE NO. 28-1235
PAGE 27 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
BECKMAN COULTER INC          COM            075811109        122,211      2,264      X         28-5284      1614               650
                                                             961,924     17,820      X      X  28-5284      9524      7846     450
                                                              14,143        262      X      X  28-4580       262

BECTON DICKINSON & CO        COM            075887109      1,267,443     24,174      X         28-5284     23774               400
                                                           3,136,153     59,816      X      X  28-5284     52616              7200

BED BATH & BEYOND INC        COM            075896100     34,768,678    865,323      X         28-5284    849558             15765
                                                          14,470,023    360,130      X      X  28-5284    340765      9190   10175
                                                              50,747      1,263      X      X  28-1500      1263
                                                           1,733,847     43,152      X         28-4580     42626               526
                                                             582,329     14,493      X      X  28-4580     13884               609

BELLSOUTH CORP               COM            079860102     29,453,843  1,119,918      X         28-5284   1072941             46977
                                                          23,264,270    884,573      X      X  28-5284    841984      4895   37694
                                                             190,780      7,254      X         28-1500                7254
                                                           1,485,608     56,487      X         28-4580     52551              3936
                                                           1,051,185     39,969      X      X  28-4580     39593               376

BELO CORP                    COM SER A      080555105        123,261      5,392      X         28-5284      1998              3394
                                                             244,373     10,690      X      X  28-5284      1900              8790

BEMIS INC                    COM            081437105        516,131     20,896      X         28-5284     20896
                                                             470,659     19,055      X      X  28-5284     18747       308

BENCHMARK ELECTRS INC        COM            08160H101         16,777        557      X         28-5284       557

BENTLEY PHARMACEUTICALS INC  COM            082657107          5,975        500      X         28-5284                         500

BERKLEY W R CORP             COM            084423102      5,648,088    143,062      X         28-5284    143062
                                                             995,962     25,227      X      X  28-5284     25227

BERKSHIRE HATHAWAY INC DEL   CL A           084670108              0        358      X         28-5284       282                76
                                                                   0      1,054      X      X  28-5284      1006                48
                                                                   0         23      X      X  28-1500        23
                                                                   0         11      X      X  28-4580        10                 1

BERKSHIRE HATHAWAY INC DEL   CL B           084670207     46,129,321     16,891      X         28-5284     15455              1436
                                                          17,322,733      6,343      X      X  28-5284      6092       131     120
                                                           1,024,125        375      X         28-1500       273       102
                                                             578,972        212      X         28-4580       212
                                                             215,749         79      X      X  28-4580        31                48
               COLUMN TOTAL                              185,845,310







                                                                                                                  FILE NO. 28-1235
PAGE 28 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
BERKSHIRE HILLS BANCORP INC  COM            084680107         13,600        400      X         28-5284       400

BERRY PETE CO                CL A           085789105         37,813        567      X         28-5284       567
                                                             703,580     10,550      X      X  28-5284     10200               350

BEST BUY INC                 COM            086516101     24,448,015    561,636      X         28-5284    548169             13467
                                                           8,621,595    198,061      X      X  28-5284    180881      8225    8955
                                                             121,884      2,800      X      X  28-1500      2800
                                                             510,041     11,717      X         28-4580     11393               324
                                                             210,729      4,841      X      X  28-4580      4810                31

BHP BILLITON LTD             SPONSORED ADR  088606108         21,670        634      X         28-5284       534               100
                                                             324,642      9,498      X      X  28-5284      6248        50    3200

BIG LOTS INC                 COM            089302103         80,919      7,363      X         28-5284      7363
                                                             276,464     25,156      X      X  28-5284     25156

BIMINI MTG MGMT INC          CL A           09031E400         47,460      4,200      X      X  28-5284      4200
                                                              42,149      3,730      X      X  28-1500      3730

BIO RAD LABS INC             CL A           090572207         43,992        800      X         28-5284       200               600
                                                             120,978      2,200      X      X  28-5284                        2200

BIOENVISION INC              COM            09059N100          4,577        570      X         28-5284       570

BIOMET INC                   COM            090613100        311,314      8,969      X         28-5284      6625              2344
                                                             199,756      5,755      X      X  28-5284      3375       280    2100
                                                              70,288      2,025      X         28-1500                2025

BIOGEN IDEC INC              COM            09062X103         61,273      1,552      X         28-5284      1552
                                                             181,963      4,609      X      X  28-5284      3114              1495
                                                               5,330        135      X      X  28-1500       135

BIOMED REALTY TRUST INC      COM            09063H107          7,440        300      X         28-5284       300

BIOPURE CORP                 CL A NEW       09065H303         10,174      9,166      X      X  28-1500      9166

BIOTECH HOLDERS TR           DEPOSTRY RCPTS 09067D201        305,152      1,600      X         28-5284      1600
                                                             362,368      1,900      X      X  28-5284       900              1000

BIOSCRIP INC                 COM            09069N108         65,000     10,000      X      X  28-1500     10000

BIOLASE TECHNOLOGY INC       COM            090911108         47,771      6,700      X         28-5284      6700
               COLUMN TOTAL                               37,257,937







                                                                                                                  FILE NO. 28-1235
PAGE 29 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
BIOSITE INC                  COM            090945106          4,640         75      X      X  28-5284        75

BLACK & DECKER CORP          COM            091797100        763,191      9,297      X         28-5284      8697               600
                                                             920,804     11,217      X      X  28-5284     10681       536
                                                               8,209        100      X      X  28-1500       100
                                                              15,022        183      X      X  28-4580       183

BLACK BOX CORP DEL           COM            091826107          8,392        200      X      X  28-5284                 200

BLACK HILLS CORP             COM            092113109         20,471        472      X         28-5284       472

BLACKROCK ADVANTAGE TERM TR  COM            09247A101         41,146      4,030      X         28-5284      4030

BLACKROCK FLA INVT QUALITY M COM            09247B109         53,103      3,455      X         28-5284      3455

BLACKROCK INVT QUALITY MUN T COM            09247D105        363,975     21,100      X         28-5284     21100
                                                              25,875      1,500      X      X  28-5284      1500

BLACKROCK NY INVT QUALITY MU COM            09247E103        235,390     15,798      X         28-5284     15798
                                                             171,529     11,512      X      X  28-5284     11512

BLACKROCK INCOME TR INC      COM            09247F100          1,902        300      X         28-5284       300
                                                              86,478     13,640      X      X  28-5284     13640
                                                               5,072        800      X      X  28-1500       800

BLACKROCK FL INSD MUN 2008 T COM            09247H106         92,035      6,043      X         28-5284      6043
                                                              45,690      3,000      X      X  28-5284      1000              2000

BLACKROCK INSD MUN 2008 TRM  COM            09247K109         98,579      6,255      X         28-5284      6255
                                                             196,275     12,454      X      X  28-5284       454             12000
                                                               1,781        113      X      X  28-4580       113

BLACKROCK NY INSD MUN 2008 T COM            09247L107         20,241      1,300      X         28-5284      1300

BLACKROCK MUN TARGET TERM TR COM            09247M105      1,213,568    120,633      X         28-5284    120633
                                                             424,904     42,237      X      X  28-5284     32237             10000

BLACKROCK INC                CL A           09247X101     20,914,320    236,000      X         28-5284    236000
                                                             130,271      1,470      X      X  28-5284      1170               300
                                                             576,030      6,500      X      X  28-1500      6500

BLACKROCK INSD MUN TERM TR I COM            092474105      1,121,623    103,854      X         28-5284    103854
                                                             332,521     30,789      X      X  28-5284     12789             18000
               COLUMN TOTAL                               27,893,037







                                                                                                                  FILE NO. 28-1235
PAGE 30 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                 
BLACKROCK INCOME OPP TRUST I COM            092475102         59,696      5,200      X         28-5284      5200
                                                              11,480      1,000      X      X  28-5284      1000

BLACKROCK INSD MUN INCOME TR COM            092479104        112,195      7,333      X         28-5284      7333
                                                              66,785      4,365      X         28-4580      4365

BLACKROCK MUNI 2018 TERM TR  COM            09248C106        189,858     12,116      X         28-5284     12116
                                                              10,342        660      X         28-4580       660

BLACKROCK MUN INCOME TR      SH BEN INT     09248F109        117,047      7,460      X         28-5284      7460
                                                             102,079      6,506      X      X  28-5284      6506
                                                              26,155      1,667      X      X  28-1500      1667

BLACKROCK N J MUN INCOME TR  SH BEN INT     09248J101         66,839      4,159      X         28-5284      4159
                                                             152,225      9,472      X      X  28-5284      9472

BLACKROCK N Y MUN INCOME TR  SH BEN INT     09248L106         35,952      2,400      X         28-5284      2400
                                                               1,498        100      X      X  28-5284       100

BLACKROCK HIGH YIELD TR      SH BEN INT     09248N102         28,722      3,448      X         28-5284      3448
                                                               8,330      1,000      X         28-4580      1000

BLACKROCK PA STRATEGIC MUN T COM            09248R103        391,739     24,107      X         28-5284     24107
                                                             354,656     21,825      X      X  28-5284     21825

BLACKROCK STRATEGIC MUN TR   COM            09248T109         96,255      5,750      X      X  28-5284      5750

BLACKROCK NJ MUNICIPAL BOND  COM            09249A109         48,050      3,022      X      X  28-5284      3022

BLACKROCK CORE BD TR         SHS BEN INT    09249E101         85,209      5,967      X         28-5284      5967

BLACKROCK MUNICIPAL BOND TR  COM            09249H104         27,705      1,658      X         28-5284      1658

BLACKROCK FL MUNICIPAL BOND  COM            09249K107         21,328      1,333      X         28-5284      1333

BLACKROCK MUNI INCOME TR II  COM            09249N101         34,716      2,200      X      X  28-5284      2200
                                                              29,272      1,855      X      X  28-1500      1855

BLACKROCK PFD OPPORTUNITY TR COM SHS        09249V103        245,100     10,000      X         28-5284     10000
                                                              30,441      1,242      X      X  28-5284      1242

BLACKROCK LTD DURATION INC T COM SHS        09249W101         73,791      4,050      X         28-5284      4050
                                                              18,220      1,000      X      X  28-5284      1000
               COLUMN TOTAL                                2,445,685







                                                                                                                  FILE NO. 28-1235
PAGE 31 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
BLACKROCK STRAT DIVD ACHIEVE COM            09249Y107         38,612      2,800      X      X  28-1500      2800

BLACKROCK DIVID ACHIEVRS TM  COM            09250N107        180,880     14,000      X         28-5284     14000
                                                               8,915        690      X      X  28-5284       690

BLACKROCK GLBL ENRGY & RES T COM            09250U101         11,072        400      X         28-5284       400
                                                              20,511        741      X         28-4580       741
                                                               6,837        247      X      X  28-4580       247

BLAIR CORP                   COM            092828102      8,835,081    239,498      X         28-5284    239498
                                                             368,900     10,000      X      X  28-5284     10000

BLOCK H & R INC              COM            093671105      1,107,013     46,164      X         28-5284     45564               600
                                                             461,663     19,252      X      X  28-5284     19252
                                                              42,493      1,772      X         28-1500                1772

BLOCKBUSTER INC              CL A           093679108          1,093        230      X         28-5284       230
                                                             101,617     21,393      X      X  28-5284     21393

BLOCKBUSTER INC              CL B           093679207            134         30      X         28-5284        30
                                                               2,195        490      X      X  28-5284       490

BLUE COAT SYSTEMS INC        COM NEW        09534T508         32,175        740      X         28-5284       740
                                                             521,760     12,000      X      X  28-5284     12000

BLUE DOLPHIN ENERGY CO       COM NEW        095395208             50         17      X         28-1500        17

BLUE NILE INC                COM            09578R103          8,701        275      X      X  28-5284       275

BLUELINX HLDGS INC           COM            09624H109          2,554        190      X         28-5284       190

BOEING CO                    COM            097023105     12,877,884    189,520      X         28-5284    185118              4402
                                                          14,302,728    210,489      X      X  28-5284    199270      3168    8051
                                                             241,902      3,560      X         28-1500                3560
                                                           2,432,610     35,800      X         28-11439    35800
                                                             149,490      2,200      X         28-4580      2200
                                                             298,980      4,400      X      X  28-4580      4400

BOIS D ARC ENERGY INC        COM            09738U103          3,786        220      X         28-5284       220

BORDERS GROUP INC            COM            099709107            887         40      X         28-5284        40
               COLUMN TOTAL                               42,060,523







                                                                                                                  FILE NO. 28-1235
PAGE 32 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
BORG WARNER INC              COM            099724106          5,646        100      X         28-5284       100
                                                              29,811        528      X      X  28-5284       528

BOSTON BEER INC              CL A           100557107            825         33      X         28-5284        33

BOSTON PRIVATE FINL HLDGS IN COM            101119105          3,583        135      X         28-5284       135

BOSTON PROPERTIES INC        COM            101121101     11,324,290    159,722      X         28-5284    159070               652
                                                           7,023,425     99,061      X      X  28-5284     69461             29600
                                                              68,560        967      X         28-4580       967

BOSTON SCIENTIFIC CORP       COM            101137107        134,097      5,738      X         28-5284      5738
                                                             650,481     27,834      X      X  28-5284     27834

BOWL AMER INC                CL A           102565108            640         46      X      X  28-5284                  46

BOYD GAMING CORP             COM            103304101        142,296      3,300      X         28-5284       800              2500
                                                             301,840      7,000      X      X  28-5284       700              6300
                                                               1,940         45      X      X  28-4580        10                35

BRADY CORP                   CL A           104674106         86,632      2,800      X      X  28-5284                        2800

BRANDYWINE RLTY TR           SH BEN INT NEW 105368203         37,619      1,210      X         28-5284      1210
                                                              52,853      1,700      X      X  28-5284      1000       700

BRASCAN CORP                 CL A LTD VT SH 10549P606        130,480      2,800      X      X  28-5284       400              2400

BRASIL TELECOM PARTICIPACOES SPON ADR PFD   105530109          3,402         80      X         28-5284        80

BRIGGS & STRATTON CORP       COM            109043109         76,098      2,200      X         28-5284      2200
                                                           1,722,582     49,800      X      X  28-5284     49800

BRIGHT HORIZON FAMILY SOLUTI COM            109195107         22,420        584      X         28-5284       484               100

BRINKER INTL INC             COM            109641100         61,185      1,629      X         28-5284      1629
                                                             321,326      8,555      X      X  28-5284      8555
                                                              26,254        699      X      X  28-1500       699
                                                               1,690         45      X      X  28-4580        45
               COLUMN TOTAL                               22,229,975







                                                                                                                  FILE NO. 28-1235
PAGE 33 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
BRISTOL MYERS SQUIBB CO      COM            110122108     95,159,874  3,955,107      X         28-5284   3801308            153799
                                                          70,721,194  2,939,368      X      X  28-5284   2836575     31509   71284
                                                             533,410     22,170      X         28-1500       250     21920
                                                             868,566     36,100      X         28-11439    36100
                                                           2,185,586     90,839      X         28-4580     90339               500
                                                           3,332,478    138,507      X      X  28-4580    135307              3200

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

BRITISH AMERN TOB PLC        SPONSORED ADR  110448107         21,170        500      X         28-5284       500

BROADBAND HOLDRS TR          DEPOSITRY RCPT 11130P104        103,290      5,500      X         28-5284      5500

BROADCOM CORP                CL A           111320107        322,434      6,872      X         28-5284      6872
                                                              17,126        365      X      X  28-5284       365
                                                              81,265      1,732      X         28-11439     1732

BROADWING CORP               COM            11161E101         12,874      2,580      X      X  28-5284      2580

BROCADE COMMUNICATIONS SYS I COM            111621108          4,080      1,000      X         28-5284      1000
                                                                 233         57      X      X  28-5284        57

BROOKFIELD PPTYS CORP        COM            112900105          6,483        220      X         28-5284       220

BROOKLINE BANCORP INC DEL    COM            11373M107         68,026      4,300      X         28-5284      1700              2600
                                                              87,010      5,500      X      X  28-5284                        5500

BROWN & BROWN INC            COM            115236101         64,995      1,308      X         28-5284      1308
                                                             626,094     12,600      X      X  28-5284     12400       200

BROWN FORMAN CORP            CL A           115637100     11,130,623    180,253      X         28-5284    146697             33556
                                                           5,384,724     87,202      X      X  28-5284     43138             44064

BROWN FORMAN CORP            CL B           115637209     10,711,484    179,904      X         28-5284    138115             41789
                                                          14,246,791    239,281      X      X  28-5284    168613             70668
                                                              77,402      1,300      X         28-1500                1300

BRUNSWICK CORP               COM            117043109        116,963      3,100      X         28-5284      3100
                                                               9,433        250      X      X  28-5284       250

BRYN MAWR BK CORP            COM            117665109        356,450     16,641      X         28-5284     16641
                                                             552,636     25,800      X      X  28-5284     20800              5000
               COLUMN TOTAL                              216,802,699







                                                                                                                  FILE NO. 28-1235
PAGE 34 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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        480,741     10,089      X         28-5284     10089
                                                             711,176     14,925      X      X  28-5284     14925

BUCYRUS INTL INC NEW         CL A           118759109          1,228         25      X         28-5284        25
                                                               1,474         30      X      X  28-5284        30
                                                                 983         20      X      X  28-4580        20

BUFFALO WILD WINGS INC       COM            119848109          3,313        125      X         28-5284       125

BURLINGTON NORTHN SANTA FE C COM            12189T104      2,548,915     42,624      X         28-5284     40955              1669
                                                           9,847,505    164,674      X      X  28-5284    150509             14165
                                                             149,500      2,500      X      X  28-1500      2500
                                                              37,375        625      X         28-4580       625
                                                             406,640      6,800      X      X  28-4580      6800

BURLINGTON RES INC           COM            122014103     13,924,098    171,226      X         28-5284    169898              1328
                                                          16,510,318    203,029      X      X  28-5284    191687      2000    9342
                                                             406,600      5,000      X      X  28-1500      5000
                                                             716,592      8,812      X      X  28-4580      8812

C & F FINL CORP              COM            12466Q104      5,752,110    147,000      X         28-1500    147000

CBL & ASSOC PPTYS INC        COM            124830100         68,658      1,675      X         28-5284      1675
                                                             166,010      4,050      X      X  28-1500      4050

CBRL GROUP INC               COM            12489V106         26,928        800      X         28-5284       800
                                                              16,830        500      X      X  28-5284       500
                                                             151,672      4,506      X         28-1500      4506

CB RICHARD ELLIS GROUP INC   CL A           12497T101         14,760        300      X         28-5284       300
                                                               4,920        100      X      X  28-5284       100

C COR INC                    COM            125010108         10,125      1,500      X      X  28-5284      1500

C D W CORP                   COM            12512N105          5,892        100      X         28-5284       100

CEC ENTMT INC                COM            125137109          2,477         78      X         28-5284        78
                                                               1,112         35      X      X  28-5284        35
                                                               1,175         37      X      X  28-4580        37

CH ENERGY GROUP INC          COM            12541M102         52,228      1,100      X         28-5284      1100
                                                              53,415      1,125      X      X  28-5284      1125
                                                              23,740        500      X      X  28-4580       500
               COLUMN TOTAL                               52,098,510







                                                                                                                  FILE NO. 28-1235
PAGE 35 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
C H ROBINSON WORLDWIDE INC   COM            12541W100          9,427        147      X         28-5284       147

CIGNA CORP                   COM            125509109      8,922,827     75,707      X         28-5284     74828               879
                                                          15,672,669    132,977      X      X  28-5284    132077               900
                                                             280,389      2,379      X      X  28-4580      2379

CIT GROUP INC                COM            125581108        114,305      2,530      X         28-5284      2530
                                                              79,065      1,750      X      X  28-5284       750              1000
                                                               2,801         62      X      X  28-4580        62

CLECO CORP NEW               COM            12561W105         14,313        607      X         28-5284       607
                                                              94,461      4,006      X      X  28-5284      2630              1376

CMGI INC                     COM            125750109            251        150      X         28-5284                         150
                                                               8,350      5,000      X      X  28-5284      5000

CMS ENERGY CORP              COM            125896100          3,455        210      X         28-5284       210

CSK AUTO CORP                COM            125965103          1,265         85      X      X  28-5284        85
                                                               1,042         70      X      X  28-4580        70

CNF INC                      COM            12612W104        437,378      8,331      X         28-5284      8331
                                                              42,000        800      X      X  28-5284       800

CNB FINL CORP PA             COM            126128107          3,545        250      X         28-5284       250
                                                              56,720      4,000      X      X  28-5284      4000

CNET NETWORKS INC            COM            12613R104        177,767     13,100      X         28-5284     13100

CNOOC LTD                    SPONSORED ADR  126132109          8,663        120      X      X  28-4580        24                96

CP HOLDRS                    DEP RCPTS  CP  12616K106        335,550      2,500      X         28-5284      2500

CSX CORP                     COM            126408103      2,045,259     44,003      X         28-5284     43201               802
                                                           1,472,440     31,679      X      X  28-5284     28779              2900
                                                             102,256      2,200      X         28-4580      2200

CTS CORP                     COM            126501105          6,389        528      X      X  28-5284       528

CVB FINL CORP                COM            126600105         23,250      1,250      X         28-5284      1250
               COLUMN TOTAL                               29,915,837







                                                                                                                  FILE NO. 28-1235
PAGE 36 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
CVS CORP                     COM            126650100     61,653,880  2,125,263      X         28-5284   1929633            195630
                                                          12,032,391    414,767      X      X  28-5284    385027     14500   15240
                                                             874,419     30,142      X         28-1500     17078     13064
                                                             885,298     30,517      X         28-4580     30169               348
                                                             208,002      7,170      X      X  28-4580      6776               394

CV THERAPEUTICS INC          COM            126667104         10,700        400      X      X  28-5284       400

CABELAS INC                  COM            126804301        657,646     35,800      X         28-5284     35800

CABLEVISION SYS CORP         CL A NY CABLVS 12686C109          9,814        320      X         28-5284       320
                                                             231,559      7,550      X      X  28-5284      1050              6500

CABOT CORP                   COM            127055101        132,040      4,000      X      X  28-5284      4000
                                                              13,204        400      X      X  28-4580       400

CABOT MICROELECTRONICS CORP  COM            12709P103          3,291        112      X      X  28-4580       112

CABOT OIL & GAS CORP         COM            127097103          8,587        170      X      X  28-5284       170
                                                               5,304        105      X      X  28-4580       105

CACI INTL INC                CL A           127190304         13,332        220      X         28-5284       220
                                                             321,180      5,300      X      X  28-5284      5300

CADBURY SCHWEPPES PLC        ADR            127209302         88,588      2,175      X         28-5284      2175
                                                             128,707      3,160      X      X  28-5284      3160
                                                             407,300     10,000      X      X  28-4580     10000

CADENCE DESIGN SYSTEM INC    COM            127387108            808         50      X      X  28-5284        50

CAL DIVE INTL INC            COM            127914109         46,860        739      X         28-5284       739
                                                             526,303      8,300      X      X  28-5284      8300

CALAMOS CONV & HIGH INCOME F COM SHS        12811P108        808,371     49,321      X         28-5284     48096              1225
                                                             394,081     24,044      X      X  28-5284     21625              2419

CALAMOS ASSET MGMT INC       CL A           12811R104         49,360      2,000      X         28-5284      2000

CALAMOS CONV OPP AND INC FD  SH BEN INT     128117108          9,183        458      X         28-5284       458
                                                              41,323      2,061      X      X  28-5284      2061

CALAMP CORP                  COM            128126109             16          2      X         28-5284         2
               COLUMN TOTAL                               79,561,547







                                                                                                                  FILE NO. 28-1235
PAGE 37 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
CALGON CARBON CORP           COM            129603106            790        100      X         28-5284       100

CALIFORNIA COASTAL CMNTYS IN COM NEW        129915203             35          1      X         28-5284         1

CALIFORNIA PIZZA KITCHEN INC COM            13054D109          4,240        145      X         28-5284       145

CALIFORNIA WTR SVC GROUP     COM            130788102         19,158        465      X         28-5284       465
                                                               6,180        150      X      X  28-5284       150

CALIPER LIFE SCIENCES INC    COM            130872104          4,218        600      X      X  28-1500       600

CALLAWAY GOLF CO             COM            131193104          1,509        100      X         28-5284       100

CALLON PETE CO DEL           COM            13123X102          1,256         60      X      X  28-5284                          60

CALPINE CORP                 COM            131347106         18,130      7,000      X         28-5284      7000
                                                              14,737      5,690      X      X  28-5284      4490              1200
                                                             221,186     85,400      X         28-11439    85400
                                                                 518        200      X      X  28-4580       200

CAMBRIDGE DISPLAY TECH INC   COM            132193103          1,645        250      X         28-5284       250

CAMCO FINL CORP              COM            132618109          1,019         72      X         28-5284        72

CAMDEN NATL CORP             COM            133034108         37,670      1,000      X      X  28-5284      1000
                                                           1,514,334     40,200      X         28-1500     40200

CAMDEN PPTY TR               SH BEN INT     133131102          4,460         80      X         28-5284        80
                                                              84,183      1,510      X      X  28-5284      1510

CAMECO CORP                  COM            13321L108        280,875      5,250      X      X  28-5284      5250
                                                             716,900     13,400      X      X  28-1500     13400

CAMPBELL SOUP CO             COM            134429109      3,530,284    118,665      X         28-5284    117915               750
                                                          42,263,237  1,420,613      X      X  28-5284     93192   1249530   77891
                                                              41,650      1,400      X      X  28-4580      1400

CANADIAN NATL RY CO          COM            136375102        111,738      1,574      X         28-5284      1574
                                                             110,035      1,550      X      X  28-5284                        1550

CANADIAN NAT RES LTD         COM            136385101         54,228      1,200      X         28-5284      1200
                                                              36,152        800      X      X  28-5284       800
                                                              67,785      1,500      X      X  28-4580      1500
               COLUMN TOTAL                               49,148,152







                                                                                                                  FILE NO. 28-1235
PAGE 38 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
CANADIAN PAC RY LTD          COM            13645T100        115,992      2,700      X      X  28-5284                        2700

CANO PETE INC                COM            137801106            840        200      X         28-5284       200

CANON INC                    ADR            138006309         56,430      1,040      X         28-5284      1040
                                                             107,164      1,975      X      X  28-5284                        1975
                                                              13,999        258      X      X  28-4580       258

CAPITAL AUTOMOTIVE REIT      COM SH BEN INT 139733109         12,774        330      X         28-5284       330
                                                              38,710      1,000      X      X  28-5284      1000

CAPITAL BK CORP              COM            139793103          7,545        500      X         28-5284       500
                                                           3,052,707    202,300      X         28-1500    202300

CAPITAL CROSSING BK          COM            140071101     11,554,524    332,600      X         28-1500    332600

CAPITAL ONE FINL CORP        COM            14040H105      2,998,779     37,711      X         28-5284     36801               910
                                                           2,560,385     32,198      X      X  28-5284     28913       260    3025
                                                              55,028        692      X         28-1500                 692
                                                               3,181         40      X         28-4580        40

CAPSTONE TURBINE CORP        COM            14067D102          5,325      1,500      X         28-5284      1500
                                                               5,893      1,660      X      X  28-5284      1660

CAPSTEAD MTG CORP            PFD B CV $1.26 14067E308         15,550      1,250      X         28-5284      1250

CAPTIVA SOFTWARE CORP DEL    COM            14073T109         31,969      1,780      X         28-5284      1780
                                                             804,608     44,800      X      X  28-5284     44800
                                                              21,552      1,200      X         28-1500      1200

CARDIAC SCIENCE CORP         COM            14141A108          2,884        269      X         28-5284       269

CARDINAL FINL CORP           COM            14149F109         24,125      2,500      X      X  28-1500      2500

CARDINAL HEALTH INC          COM            14149Y108     24,633,054    388,289      X         28-5284    376979             11310
                                                           7,405,732    116,736      X      X  28-5284    105502       500   10734
                                                              61,537        970      X         28-1500       970
                                                             280,722      4,425      X      X  28-1500      4425
                                                              67,437      1,063      X         28-4580      1063
                                                             132,399      2,087      X      X  28-4580      1687               400

CARDINAL STATE BANK DURHAM N COM            141546101        125,510     10,000      X      X  28-5284     10000
               COLUMN TOTAL                               54,196,355







                                                                                                                  FILE NO. 28-1235
PAGE 39 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
CARDIOTECH INTL INC          COM            14160C100          6,227      2,684      X      X  28-5284      2684

CAREMARK RX INC              COM            141705103         53,325      1,068      X         28-5284      1068
                                                             117,885      2,361      X      X  28-5284      2361
                                                              24,965        500      X      X  28-1500       500
                                                               5,842        117      X      X  28-4580       117

CARLISLE COS INC             COM            142339100        661,128     10,400      X         28-5284      7400              3000
                                                             146,211      2,300      X      X  28-5284      1100              1200

CARMAX INC                   COM            143130102          6,254        200      X         28-5284       200

CARNIVAL CORP                PAIRED CTF     143658300     15,790,531    315,937      X         28-5284    296137             19800
                                                           3,689,324     73,816      X      X  28-5284     58951       580   14285
                                                               9,996        200      X      X  28-1500       200
                                                             111,455      2,230      X         28-4580      2230
                                                              73,421      1,469      X      X  28-4580      1469

CARPENTER TECHNOLOGY CORP    COM            144285103     53,510,403    912,991      X         28-5284    912991
                                                           6,557,756    111,888      X      X  28-5284    111888

CARRAMERICA RLTY CORP        COM            144418100            755         21      X         28-5284        21

CASCADE CORP                 COM            147195101          4,870        100      X      X  28-5284       100

CASELLA WASTE SYS INC        CL A           147448104          4,057        309      X         28-5284       309

CASH AMER INTL INC           COM            14754D100          3,839        185      X         28-5284       185

CASTLE ENERGY CORP           COM PAR$0.50N  148449309         12,444        600      X         28-5284       600

CATALINA MARKETING CORP      COM            148867104          7,527        331      X         28-5284       331

CATALYTICA ENERGY SYS INC    COM            148884109          1,043        745      X      X  28-5284       745

CATAPULT COMMUNICATIONS CORP COM            149016107            312         17      X         28-5284        17

CATERPILLAR INC DEL          COM            149123101     13,753,551    234,103      X         28-5284    220772      4260    9071
                                                           8,329,575    141,780      X      X  28-5284    133626      5460    2694
                                                              17,625        300      X         28-1500                 300
                                                             495,850      8,440      X         28-4580      8368                72
                                                             353,734      6,021      X      X  28-4580      5937                84
               COLUMN TOTAL                              103,749,905







                                                                                                                  FILE NO. 28-1235
PAGE 40 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
CATHAY GENERAL BANCORP       COM            149150104         41,559      1,172      X         28-5284      1172

CAVALRY BANCORP INC          COM            149547101          4,523        229      X         28-1500       229

CEDAR FAIR L P               DEPOSITRY UNIT 150185106      3,279,496    109,353      X         28-5284    109353
                                                             533,822     17,800      X      X  28-5284     17800

CEDAR SHOPPING CTRS INC      COM NEW        150602209         14,470      1,000      X      X  28-5284                        1000

CELADON GROUP INC            COM            150838100          5,464        245      X         28-5284       245

CELL GENESYS INC             COM            150921104         10,960      2,000      X      X  28-5284                        2000

CELGENE CORP                 COM            151020104         65,184      1,200      X         28-5284      1200
                                                             117,874      2,170      X      X  28-5284      2170

CEMEX S A                    SPON ADR 5 ORD 151290889         48,378        925      X         28-5284       925
                                                             136,869      2,617      X      X  28-5284       660              1957

CENDANT CORP                 COM            151313103      1,642,036     79,556      X         28-5284     79306               250
                                                           2,370,628    114,856      X      X  28-5284     97056             17800
                                                              36,533      1,770      X         28-1500                1770
                                                             288,960     14,000      X         28-11439    14000
                                                              10,320        500      X         28-4580       500

CENTENE CORP DEL             COM            15135B101          2,803        112      X         28-5284       112

CENTERPOINT ENERGY INC       COM            15189T107         90,707      6,100      X         28-5284      6100
                                                             429,312     28,871      X      X  28-5284      7071      1500   20300

CENTERPOINT PPTYS TR         COM            151895109          1,344         30      X         28-5284        30
                                                               8,960        200      X      X  28-5284       200

CENTEX CORP                  COM            152312104         12,916        200      X         28-5284       200
                                                             251,862      3,900      X      X  28-5284                        3900
                                                               6,329         98      X      X  28-4580        98

CENTRA SOFTWARE INC          COM            15234X103          3,940      2,000      X         28-5284      2000

CENTRAL EUROPEAN DIST CORP   COM            153435102          4,216         99      X         28-5284        99
                                                              28,748        675      X      X  28-5284       675

CENTRAL EUROPE AND RUSSIA FD COM            153436100         49,100      1,000      X      X  28-5284                1000
               COLUMN TOTAL                                9,497,313







                                                                                                                  FILE NO. 28-1235
PAGE 41 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
CENTRAL FD CDA LTD           CL A           153501101        355,668     62,950      X         28-5284     62950
                                                               5,650      1,000      X      X  28-4580      1000

CENTRAL PAC FINL CORP        COM            154760102         83,377      2,370      X         28-5284       677              1693
                                                             220,860      6,278      X      X  28-5284      1200              5078

CENTRAL SECS CORP            COM            155123102        135,245      5,333      X         28-5284      5333

CENTURYTEL INC               COM            156700106      1,493,436     42,694      X         28-5284     37119              5575
                                                             128,097      3,662      X      X  28-5284      3481       181
                                                               7,696        220      X         28-1500       220
                                                              26,655        762      X      X  28-1500       762
                                                             293,167      8,381      X         28-11439     8381
                                                               2,554         73      X      X  28-4580        73

CEPHALON INC                 COM            156708109         76,593      1,650      X         28-5284      1650

CERIDIAN CORP NEW            COM            156779100         20,750      1,000      X         28-5284      1000
                                                             249,457     12,022      X      X  28-5284     12022

CERTEGY INC                  COM            156880106        749,254     18,722      X         28-5284     18722
                                                              32,016        800      X      X  28-5284       800

CHAMPS ENTMT INC DEL         COM            158787101          1,384        200      X      X  28-1500       200

CHAPARRAL STL CO DEL         COM            159423102        206,804      8,200      X      X  28-5284      7000              1200

CHARLES RIV LABS INTL INC    COM            159864107         56,706      1,300      X      X  28-1500      1300

CHARTERMAC                   SH BEN INT     160908109         20,808      1,015      X         28-5284      1015
                                                             115,149      5,617      X      X  28-5284      5617
                                                              10,865        530      X      X  28-1500       530
                                                              41,000      2,000      X         28-4580      2000

CHARMING SHOPPES INC         COM            161133103          4,588        430      X         28-5284       430

CHARTWELL DIVD & INCOME FD I COM            16139P104          4,320        400      X         28-5284       400
                                                              12,096      1,120      X         28-4580      1120

CHATTEM INC                  COM            162456107          1,598         45      X      X  28-5284        45
                                                              18,673        526      X         28-1500       526
                                                               1,420         40      X      X  28-4580        40
               COLUMN TOTAL                                4,375,886







                                                                                                                  FILE NO. 28-1235
PAGE 42 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                             
CHECKERS DRIVE-IN RESTAURANT COM NEW        162809305         20,017      1,310      X         28-1500      1310

CHECKFREE CORP NEW           COM            162813109         48,221      1,275      X         28-5284      1275

CHECKPOINT SYS INC           COM            162825103          3,439        145      X      X  28-5284       145
                                                               2,846        120      X      X  28-4580       120

CHEESECAKE FACTORY INC       COM            163072101         76,600      2,452      X         28-5284      2340               112

CHEMICAL FINL CORP           COM            163731102         52,065      1,602      X         28-1500      1602

CHEMTURA CORP                COM            163893100         39,061      3,145      X         28-5284                        3145
                                                              53,965      4,345      X      X  28-5284      4345

CHESAPEAKE CORP              COM            165159104         26,408      1,436      X      X  28-5284      1436

CHESAPEAKE ENERGY CORP       COM            165167107        312,541      8,171      X         28-5284      8021               150
                                                             396,079     10,355      X      X  28-5284      7355              3000
                                                             664,594     17,375      X      X  28-1500     17375
                                                             122,591      3,205      X         28-11439     3205
                                                              17,021        445      X      X  28-4580       445

CHESAPEAKE UTILS CORP        COM            165303108         10,549        300      X         28-5284       300
                                                             237,344      6,750      X      X  28-5284      5300              1450
                                                             152,076      4,325      X      X  28-4580      4325

CHEVRON CORP NEW             COM            166764100    164,602,305  2,542,906      X         28-5284   2412054      2000  128852
                                                         230,671,893  3,563,601      X      X  28-5284   1634211     14708 1914682
                                                             720,186     11,126      X         28-1500       140     10986
                                                           3,451,986     53,329      X         28-4580     53229               100
                                                           2,636,582     40,732      X      X  28-4580     38545              2187

CHICAGO MERCANTILE HLDGS INC CL A           167760107          4,722         14      X      X  28-4580        14

CHICOS FAS INC               COM            168615102        411,792     11,190      X         28-5284     10990               200
                                                           1,516,160     41,200      X      X  28-5284     40800               400
                                                               3,680        100      X      X  28-1500       100
                                                               3,496         95      X      X  28-4580        95

CHILDRENS PL RETAIL STORES I COM            168905107          2,705         76      X         28-5284        76

CHINA FD INC                 COM            169373107          5,192        200      X      X  28-5284       100       100
               COLUMN TOTAL                              406,266,116







                                                                                                                  FILE NO. 28-1235
PAGE 43 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
CHINA MOBILE HONG KONG LTD   SPONSORED ADR  16941M109          4,435        180      X         28-5284       180
                                                              24,640      1,000      X      X  28-5284      1000

CHINA PETE & CHEM CORP       SPON ADR H SHS 16941R108         14,981        331      X         28-5284       331

CHOICE HOTELS INTL INC       COM            169905106         64,640      1,000      X      X  28-5284      1000
                                                              48,480        750      X      X  28-4580       750

CHIQUITA BRANDS INTL INC     COM            170032809          2,795        100      X         28-5284       100

CHIRON CORP                  COM            170040109         92,102      2,110      X         28-5284      2110
                                                              66,523      1,524      X      X  28-5284       474              1050
                                                               4,365        100      X      X  28-1500       100
                                                             205,155      4,700      X         28-11439     4700

CHOICEPOINT INC              COM            170388102        134,475      3,115      X         28-5284      3115
                                                              47,487      1,100      X      X  28-5284      1100

CHUBB CORP                   COM            171232101      3,201,233     35,748      X         28-5284     35748
                                                           7,776,074     86,835      X      X  28-5284     83287       400    3148
                                                              20,059        224      X      X  28-1500       224
                                                              74,327        830      X      X  28-4580       830

CHUNGHWA TELECOM CO LTD      SPONSORED ADR  17133Q205         18,436        996      X         28-5284       996

CHURCH & DWIGHT INC          COM            171340102         42,112      1,140      X         28-5284      1140
                                                           6,065,548    164,200      X      X  28-5284    164200
                                                           6,556,850    177,500      X         28-11439   177500

CHURCHILL DOWNS INC          COM            171484108      1,287,873     36,463      X         28-5284     36212               251
                                                              98,190      2,780      X      X  28-5284      2780
                                                             314,842      8,914      X         28-1500      8914

CIBER INC                    COM            17163B102            557         75      X         28-5284        75

CIENA CORP                   COM            171779101          1,320        500      X         28-5284       500
                                                                 660        250      X      X  28-1500       250

CIMAREX ENERGY CO            COM            171798101         90,660      2,000      X         28-5284      2000
                                                             371,343      8,192      X      X  28-5284       192              8000

CINCINNATI BELL INC NEW      COM            171871106        373,889     84,782      X         28-5284     84782
                                                              68,002     15,420      X      X  28-5284     15420
               COLUMN TOTAL                               27,072,053







                                                                                                                  FILE NO. 28-1235
PAGE 44 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
CINCINNATI BELL INC NEW      PFD CV DEP1/20 171871403         69,920      1,600      X      X  28-5284      1600

CINCINNATI FINL CORP         COM            172062101     86,695,502  2,069,599      X         28-5284   1752936            316663
                                                          10,460,310    249,709      X      X  28-5284    239542             10167
                                                           1,513,444     36,129      X         28-1500     11147     24982
                                                               1,759         42      X         28-4580        42

CINERGY CORP                 COM            172474108      6,326,338    142,453      X         28-5284    142003               450
                                                           1,560,612     35,141      X      X  28-5284     34841               300
                                                             782,859     17,628      X         28-1500               17628
                                                              31,087        700      X         28-4580       700

CIRCOR INTL INC              COM            17273K109         19,215        700      X      X  28-5284       700

CIRCUIT CITY STORE INC       COM            172737108         68,640      4,000      X         28-5284      4000
                                                              11,411        665      X      X  28-5284       665

CISCO SYS INC                COM            17275R102    105,428,826  5,883,305      X         28-5284   5581924            301381
                                                          55,619,576  3,103,771      X      X  28-5284   3006879     34987   61905
                                                             530,844     29,623      X         28-1500     18057     11566
                                                           2,328,292    129,927      X         28-4580    128056              1871
                                                             824,266     45,997      X      X  28-4580     45997

CINTAS CORP                  COM            172908105     17,988,151    438,201      X         28-5284    425376             12825
                                                           9,512,352    231,726      X      X  28-5284    226106       200    5420
                                                             100,449      2,447      X         28-1500       672      1775

CITIZENS & NORTHN CORP       COM            172922106      1,171,302     43,869      X      X  28-5284     43869

CITIGROUP INC                COM            172967101    149,278,106  3,279,396      X         28-5284   3185553      3452   90391
                                                         108,859,851  2,391,473      X      X  28-5284   2239325     26382  125766
                                                           1,559,606     34,262      X         28-1500     22750     11512
                                                             628,176     13,800      X         28-11439    13800
                                                           3,615,380     79,424      X         28-4580     77612              1812
                                                           2,185,779     48,018      X      X  28-4580     46389              1629

CITIZENS COMMUNICATIONS CO   COM            17453B101         57,452      4,240      X         28-5284      4240
                                                             376,866     27,813      X      X  28-5284     27813
                                                              90,108      6,650      X      X  28-1500      6650
                                                              48,089      3,549      X      X  28-4580      3549

CITIZENS HLDG CO MISS        COM            174715102        582,650     27,100      X         28-1500     27100
               COLUMN TOTAL                              568,327,218







                                                                                                                  FILE NO. 28-1235
PAGE 45 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
CITRIX SYS INC               COM            177376100        106,895      4,252      X         28-5284      4252
                                                             155,868      6,200      X      X  28-5284      6200
                                                              14,631        582      X         28-1500       482       100
                                                              10,056        400      X      X  28-4580       400

CITY HLDG CO                 COM            177835105        235,496      6,591      X         28-5284      6591
                                                           1,025,451     28,700      X         28-1500     28700

CITY INVESTING CO LIQ TR     UNIT BEN INT   177900107             81        580      X         28-5284       530                50
                                                                  12         87      X      X  28-5284        87

CITY NATL CORP               COM            178566105      8,219,244    117,267      X         28-5284    114282              2985
                                                           1,674,240     23,887      X      X  28-5284     20477      2010    1400
                                                             252,114      3,597      X         28-4580      3520                77
                                                              27,475        392      X      X  28-4580       392

CLAIRES STORES INC           COM            179584107          5,912        245      X         28-5284       245
                                                              31,369      1,300      X      X  28-5284      1300

CLARIENT INC                 COM            180489106         91,044     56,200      X         28-5284     56200

CLEAR CHANNEL COMMUNICATIONS COM            184502102      1,060,768     32,252      X         28-5284     31952               300
                                                             867,474     26,375      X      X  28-5284     26175               200
                                                               6,578        200      X      X  28-1500       200
                                                               6,973        212      X         28-4580       212
                                                               6,578        200      X      X  28-4580       200

CLEVELAND CLIFFS INC         COM            185896107          6,533         75      X         28-5284        75
                                                             182,931      2,100      X      X  28-5284      2100

CLINICAL DATA INC NEW        COM            18725U109         32,400      1,500      X      X  28-5284      1500

CLOROX CO DEL                COM            189054109     10,551,989    189,989      X         28-5284    179389             10600
                                                           4,014,154     72,275      X      X  28-5284     67475              4800
                                                              42,210        760      X         28-1500                 760
                                                             366,564      6,600      X      X  28-4580      6600

COACH INC                    COM            189754104     17,949,805    572,379      X         28-5284    561309             11070
                                                           8,356,248    266,462      X      X  28-5284    249307      8440    8715
                                                             536,005     17,092      X         28-4580     16672               420
                                                              92,167      2,939      X      X  28-4580      2939
               COLUMN TOTAL                               55,929,265







                                                                                                                  FILE NO. 28-1235
PAGE 46 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
COASTAL FINL CORP DEL        COM            19046E105         54,958      3,659      X         28-5284                        3659
                                                              72,562      4,831      X      X  28-5284                        4831

COCA COLA CO                 COM            191216100     83,512,486  1,933,607      X         28-5284   1830344            103263
                                                          68,121,255  1,577,246      X      X  28-5284   1526396     33130   17720
                                                             203,641      4,715      X         28-1500                4715
                                                           2,068,369     47,890      X         28-4580     47890
                                                           3,231,821     74,828      X      X  28-4580     74828

COCA COLA ENTERPRISES INC    COM            191219104         46,995      2,410      X         28-5284      2410

COCA-COLA FEMSA S A DE C V   SPON ADR REP L 191241108         10,684        400      X         28-5284       400

COEUR D ALENE MINES CORP IDA COM            192108108          8,460      2,000      X         28-5284      2000

COFFEE HLDGS INC             COM            192176105          4,620        600      X      X  28-5284       600

COGENT INC                   COM            19239Y108        122,313      5,150      X         28-5284      2600              2550
                                                               4,750        200      X      X  28-5284       200

COGNOS INC                   COM            19244C109         85,646      2,200      X      X  28-5284      2200

COGNIZANT TECHNOLOGY SOLUTIO CL A           192446102        422,245      9,063      X         28-5284      9063
                                                           1,196,618     25,684      X      X  28-5284     25334       150     200
                                                               4,659        100      X      X  28-1500       100
                                                              72,960      1,566      X      X  28-4580      1566

COHEN & STEERS QUALITY RLTY  COM            19247L106         36,292      1,786      X      X  28-1500      1786
                                                               4,186        206      X      X  28-4580                         206

COHEN & STEERS REIT & PFD IN COM            19247X100         31,668      1,200      X         28-5284      1200
                                                             203,203      7,700      X      X  28-5284      4000      3700

COHERENT INC                 COM            192479103         29,280      1,000      X         28-5284      1000

COHEN & STEERS SELECT UTIL F COM            19248A109         28,522      1,300      X      X  28-5284      1300

COINSTAR INC                 COM            19259P300          1,851        100      X         28-1500       100

COLES MYER LTD               SPON ADR NEW   193870409          4,497         72      X      X  28-4580        72
               COLUMN TOTAL                              159,584,541







                                                                                                                  FILE NO. 28-1235
PAGE 47 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
COLGATE PALMOLIVE CO         COM            194162103     43,961,031    832,753      X         28-5284    742752             90001
                                                          28,331,601    536,685      X      X  28-5284    516827      5850   14008
                                                             129,547      2,454      X      X  28-1500      2454
                                                             315,684      5,980      X         28-4580      5980
                                                             618,910     11,724      X      X  28-4580     11724

COLONIAL BANCGROUP INC       COM            195493309          1,792         80      X         28-5284        80
                                                             743,680     33,200      X      X  28-5284     27200      6000

COLONIAL HIGH INCOME MUN TR  SH BEN INT     195743109         12,539      1,950      X         28-5284      1950

COLONIAL INTERMARKET INCM TR SH BEN INT     195762109          8,600      1,000      X         28-5284      1000

COLONIAL PPTYS TR            COM SH BEN INT 195872106          6,450        145      X         28-5284       145
                                                             281,959      6,339      X      X  28-5284      6339

COLUMBUS MCKINNON CORP N Y   COM            199333105         35,490      1,500      X      X  28-1500      1500

COMCAST CORP NEW             CL A           20030N101     49,292,383  1,677,753      X         28-5284   1493065       260  184428
                                                          13,259,282    451,303      X      X  28-5284    435969      3597   11737
                                                           1,008,704     34,333      X         28-1500     16087     18246
                                                             161,149      5,485      X         28-4580      5485
                                                             354,558     12,068      X      X  28-4580     12068

COMCAST CORP NEW             CL A SPL       20030N200     11,161,287    387,814      X         28-5284    327614             60200
                                                           4,936,490    171,525      X      X  28-5284    129440      3000   39085
                                                              17,268        600      X      X  28-1500       600
                                                               4,317        150      X         28-4580       150
                                                              24,089        837      X      X  28-4580       837

COMERICA INC                 COM            200340107         84,227      1,430      X         28-5284       630               800
                                                             234,128      3,975      X      X  28-5284      3975
                                                           1,802,340     30,600      X         28-1500     30600

COMM BANCORP INC             COM            200468106        940,488     23,840      X         28-5284     23840

COMMERCE BANCORP INC NJ      COM            200519106        883,565     28,790      X         28-5284     28540               250
                                                             395,901     12,900      X      X  28-5284     12900
                                                           4,852,242    158,105      X         28-11439   158105

COMMERCE BANCSHARES INC      COM            200525103         62,394      1,212      X         28-5284       330               882
                                                             236,962      4,603      X      X  28-5284      2730              1873
               COLUMN TOTAL                              164,159,057







                                                                                                                  FILE NO. 28-1235
PAGE 48 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
COMMERCE GROUP INC MASS      COM            200641108         11,604        200      X         28-5284       200
                                                               2,321         40      X      X  28-5284        40
                                                               1,741         30      X      X  28-4580        30

COMMERCEFIRST BANCORP INC    COM            200845105         30,650      2,500      X      X  28-5284      2500

COMMERCIAL FEDERAL CORPORATI COM            201647104         81,936      2,400      X         28-5284       600              1800
                                                              40,968      1,200      X      X  28-5284                        1200

COMMERCIAL NET LEASE RLTY IN COM            202218103         30,000      1,500      X      X  28-5284      1500

COMMERCIAL VEH GROUP INC     COM            202608105          4,188        200      X         28-5284       200

COMMONWEALTH TEL ENTERPRISES COM            203349105         48,972      1,299      X         28-5284      1299
                                                             148,236      3,932      X      X  28-5284      3932

COMMSCOPE INC                COM            203372107          2,341        135      X         28-5284       135

COMMUNITY BANCSHARES INC S C COM            20343F100         40,001      2,353      X      X  28-5284      2353

COMMUNITY BK SYS INC         COM            203607106        216,056      9,560      X         28-5284      9560
                                                              36,160      1,600      X      X  28-5284      1600
                                                           2,311,980    102,300      X         28-1500    102300

COMMUNITY BKS INC MILLERSBUR COM            203628102         84,330      3,000      X         28-5284      3000
                                                              67,576      2,404      X      X  28-5284      1984               420

COMMUNITY CAP CORP S C       COM            20363C102         31,752      1,323      X         28-5284                        1323

COMMUNITY HEALTH SYS INC NEW COM            203668108          4,851        125      X         28-5284       125

COMMUNITY SHORES BANK CORP   COM            204046106         14,413        918      X         28-1500       918

COMMUNITY TR BANCORP INC     COM            204149108      1,674,293     52,029      X         28-5284     35872             16157
                                                             151,246      4,700      X         28-1500      4700

COMPANHIA SIDERURGICA NACION SPONSORED ADR  20440W105         13,932        600      X      X  28-5284       600

COMPANHIA VALE DO RIO DOCE   SPONSORED ADR  204412209         48,246      1,100      X      X  28-5284      1100

COMPANIA DE MINAS BUENAVENTU SPONSORED ADR  204448104          8,073        260      X         28-5284       260
                                                              12,420        400      X      X  28-5284       400
               COLUMN TOTAL                                5,118,286







                                                                                                                  FILE NO. 28-1235
PAGE 49 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
COMPASS BANCSHARES INC       COM            20449H109        481,215     10,500      X         28-5284     10500
                                                             515,588     11,250      X      X  28-5284      9050      2200

COMPASS MINERALS INTL INC    COM            20451N101         82,800      3,600      X      X  28-5284      3600

COMPUDYNE CORP               COM PAR $0.75  204795306          2,941        507      X         28-1500       507

COMPUTER ASSOC INTL INC      COM            204912109        474,828     17,074      X         28-5284      6761             10313
                                                           1,045,795     37,605      X      X  28-5284      8405             29200

COMPUTER PROGRAMS & SYS INC  COM            205306103         38,685      1,120      X         28-5284      1120
                                                             677,329     19,610      X      X  28-5284     19610

COMPUTER SCIENCES CORP       COM            205363104         36,571        773      X         28-5284       773
                                                             292,187      6,176      X      X  28-5284      4776              1400
                                                               6,671        141      X      X  28-1500       141

COMPX INTERNATIONAL INC      CL A           20563P101            820         50      X         28-5284        50

COMPUWARE CORP               COM            205638109          7,600        800      X         28-5284       800

COMSTOCK RES INC             COM NEW        205768203          4,429        135      X         28-5284       135

COMSYS IT PARTNERS INC       COM            20581E104          2,442        200      X         28-5284       200

COMTECH TELECOMMUNICATIONS C COM NEW        205826209         70,499      1,700      X         28-5284      1700

COMVERSE TECHNOLOGY INC      COM PAR $0.10  205862402        124,783      4,750      X         28-5284      4750
                                                              12,767        486      X      X  28-1500       486

CONAGRA FOODS INC            COM            205887102      2,064,794     83,426      X         28-5284     83426
                                                           3,557,887    143,753      X      X  28-5284    122553       500   20700
                                                              86,625      3,500      X      X  28-1500      3500
                                                              77,864      3,146      X      X  28-4580      3146

CONCURRENT COMPUTER CORP NEW COM            206710204         26,533     15,700      X         28-5284     15700
                                                              31,941     18,900      X         28-1500     18900

CONEXANT SYSTEMS INC         COM            207142100         62,041     34,660      X         28-5284     34660
                                                               2,982      1,666      X      X  28-5284      1266               400

CONMED CORP                  COM            207410101         27,880      1,000      X      X  28-5284      1000
               COLUMN TOTAL                                9,816,497







                                                                                                                  FILE NO. 28-1235
PAGE 50 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
CONNECTICUT WTR SVC INC      COM            207797101            939         38      X         28-5284        38
                                                               9,888        400      X      X  28-5284       400

CONNETICS CORP               COM            208192104            372         22      X         28-5284        22

CONNS INC                    COM            208242107          4,297        155      X         28-5284       155

CONOCOPHILLIPS               COM            20825C104     15,884,461    227,213      X         28-5284    223893              3320
                                                          18,687,712    267,311      X      X  28-5284    235457      4800   27054
                                                             387,231      5,539      X         28-1500                5539
                                                           6,829,088     97,684      X         28-4580     97684
                                                          14,085,187    201,476      X      X  28-4580    197696              3780

CONOR MEDSYSTEMS INC         COM            208264101          3,290        140      X         28-5284       140

CONSECO INC                  *W EXP 09/10/2 208464123            216         77      X      X  28-5284                          77

CONSECO INC                  COM NEW        208464883          1,583         75      X         28-5284        75
                                                                 401         19      X      X  28-5284                          19

CONSOL ENERGY INC            COM            20854P109        255,505      3,350      X         28-5284      3350
                                                           1,197,439     15,700      X      X  28-5284     15700

CONSOLIDATED EDISON INC      COM            209115104     15,598,921    321,296      X         28-5284    320266              1030
                                                          11,807,603    243,205      X      X  28-5284    235247       750    7208
                                                             339,607      6,995      X         28-4580      6695               300
                                                             449,233      9,253      X      X  28-4580      9253

CONSOLIDATED TOMOKA LD CO    COM            210226106         40,800        600      X      X  28-5284       600

CONSTELLATION BRANDS INC     CL A           21036P108        876,460     33,710      X         28-5284     33560               150
                                                             362,544     13,944      X      X  28-5284     13944
                                                              64,038      2,463      X      X  28-1500      2463

CONSTELLATION BRANDS INC     CL B           21036P207         23,592        896      X      X  28-5284       896

CONSTELLATION ENERGY GROUP I COM            210371100      1,552,936     25,210      X         28-5284     24730               480
                                                           1,516,038     24,611      X      X  28-5284     21871       210    2530
                                                              41,210        669      X         28-4580       669

CONSUMER PORTFOLIO SVCS INC  COM            210502100         22,410      4,500      X         28-5284      4500

CONTINENTAL AIRLS INC        CL B           210795308          4,830        500      X      X  28-5284       500
               COLUMN TOTAL                               90,047,831







                                                                                                                  FILE NO. 28-1235
PAGE 51 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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      1,671,734    116,335      X         28-5284    116335
                                                             217,504     15,136      X      X  28-5284     15136

COOPER CAMERON CORP          COM            216640102          3,697         50      X         28-5284        50
                                                               7,393        100      X      X  28-5284       100

COOPER COS INC               COM NEW        216648402        158,813      2,073      X         28-5284      2073
                                                             771,463     10,070      X      X  28-5284     10070
                                                               5,976         78      X      X  28-4580        78

COOPER TIRE & RUBR CO        COM            216831107         14,048        920      X         28-5284       920
                                                             411,832     26,970      X      X  28-5284     26970

COPART INC                   COM            217204106         10,503        440      X         28-5284       440

CORILLIAN CORP               COM            218725109         10,106      3,158      X         28-5284      3158
                                                              44,739     13,981      X         28-1500     13981

CORINTHIAN COLLEGES INC      COM            218868107          2,654        200      X      X  28-1500       200

CORN PRODS INTL INC          COM            219023108        107,587      5,334      X         28-5284      5334
                                                             736,911     36,535      X      X  28-5284     32395       640    3500

CORNING INC                  COM            219350105      3,957,663    204,742      X         28-5284    199042              5700
                                                           5,631,428    291,331      X      X  28-5284    274975             16356
                                                               8,795        455      X         28-1500                 455
                                                              46,102      2,385      X         28-4580      2385
                                                             153,500      7,941      X      X  28-4580      7941

CORPORATE EXECUTIVE BRD CO   COM            21988R102         32,752        420      X         28-5284       420
                                                             631,638      8,100      X      X  28-5284      8100

CORPORATE HIGH YIELD FD V IN COM            219931102        122,042      8,440      X      X  28-5284      8440

CORPORATE OFFICE PPTYS TR    SH BEN INT     22002T108         36,348      1,040      X         28-5284      1040
                                                             643,080     18,400      X      X  28-5284     18400
                                                              26,213        750      X         28-4580       750

CORRECTIONS CORP AMER NEW    COM NEW        22025Y407         15,364        387      X         28-5284       387

CORUS BANKSHARES INC         COM            220873103          3,070         56      X         28-5284        56
                                                             575,715     10,500      X         28-1500     10500
               COLUMN TOTAL                               16,058,670







                                                                                                                  FILE NO. 28-1235
PAGE 52 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
COSTCO WHSL CORP NEW         COM            22160K105     13,258,707    307,698      X         28-5284    235853             71845
                                                           3,858,020     89,534      X      X  28-5284     72274             17260
                                                             232,384      5,393      X      X  28-1500      5393
                                                               1,293         30      X         28-4580        30
                                                              26,543        616      X      X  28-4580       616

COUNTRYWIDE FINANCIAL CORP   COM            222372104      4,090,443    124,028      X         28-5284    121420              2608
                                                           1,591,846     48,267      X      X  28-5284     45551              2716
                                                              19,788        600      X         28-1500                 600
                                                              15,830        480      X         28-4580       480
                                                             114,243      3,464      X      X  28-4580      3464

COVANCE INC                  COM            222816100        166,525      3,470      X         28-5284      3470
                                                             777,678     16,205      X      X  28-5284     16205
                                                               2,639         55      X      X  28-4580        55

COVENTRY HEALTH CARE INC     COM            222862104        232,770      2,706      X         28-5284      2706
                                                           1,264,494     14,700      X      X  28-5284     14700

COX RADIO INC                CL A           224051102            334         22      X         28-5284        22

CP SHIPS LTD                 COM            22409V102         19,197        900      X      X  28-5284                         900

CRAFTMADE INTL INC           COM            22413E104          3,594        200      X      X  28-1500       200

CRANE CO                     COM            224399105         71,346      2,399      X         28-5284      2399
                                                              41,636      1,400      X      X  28-5284      1400

CREDIT SUISSE ASSET MGMT INC COM            224916106         41,000     10,000      X         28-5284     10000
                                                              82,000     20,000      X      X  28-5284     20000

CRAY INC                     COM            225223106            920      1,000      X         28-5284                        1000

CRESCENT REAL ESTATE EQUITIE COM            225756105        107,165      5,225      X         28-5284      5225
                                                             102,550      5,000      X      X  28-5284      5000

CRESCENT REAL ESTATE EQUITIE PFD CV A 6.75% 225756204         18,296        826      X      X  28-5284       826

CRESUD S A C I F Y A         SPONSORED ADR  226406106         10,298        750      X      X  28-5284       750

CROSS TIMBERS RTY TR         TR UNIT        22757R109         87,043      1,603      X         28-5284      1603

CROWN CASTLE INTL CORP       COM            228227104        492,600     20,000      X      X  28-5284     20000
               COLUMN TOTAL                               26,731,182







                                                                                                                  FILE NO. 28-1235
PAGE 53 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
CROWN HOLDINGS INC           COM            228368106        130,389      8,180      X         28-5284      8180
                                                              87,670      5,500      X      X  28-5284      5500

CRUCELL N V                  SPONSORED ADR  228769105         13,405        500      X      X  28-5284       500

CRYPTOLOGIC INC              COM            228906103          2,213        126      X         28-5284       126

CUBIST PHARMACEUTICALS INC   COM            229678107          1,077         50      X         28-5284        50

CUMMINS INC                  COM            231021106     23,556,507    267,718      X         28-5284    262693              5025
                                                           5,036,812     57,243      X      X  28-5284     51248      4290    1705
                                                             753,986      8,569      X         28-4580      8296               273
                                                             232,734      2,645      X      X  28-4580      2645

CUMULUS MEDIA INC            CL A           231082108          2,810        225      X         28-5284       225

CURAGEN CORP                 COM            23126R101         12,870      2,600      X      X  28-5284      2600

CURTISS WRIGHT CORP          COM            231561101          4,073         66      X         28-5284        66
                                                               6,788        110      X      X  28-5284       110

CYANOTECH CORP               COM NEW        232437202             58         60      X      X  28-5284        60

CYBERONICS INC               COM            23251P102         59,700      2,000      X         28-5284                        2000

CYMER INC                    COM            232572107          2,975         95      X         28-5284        95

CYPRESS SEMICONDUCTOR CORP   COM            232806109        752,500     50,000      X      X  28-5284     50000

CYTEC INDS INC               COM            232820100         59,604      1,374      X         28-5284      1374
                                                             103,331      2,382      X      X  28-5284       747       855     780
                                                              59,474      1,371      X      X  28-4580      1371

CYTOGEN CORP                 COM NEW        232824300            808        200      X      X  28-5284       200

CYTRX CORP                   COM NEW        232828301         12,125     12,500      X      X  28-1500     12500

CYTYC CORP                   COM            232946103         76,523      2,850      X         28-5284      2850
                                                             797,445     29,700      X      X  28-5284     29700
                                                              16,110        600      X      X  28-1500       600

DHB INDS INC                 COM            23321E103         13,827      3,300      X      X  28-5284      3300
               COLUMN TOTAL                               31,795,814







                                                                                                                  FILE NO. 28-1235
PAGE 54 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
DNP SELECT INCOME FD         COM            23325P104        621,850     53,654      X         28-5284     53654
                                                             336,527     29,036      X      X  28-5284     29036
                                                              82,046      7,079      X         28-1500                7079
                                                              11,590      1,000      X         28-4580      1000

DPL INC                      COM            233293109        550,245     19,793      X         28-5284     19793
                                                             259,569      9,337      X      X  28-5284      9337
                                                             738,841     26,577      X      X  28-1500     26577

DRS TECHNOLOGIES INC         COM            23330X100          1,728         35      X         28-5284        35
                                                               7,404        150      X      X  28-5284       150
                                                              24,631        499      X      X  28-1500       499

D R HORTON INC               COM            23331A109        487,702     13,465      X         28-5284     13465
                                                             150,893      4,166      X      X  28-5284      4166

DSP GROUP INC                COM            23332B106          7,595        296      X         28-5284       296

DST SYS INC DEL              COM            233326107         38,107        695      X         28-5284       695
                                                              10,966        200      X      X  28-5284       200

DTE ENERGY CO                COM            233331107        303,639      6,621      X         28-5284      5930               691
                                                             136,525      2,977      X      X  28-5284      2977
                                                              21,784        475      X      X  28-4580       475

DTF TAX-FREE INCOME INC      COM            23334J107         52,739      3,456      X         28-5284      2756               700
                                                              13,734        900      X      X  28-5284       900
                                                               7,630        500      X      X  28-4580       500

DADE BEHRING HLDGS INC       COM            23342J206         21,996        600      X      X  28-5284                         600

DAKTRONICS INC               COM            234264109         26,786      1,117      X      X  28-1500      1117

DANA CORP                    COM            235811106         16,063      1,707      X         28-5284      1707
                                                              96,471     10,252      X      X  28-5284     10252

DANAHER CORP DEL             COM            235851102      4,707,434     87,450      X         28-5284     86130              1320
                                                           4,753,996     88,315      X      X  28-5284     85377              2938
                                                              48,447        900      X      X  28-1500       900
                                                              24,493        455      X         28-4580       455
                                                              34,882        648      X      X  28-4580       648
               COLUMN TOTAL                               13,596,313







                                                                                                                  FILE NO. 28-1235
PAGE 55 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
DARDEN RESTAURANTS INC       COM            237194105      1,709,831     56,300      X         28-5284     56300
                                                             923,764     30,417      X      X  28-5284     29160              1257
                                                              36,444      1,200      X         28-1500                1200

DAVE & BUSTERS INC           COM            23833N104          3,004        225      X         28-5284       225

DAVITA INC                   COM            23918K108          5,068        110      X         28-5284       110

DAWSON GEOPHYSICAL CO        COM            239359102         38,418      1,270      X         28-5284      1270
                                                             801,625     26,500      X      X  28-5284     26500

DEAN FOODS CO NEW            COM            242370104        519,170     13,360      X         28-5284     13360
                                                             537,978     13,844      X      X  28-5284      8444              5400
                                                               7,772        200      X      X  28-1500       200

DEARBORN BANCORP INC         COM            24242R108        698,912     27,195      X         28-1500     27195

DEBT STRATEGIES FD INC NEW   COM            24276Q109         40,454      6,056      X         28-5284      6056
                                                             295,864     44,291      X      X  28-5284     44291

DECODE GENETICS INC          COM            243586104         12,585      1,500      X         28-5284      1500
                                                                 839        100      X      X  28-1500       100

DECORATOR INDS INC           COM PAR $0.20  243631207          2,850        325      X      X  28-5284       325

DEERE & CO                   COM            244199105      1,308,334     21,378      X         28-5284     21378
                                                           1,561,212     25,510      X      X  28-5284     22935              2575
                                                              29,682        485      X      X  28-1500       485

DEL MONTE FOODS CO           COM            24522P103        680,540     63,424      X         28-5284     62890               534
                                                             899,024     83,786      X      X  28-5284     79695       156    3935
                                                              31,965      2,979      X         28-4580      2979
                                                             106,924      9,965      X      X  28-4580      9965

DELAWARE INV GLBL DIV & INC  COM            245916101          9,821        700      X      X  28-5284       700

DELL INC                     COM            24702R101     85,601,437  2,502,966      X         28-5284   2430240             72726
                                                          43,187,897  1,262,804      X      X  28-5284   1183107     25590   54107
                                                             511,803     14,965      X         28-1500               14965
                                                           3,515,760    102,800      X         28-11439   102800
                                                           1,341,290     39,219      X         28-4580     38617               602
                                                           1,105,652     32,329      X      X  28-4580     31952               377
               COLUMN TOTAL                              145,525,919







                                                                                                                  FILE NO. 28-1235
PAGE 56 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
DELPHI CORP                  COM            247126105         31,864     11,545      X         28-5284     11545
                                                              64,283     23,291      X      X  28-5284     14345              8946
                                                               4,526      1,640      X         28-4580      1640
                                                                 453        164      X      X  28-4580       164

DELPHI FINL GROUP INC        CL A           247131105          1,872         40      X      X  28-5284        40
                                                               1,170         25      X      X  28-4580        25

DELTA AIR LINES INC DEL      COM            247361108          1,200      1,600      X         28-5284      1600
                                                               2,250      3,000      X      X  28-1500      3000

DELTA NAT GAS INC            COM            247748106         39,960      1,500      X         28-5284      1500
                                                               9,324        350      X      X  28-5284       350
                                                             113,140      4,247      X         28-1500       893      3354

DELTA PETE CORP              COM NEW        247907207          1,872         90      X         28-5284        90

DENBURY RES INC              COM NEW        247916208         17,200        341      X         28-5284       341
                                                             141,232      2,800      X      X  28-5284      2800

DELUXE CORP                  COM            248019101         60,240      1,500      X         28-5284      1500
                                                              14,257        355      X      X  28-5284       355

DENTSPLY INTL INC NEW        COM            249030107         13,883        257      X         28-5284       257
                                                             297,110      5,500      X      X  28-5284      5500

DEUTSCHE TELEKOM AG          SPONSORED ADR  251566105          5,016        275      X         28-5284       275
                                                               2,809        154      X      X  28-5284       154
                                                           1,658,016     90,900      X         28-11439    90900

DEVELOPERS DIVERSIFIED RLTY  COM            251591103        752,430     16,112      X         28-5284     15802               310
                                                             300,982      6,445      X      X  28-5284      4955       490    1000

DEVON ENERGY CORP NEW        COM            25179M103        595,521      8,676      X         28-5284      7642              1034
                                                             442,522      6,447      X      X  28-5284      6447
                                                             108,863      1,586      X         28-1500                1586

DIAGEO P L C                 SPON ADR NEW   25243Q205        735,277     12,675      X         28-5284      1475             11200
                                                             536,302      9,245      X      X  28-5284      4245              5000
                                                             399,457      6,886      X      X  28-1500      6886

DIAGNOSTIC PRODS CORP        COM            252450101         11,495        218      X         28-5284       218
               COLUMN TOTAL                                6,364,526







                                                                                                                  FILE NO. 28-1235
PAGE 57 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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         64,129      1,047      X         28-5284      1047
                                                               6,125        100      X      X  28-5284       100

DIAMONDS TR                  UNIT SER 1     252787106      6,038,537     57,102      X         28-5284     56486               616
                                                           6,072,482     57,423      X      X  28-5284     56928               495

DICKS SPORTING GOODS INC     COM            253393102          4,517        150      X         28-5284       150
                                                             117,429      3,900      X      X  28-5284      3400               500

DIEBOLD INC                  COM            253651103         29,050        843      X         28-5284       843
                                                              34,460      1,000      X      X  28-5284      1000
                                                              17,919        520      X      X  28-1500       520
                                                              32,737        950      X      X  28-4580       950

DIGENE CORP                  COM            253752109        165,300      5,800      X         28-5284      2800              3000
                                                               5,700        200      X      X  28-5284       200

DIGI INTL INC                COM            253798102          3,487        325      X         28-5284       325

DIGITAL INSIGHT CORP         COM            25385P106          6,020        231      X         28-5284       231

DIGITAL RIV INC              COM            25388B104         67,365      1,933      X         28-5284      1933
                                                             780,640     22,400      X      X  28-5284     22400
                                                              40,391      1,159      X         28-1500      1159

DIGITAS INC                  COM            25388K104          3,635        320      X         28-5284       320

DIME CMNTY BANCSHARES        COM            253922108        125,120      8,500      X      X  28-5284                8500

DIME BANCORP INC NEW         *W EXP 99/99/9 25429Q110            336      2,100      X         28-5284      2000               100
                                                                 320      2,000      X      X  28-5284                2000

DIODES INC                   COM            254543101         52,214      1,440      X         28-5284      1440
                                                             917,378     25,300      X      X  28-5284     25300

DIONEX CORP                  COM            254546104         46,872        864      X      X  28-5284       864

DIRECT GEN CORP              COM            25456W204         26,182      1,327      X         28-5284      1327
               COLUMN TOTAL                               14,658,345







                                                                                                                  FILE NO. 28-1235
PAGE 58 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
DIRECTV GROUP INC            COM            25459L106        675,478     45,092      X         28-5284     16371             28721
                                                             353,034     23,567      X      X  28-5284     11277       493   11797
                                                               4,494        300      X      X  28-1500       300
                                                                 135          9      X         28-4580         9
                                                               2,292        153      X      X  28-4580       153

DISCOVERY LABORATORIES INC N COM            254668106          3,870        600      X         28-5284       600

DISCOVERY HOLDING CO         CL A COM       25468Y107        258,788     17,934      X         28-5284      2994             14940
                                                             404,906     28,060      X      X  28-5284      3450             24610
                                                              45,296      3,139      X      X  28-1500      3139

DISNEY WALT CO               COM DISNEY     254687106     67,181,540  2,784,150      X         28-5284   2543383            240767
                                                          33,098,421  1,371,671      X      X  28-5284   1320609     11985   39077
                                                             734,855     30,454      X         28-1500     13987     16467
                                                             270,980     11,230      X         28-4580     11230
                                                             671,079     27,811      X      X  28-4580     26111              1700

DISTRIBUTED ENERGY SYS CORP  COM            25475V104          7,506        900      X      X  28-5284       900

DIVERSIFIED INCOME STRAT PTF COM            255251100         34,240      2,000      X         28-4580      2000

DOCUCORP INTL INC            COM            255911109            918        134      X      X  28-5284       134

DOLLAR GEN CORP              COM            256669102        579,764     31,612      X         28-5284     31317               295
                                                             175,606      9,575      X      X  28-5284      9575
                                                              19,532      1,065      X         28-1500                1065

DOLLAR TREE STORES INC       COM            256747106          7,015        324      X         28-5284       200               124
                                                              17,320        800      X      X  28-5284       800

DOMINION RES BLACK WARRIOR T UNITS BEN INT  25746Q108        105,210      2,100      X         28-5284      2100

DOMINION RES INC VA NEW      COM            25746U109     25,352,811    294,321      X         28-5284    289707              4614
                                                          29,610,625    343,750      X      X  28-5284    328572      1588   13590
                                                              77,009        894      X      X  28-1500       894
                                                             491,084      5,701      X         28-4580      5701
                                                           1,060,642     12,313      X      X  28-4580     10489              1824

DONALDSON INC                COM            257651109      1,418,607     46,466      X         28-5284     31368             15098
                                                             685,399     22,450      X      X  28-5284     22450
                                                             230,807      7,560      X      X  28-1500      7560
               COLUMN TOTAL                              163,579,263







                                                                                                                  FILE NO. 28-1235
PAGE 59 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
DONEGAL GROUP INC            CL A           257701201          3,168        146      X         28-5284       146

DONNELLEY R R & SONS CO      COM            257867101        831,740     22,437      X         28-5284     22437
                                                           1,354,538     36,540      X      X  28-5284     32340      4000     200
                                                              44,484      1,200      X      X  28-1500      1200

DORAL FINL CORP              COM            25811P100          1,961        150      X         28-5284       150
                                                              32,675      2,500      X      X  28-5284      2500
                                                              58,815      4,500      X      X  28-4580      4500

DORCHESTER MINERALS LP       COM UNIT       25820R105         30,650      1,000      X      X  28-5284      1000
                                                              30,650      1,000      X         28-4580      1000

DOVER CORP                   COM            260003108     12,722,034    311,891      X         28-5284    268466             43425
                                                           4,069,904     99,777      X      X  28-5284     95779              3998
                                                              44,176      1,083      X         28-1500      1083
                                                             378,368      9,276      X      X  28-1500      9276
                                                             130,528      3,200      X         28-4580      3200

DOVER DOWNS GAMING & ENTMT I COM            260095104         13,600      1,000      X         28-5284      1000

DOVER MOTORSPORTS INC        COM            260174107          1,368        200      X      X  28-5284       200

DOW CHEM CO                  COM            260543103     39,925,652    958,139      X         28-5284    932747      1650   23742
                                                          27,504,200    660,048      X      X  28-5284    606433      8728   44887
                                                             396,532      9,516      X         28-1500                9516
                                                             244,770      5,874      X         28-4580      5874
                                                             801,022     19,223      X      X  28-4580     19223

DOW JONES & CO INC           COM            260561105        140,425      3,677      X         28-5284      3677
                                                             781,940     20,475      X      X  28-5284     19350              1125
                                                              31,507        825      X      X  28-4580       825

DOW 30 COVERED CALL FD INC   COM            260582101         24,413      1,250      X      X  28-5284      1250

DREAMWORKS ANIMATION SKG INC CL A           26153C103          2,766        100      X         28-5284       100

DREMAN/CLAYMORE DIVID & INC  COM            26153R100          9,900        536      X      X  28-5284       536

DREW INDS INC                COM NEW        26168L205          5,162        200      X      X  28-5284       200

DREYFUS STRATEGIC MUNS INC   COM            261932107         13,837      1,560      X         28-5284      1560
                                                              44,350      5,000      X      X  28-5284      5000
               COLUMN TOTAL                               89,675,135







                                                                                                                  FILE NO. 28-1235
PAGE 60 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
DREYFUS STRATEGIC MUN BD FD  COM            26202F107        114,967     13,291      X      X  28-5284     13291

DU PONT E I DE NEMOURS & CO  COM            263534109     56,056,148  1,431,099      X         28-5284   1411439             19660
                                                          79,735,157  2,035,618      X      X  28-5284   1843735      7924  183959
                                                             141,012      3,600      X      X  28-1500      3600
                                                          10,972,849    280,134      X         28-4580    278142              1992
                                                          29,102,605    742,982      X      X  28-4580    737325              5657

DUFF & PHELPS UTIL CORP BD T COM            26432K108        154,442     10,600      X         28-5284     10600
                                                              29,140      2,000      X      X  28-5284      2000

DUKE ENERGY CORP             COM            264399106      9,888,980    339,012      X         28-5284    332612              6400
                                                          13,726,031    470,553      X      X  28-5284    439153       500   30900
                                                              46,905      1,608      X         28-1500                1608
                                                             341,289     11,700      X         28-11439    11700
                                                             123,243      4,225      X         28-4580      4225

DUKE REALTY CORP             COM NEW        264411505      6,307,846    186,182      X         28-5284    184132              2050
                                                           9,223,762    272,248      X      X  28-5284    225248      1100   45900
                                                              33,880      1,000      X      X  28-1500      1000
                                                              74,536      2,200      X         28-4580      2200
                                                             101,640      3,000      X      X  28-4580      3000

DUN & BRADSTREET CORP DEL NE COM            26483E100        737,085     11,190      X         28-5284     10590               600
                                                             338,506      5,139      X      X  28-5284      5039       100
                                                           2,103,427     31,933      X      X  28-4580     31933

DUQUESNE LT HLDGS INC        COM            266233105        184,887     10,743      X         28-5284      9993               750
                                                             314,289     18,262      X      X  28-5284     16962              1300
                                                              51,630      3,000      X         28-4580      3000

DYCOM INDS INC               COM            267475101         20,220      1,000      X         28-5284      1000

DYNEGY INC NEW               CL A           26816Q101         37,209      7,900      X         28-5284      7900
                                                                 942        200      X      X  28-5284       200

ECC CAPITAL CORP             COM            26826M108          1,630        500      X         28-5284       500

EDP ENERGIAS DE PORTUGAL S A SPONSORED ADR  268353109         20,674        741      X         28-5284       741

EGL INC                      COM            268484102          3,394        125      X         28-5284       125
               COLUMN TOTAL                              219,988,325







                                                                                                                  FILE NO. 28-1235
PAGE 61 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
E M C CORP MASS              COM            268648102     23,700,762  1,831,589      X         28-5284   1794324             37265
                                                           6,107,137    471,958      X      X  28-5284    442798     19000   10160
                                                             355,695     27,488      X         28-1500      1723     25765
                                                             511,298     39,513      X         28-4580     38761               752
                                                             316,124     24,430      X      X  28-4580     24430

ENSCO INTL INC               COM            26874Q100         21,478        461      X         28-5284       461
                                                              59,169      1,270      X      X  28-5284       970               300
                                                               1,118         24      X      X  28-1500        24

ENI S P A                    SPONSORED ADR  26874R108        130,772        883      X         28-5284       883
                                                             118,480        800      X      X  28-5284       400               400

EOG RES INC                  COM            26875P101     64,322,098    858,773      X         28-5284    845776             12997
                                                          22,455,619    299,808      X      X  28-5284    285668      7160    6980
                                                           1,364,304     18,215      X         28-4580     18215
                                                             350,532      4,680      X      X  28-4580      4680

E ON AG                      SPONSORED ADR  268780103          2,306         75      X         28-5284        75
                                                               9,225        300      X      X  28-5284                         300

EP MEDSYSTEMS INC            COM            26881P103          8,040      3,000      X         28-5284      3000

ESB FINL CORP                COM            26884F102         34,270      2,892      X         28-5284      2892
                                                              57,093      4,818      X      X  28-5284                        4818

E TRADE FINANCIAL CORP       COM            269246104         35,200      2,000      X      X  28-5284      2000

EVCI CAREER COLLEGES INC     COM            26926P100          5,583        875      X         28-5284       875

EAGLE MATERIALS INC          COM            26969P108         24,274        200      X         28-5284       200
                                                               3,034         25      X      X  28-5284        25

EAGLE MATERIALS INC          CL B           26969P207         33,553        290      X      X  28-5284                         290

EARTHLINK INC                COM            270321102            888         83      X         28-5284        83

EAST WEST BANCORP INC        COM            27579R104          4,085        120      X         28-5284       120

EASTERN AMERN NAT GAS TR     SPERS RCT UNIT 276217106         93,750      3,000      X      X  28-5284      3000

EASTGROUP PPTY INC           COM            277276101         60,156      1,375      X         28-5284      1375
               COLUMN TOTAL                              120,186,043







                                                                                                                  FILE NO. 28-1235
PAGE 62 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
EASTMAN CHEM CO              COM            277432100        216,814      4,616      X         28-5284      4616
                                                             351,805      7,490      X      X  28-5284      7290               200
                                                              14,091        300      X         28-4580       300
                                                              72,005      1,533      X      X  28-4580      1533

EASTMAN KODAK CO             COM            277461109        545,965     22,440      X         28-5284     19022              3418
                                                             991,375     40,747      X      X  28-5284     31346       100    9301
                                                             355,218     14,600      X         28-11439    14600
                                                              88,318      3,630      X      X  28-4580      3630

EATON CORP                   COM            278058102      1,149,683     18,091      X         28-5284     18091
                                                           2,033,028     31,991      X      X  28-5284     31991
                                                             949,564     14,942      X      X  28-1500     14942

EATON VANCE MA MUNI INCOME T SH BEN INT     27826E104         35,960      2,326      X         28-5284      2326

EATON VANCE NJ MUNI INCOME T SH BEN INT     27826V106         25,358      1,750      X         28-5284      1750

EATON VANCE CORP             COM NON VTG    278265103         40,953      1,650      X         28-5284      1650
                                                             737,278     29,705      X      X  28-5284     29705
                                                               2,482        100      X      X  28-4580       100

EATON VANCE INS MUN BD FD    COM            27827X101         80,006      5,316      X         28-5284      5316
                                                              70,223      4,666      X      X  28-5284      4666

EATON VANCE ENHANCED EQ INC  COM            278274105         20,447      1,028      X         28-5284      1028
                                                               9,945        500      X      X  28-1500       500

EATON VANCE ENH EQTY INC FD  COM            278277108            685         35      X      X  28-1500        35

EATON VANCE FLTING RATE INC  COM            278279104         14,693        832      X      X  28-5284       832

EATON VANCE TAX ADVT DIV INC COM            27828G107        108,200      5,000      X         28-5284      5000

EATON VANCE LTD DUR INCOME F COM            27828H105         66,963      3,900      X      X  28-5284      3900
                                                               8,585        500      X      X  28-1500       500

EATON VANCE SR FLTNG RTE TR  COM            27828Q105         36,464      2,073      X         28-5284      2073

EATON VANCE INS NJ MUN BD FD COM            27828R103         82,824      5,100      X         28-5284      5100
                                                             168,734     10,390      X      X  28-5284     10390
               COLUMN TOTAL                                8,277,666







                                                                                                                  FILE NO. 28-1235
PAGE 63 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
EATON VANCE TX ADV GLBL DIV  COM            27828S101         40,040      2,000      X         28-5284      2000
                                                             200,200     10,000      X      X  28-5284     10000

EATON VANCE INS PA MUN BD FD COM            27828W102         15,540      1,000      X         28-5284      1000
                                                              96,923      6,237      X      X  28-5284      6237

EBAY INC                     COM            278642103      1,041,536     25,280      X         28-5284     23930              1350
                                                           1,054,555     25,596      X      X  28-5284     25396               200
                                                             111,240      2,700      X         28-1500                2700
                                                              11,206        272      X      X  28-4580       183                89

ECHOSTAR COMMUNICATIONS NEW  CL A           278762109         19,871        672      X         28-5284       672
                                                               3,253        110      X         28-1500       110

ECLIPSYS CORP                COM            278856109        115,014      6,447      X         28-5284      6447

ECOLAB INC                   COM            278865100      5,064,960    158,627      X         28-5284    105787             52840
                                                           2,231,332     69,882      X      X  28-5284     68582              1300
                                                               9,803        307      X      X  28-1500       307
                                                              43,872      1,374      X      X  28-4580      1374

EDGE PETE CORP DEL           COM            279862106         44,071      1,670      X         28-5284      1670
                                                           1,108,380     42,000      X      X  28-5284     42000

EDISON INTL                  COM            281020107        163,352      3,455      X         28-5284      3455
                                                             203,020      4,294      X      X  28-5284      3995               299

EDO CORP                     COM            281347104          2,402         80      X         28-5284        80

EDUCATION MGMT CORP          COM            28139T101      2,652,224     82,265      X         28-5284     82265

EDWARDS LIFESCIENCES CORP    COM            28176E108        104,541      2,354      X         28-5284      1997               357
                                                              18,030        406      X      X  28-5284       406
                                                               4,441        100      X      X  28-1500       100

EDWARDS AG INC               COM            281760108         43,810      1,000      X      X  28-5284                1000

EFUNDS CORP                  COM            28224R101          8,549        454      X         28-5284       454

EL PASO CORP                 COM            28336L109        263,766     18,976      X         28-5284     18976
                                                             194,072     13,962      X      X  28-5284     13962
                                                              13,900      1,000      X      X  28-1500      1000
               COLUMN TOTAL                               14,883,903







                                                                                                                  FILE NO. 28-1235
PAGE 64 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ELAN PLC                     ADR            284131208         51,636      5,828      X         28-5284      5828
                                                             266,987     30,134      X      X  28-5284     29134              1000

ELECTRONIC ARTS INC          COM            285512109      9,138,298    160,631      X         28-5284    158956              1675
                                                           4,534,076     79,699      X      X  28-5284     71024       550    8125
                                                             207,933      3,655      X         28-4580      3655
                                                              56,833        999      X      X  28-4580       999

ELECTRONIC DATA SYS NEW      COM            285661104        236,271     10,529      X         28-5284     10529
                                                             961,935     42,867      X      X  28-5284     39267              3600
                                                             269,280     12,000      X         28-1500               12000
                                                               3,321        148      X         28-4580       148
                                                               9,313        415      X      X  28-4580       415

ELECTRONICS BOUTIQUE HLDGS C COM            286045109          3,142         50      X      X  28-5284        50

ELKCORP                      COM            287456107          6,617        185      X         28-5284       185

EMBRAER-EMPRESA BRASILEIRA D SP ADR PFD SHS 29081M102        258,620      6,700      X      X  28-5284      6700

EMERSON ELEC CO              COM            291011104     48,783,648    679,438      X         28-5284    664010             15428
                                                          50,331,800    701,000      X      X  28-5284    662006      7968   31026
                                                             242,325      3,375      X         28-1500                3375
                                                             359,862      5,012      X         28-4580      5012
                                                           2,150,482     29,951      X      X  28-4580     29151               800

EMMIS COMMUNICATIONS CORP    CL A           291525103            619         28      X         28-5284        28

EMPIRE DIST ELEC CO          COM            291641108         29,960      1,310      X         28-5284      1310

EMULEX CORP                  COM NEW        292475209         21,827      1,080      X         28-5284      1080
                                                              17,886        885      X      X  28-5284       885
                                                              40,420      2,000      X      X  28-4580      2000

ENBRIDGE ENERGY PARTNERS L P COM            29250R106        355,667      6,390      X         28-5284      6390
                                                           1,527,366     27,441      X      X  28-5284     25615      1500     326

ENCANA CORP                  COM            292505104        895,059     15,350      X         28-5284     15350
                                                             667,300     11,444      X      X  28-5284      4444              7000
                                                              10,437        179      X      X  28-4580        48               131

ENCORE ACQUISITION CO        COM            29255W100         63,792      1,642      X         28-5284      1642
               COLUMN TOTAL                              121,502,712







                                                                                                                  FILE NO. 28-1235
PAGE 65 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
ENCYSIVE PHARMACEUTICALS INC COM            29256X107         11,780      1,000      X         28-5284                        1000
                                                              23,560      2,000      X      X  28-5284      2000

ENCORE WIRE CORP             COM            292562105          4,878        300      X         28-5284       300

ENDESA S A                   SPONSORED ADR  29258N107          5,541        207      X      X  28-4580       207

ENERGEN CORP                 COM            29265N108         33,743        780      X         28-5284       780
                                                              26,648        616      X      X  28-5284       616

ENEL SOCIETA PER AZIONI      ADR            29265W108          6,437        150      X         28-5284       150
                                                              12,873        300      X      X  28-5284                         300

ENERGY CONVERSION DEVICES IN COM            292659109         22,440        500      X      X  28-5284       500
                                                             146,668      3,268      X      X  28-1500      3268

ENERGY EAST CORP             COM            29266M109        276,032     10,958      X         28-5284     10958
                                                             186,809      7,416      X      X  28-5284      7416

ENERGIZER HLDGS INC          COM            29266R108         28,407        501      X         28-5284       501
                                                             454,564      8,017      X      X  28-5284      8017

ENERGY PARTNERS LTD          COM            29270U105         10,615        340      X         28-5284       190               150

ENERGY TRANSFER PRTNRS L P   UNIT LTD PARTN 29273R109         55,952      1,600      X      X  28-5284      1400               200

ENERPLUS RES FD              UNIT TR G NEW  29274D604        405,920      8,600      X         28-5284      8600
                                                             516,746     10,948      X      X  28-5284     10948
                                                              11,139        236      X      X  28-4580        42               194

ENGELHARD CORP               COM            292845104        128,386      4,600      X         28-5284      2100              2500
                                                              60,007      2,150      X      X  28-5284       850              1300

ENGINEERED SUPPORT SYS INC   COM            292866100         11,368        277      X         28-5284       277

ENERGYSOUTH INC              COM            292970100         22,762        825      X      X  28-5284                         825

ENNIS INC                    COM            293389102         20,160      1,200      X         28-5284      1200

ENSTAR GROUP INC GA          COM            29358R107         64,890      1,000      X         28-5284      1000

ENTEGRIS INC                 COM            29362U104          6,373        564      X         28-5284       564
                                                              24,770      2,192      X      X  28-5284      2192
               COLUMN TOTAL                                2,579,468







                                                                                                                  FILE NO. 28-1235
PAGE 66 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ENTERASYS NETWORKS INC       COM            293637104            485        362      X         28-5284       362

ENTERCOM COMMUNICATIONS CORP CL A           293639100          9,477        300      X      X  28-5284       300

ENTERGY CORP NEW             COM            29364G103      8,423,132    113,336      X         28-5284    112471               865
                                                           5,885,995     79,198      X      X  28-5284     68208      1150    9840
                                                             438,488      5,900      X         28-4580      5750               150
                                                             100,332      1,350      X      X  28-4580       800               550

ENTERPRISE PRODS PARTNERS L  COM            293792107        181,472      7,207      X         28-5284      7207
                                                             647,932     25,732      X      X  28-5284     21232      4500

ENTERTAINMENT PPTYS TR       COM SH BEN INT 29380T105          1,785         40      X      X  28-5284        40
                                                               1,339         30      X      X  28-4580        30

ENTERRA ENERGY TR            TR UNIT        29381P102         81,543      3,300      X         28-5284      3300
                                                             255,749     10,350      X      X  28-5284       350     10000

ENTRAVISION COMMUNICATIONS C CL A           29382R107            425         54      X         28-5284        54

ENZON PHARMACEUTICALS INC    COM            293904108            119         18      X         28-5284        18

EQUIFAX INC                  COM            294429105      1,676,840     47,992      X         28-5284     47992
                                                             234,098      6,700      X      X  28-5284      5200              1500

EQUINIX INC                  COM NEW        29444U502        120,785      2,900      X         28-5284      2900

EQUITABLE RES INC            COM            294549100      2,689,672     68,860      X         28-5284     67544              1316
                                                           2,633,347     67,418      X      X  28-5284     67418
                                                             110,774      2,836      X      X  28-4580      2836

EQUITY INCOME FD             UT 1 EX SR-ATT 294700703        286,750      3,690      X         28-5284      3690
                                                              34,970        450      X      X  28-5284       250       200

EQUITY INNS INC              COM            294703103         13,500      1,000      X         28-5284      1000

EQUITY OFFICE PROPERTIES TRU COM            294741103        242,839      7,424      X         28-5284      7424
                                                           6,149,742    188,008      X      X  28-5284    174108       400   13500

EQUITY ONE                   COM            294752100        250,263     10,764      X      X  28-5284      9666              1098

EQUITY RESIDENTIAL           SH BEN INT     29476L107         18,017        476      X         28-5284       476
                                                             297,123      7,850      X      X  28-5284      5550              2300
               COLUMN TOTAL                               30,786,993







                                                                                                                  FILE NO. 28-1235
PAGE 67 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
EQUITY RESIDENTIAL           PFD CONV E 7%  29476L883         12,675        300      X      X  28-5284       300

ERICSSON L M TEL CO          ADR B SEK 10   294821608        324,339      8,804      X         28-5284      8804
                                                              35,956        976      X      X  28-5284       176       800

ERIE INDTY CO                CL A           29530P102     11,447,858    217,021      X         28-5284    217021
                                                          25,802,082    489,139      X      X  28-5284    489139

ESCALADE INC                 COM            296056104        107,100      8,083      X         28-1500      8083

ESCO TECHNOLOGIES INC        COM            296315104         40,056        800      X      X  28-5284       800

ESSEX PPTY TR INC            COM            297178105          4,500         50      X      X  28-5284        50

ETABLISSEMENTS DELHAIZE FRER SPONSORED ADR  29759W101         19,756        334      X         28-5284       334

ETHAN ALLEN INTERIORS INC    COM            297602104        197,254      6,292      X         28-5284      6292
                                                               6,270        200      X      X  28-5284       200

EVERGREEN INCOME ADVANTAGE F COM SHS        30023Y105         51,800      3,500      X         28-5284      3500
                                                              15,066      1,018      X      X  28-5284      1018

EVERGREEN MANAGED INCOME FD  COM SHS        30024Y104         67,200      4,000      X      X  28-5284      4000

EVERGREEN SOLAR INC          COM            30033R108          9,078        973      X      X  28-5284       973

EVERGREEN UTLS & HIGH INCM F COM            30034Q109         19,586        837      X         28-5284       837

EXACT SCIENCES CORP          COM            30063P105            910        500      X         28-5284       500

EXACTECH INC                 COM            30064E109         14,800      1,000      X         28-5284      1000

EXELON CORP                  COM            30161N101     52,023,412    973,492      X         28-5284    955263             18229
                                                          29,429,942    550,710      X      X  28-5284    503298      8430   38982
                                                             277,888      5,200      X         28-1500                5200
                                                           1,629,653     30,495      X         28-4580     30107               388
                                                             979,128     18,322      X      X  28-4580     18190               132

EXPEDIA INC DEL              COM            30212P105         19,810      1,000      X         28-5284      1000
                                                               2,972        150      X      X  28-5284       150
                                                              79,240      4,000      X      X  28-1500      4000
                                                             255,549     12,900      X         28-11439    12900
               COLUMN TOTAL                              122,873,880







                                                                                                                  FILE NO. 28-1235
PAGE 68 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED   ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL -------------- MANAGERS --------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ -------- -------- --------- -------
                                                                                             
EXPEDIA INC DEL              *W EXP 02/04/2 30212P121            425         50      X      X  28-5284        50

EXPEDITORS INTL WASH INC     COM            302130109          8,801        155      X         28-5284       155
                                                              45,424        800      X      X  28-5284       800

EXPRESS SCRIPTS INC          COM            302182100      1,637,664     26,329      X         28-5284     26329
                                                             229,207      3,685      X      X  28-5284      2685              1000
                                                               1,866         30      X         28-4580        30

EZCORP INC                   CL A NON VTG   302301106         91,960      5,726      X      X  28-5284      5726

EXXON MOBIL CORP             COM            30231G102    719,014,383 11,315,933      X         28-5284  10939264      5726  370943
                                                        1090,964,072 17,169,721      X      X  28-5284   9299271     95392 7775058
                                                           2,073,501     32,633      X         28-1500       145     32488
                                                          16,992,312    267,427      X         28-4580    259407              8020
                                                          59,305,250    933,353      X      X  28-4580    926160              7193

FBL FINL GROUP INC           CL A           30239F106         32,945      1,100      X      X  28-5284                        1100

FEI CO                       COM            30241L109          9,625        500      X         28-5284       500

FLIR SYS INC                 COM            302445101         49,086      1,660      X         28-5284      1660
                                                             684,250     23,140      X      X  28-5284     23140
                                                               3,253        110      X      X  28-4580       110

FMC TECHNOLOGIES INC         COM            30249U101         20,887        496      X         28-5284       496
                                                              17,434        414      X      X  28-5284       414
                                                              36,172        859      X      X  28-4580       859

F M C CORP                   COM NEW        302491303         67,748      1,184      X         28-5284      1184
                                                               7,153        125      X      X  28-5284       125

FMS FINL CORP                COM            302509104        693,200     40,000      X         28-5284     40000

FNB CORP PA                  COM            302520101        494,951     28,643      X         28-5284     27766               877
                                                             264,660     15,316      X      X  28-5284      5420      5000    4896

FNB FINANCIAL SERVICES CORP  COM            302526108      3,609,719    205,331      X         28-1500    205331
               COLUMN TOTAL                            1,896,355,948







                                                                                                                  FILE NO. 28-1235
PAGE 69 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
FPL GROUP INC                COM            302571104     44,129,865    927,098      X         28-5284    917144      1600    8354
                                                          42,783,594    898,815      X      X  28-5284    808259     13948   76608
                                                              19,040        400      X         28-1500                 400
                                                             598,903     12,582      X         28-4580     12582
                                                           1,551,379     32,592      X      X  28-4580     30792              1800

FTD GROUP INC                COM            30267U108          2,588        250      X         28-5284       250

F N B CORP VA                COM            302930102        741,824     26,800      X         28-1500     26800

FTI CONSULTING INC           COM            302941109          1,389         55      X         28-5284        55

FACTSET RESH SYS INC         COM            303075105         74,356      2,110      X         28-5284      2110
                                                              10,572        300      X      X  28-5284                 300

FAIR ISAAC CORP              COM            303250104         52,416      1,170      X         28-5284      1170
                                                              14,560        325      X      X  28-5284                 325

FAIRCHILD SEMICONDUCTOR INTL COM            303726103         30,835      2,075      X         28-5284      2075

FAIRFAX FINL HLDGS LTD       SUB VTG        303901102          2,087         12      X         28-5284        12

FAIRMONT HOTELS RESORTS INC  COM            305204109         11,029        330      X         28-5284       330
                                                              30,078        900      X      X  28-5284                         900

FALCONBRIDGE LTD NEW 2005    COM            306104100         48,737      1,824      X         28-5284      1824
                                                              80,160      3,000      X      X  28-5284      3000

FAMILY DLR STORES INC        COM            307000109         83,136      4,184      X         28-5284      3134              1050
                                                             160,947      8,100      X      X  28-5284      8100
                                                               5,961        300      X      X  28-1500       300

FARMERS CAP BK CORP          COM            309562106        161,096      5,200      X         28-5284      3800              1400
                                                             548,873     17,717      X         28-1500     17717

FARMSTEAD TEL GROUP INC      COM NEW        311565303         12,796      3,677      X      X  28-5284      3677

FARO TECHNOLOGIES INC        COM            311642102          2,924        150      X      X  28-5284       150

FASTENAL CO                  COM            311900104        107,824      1,765      X         28-5284      1765
               COLUMN TOTAL                               91,266,969







                                                                                                                  FILE NO. 28-1235
PAGE 70 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
FEDERAL HOME LN MTG CORP     COM            313400301     46,603,213    825,420      X         28-5284    704450            120970
                                                          10,432,453    184,776      X      X  28-5284    180871       775    3130
                                                             759,952     13,460      X         28-1500      6735      6725
                                                             246,166      4,360      X         28-4580      4360
                                                             173,784      3,078      X      X  28-4580      3078

FEDERAL NATL MTG ASSN        COM            313586109     28,170,401    628,523      X         28-5284    622408              6115
                                                          21,000,725    468,557      X      X  28-5284    438856      2210   27491
                                                             104,565      2,333      X      X  28-1500      2333
                                                           1,927,260     43,000      X         28-11439    43000
                                                             141,183      3,150      X         28-4580      3150
                                                             152,388      3,400      X      X  28-4580      3400

FEDERAL REALTY INVT TR       SH BEN INT NEW 313747206        693,993     11,390      X         28-5284     11390
                                                           1,900,589     31,193      X      X  28-5284     30993               200

FEDERATED DEPT STORES INC DE COM            31410H101      2,634,879     39,403      X         28-5284     38303              1100
                                                           2,467,035     36,893      X      X  28-5284     30415       436    6042
                                                               9,362        140      X         28-1500                 140
                                                               5,149         77      X         28-4580        77
                                                               2,474         37      X      X  28-4580        37

FEDERATED INVS INC PA        CL B           314211103         33,230      1,000      X      X  28-1500      1000

FEDERATED PREM MUN INC FD    COM            31423P108        270,321     18,566      X         28-5284     18566

FEDEX CORP                   COM            31428X106      1,377,438     15,809      X         28-5284     15809
                                                             852,654      9,786      X      X  28-5284      8686              1100
                                                              21,783        250      X         28-1500                 250
                                                             174,260      2,000      X         28-4580      2000

FERRELLGAS PARTNERS L.P.     UNIT LTD PART  315293100         50,775      2,342      X         28-5284      2342
                                                               4,336        200      X      X  28-5284       200
                                                              86,720      4,000      X         28-4580      4000

FIDELITY NATL FINL INC       COM            316326107        265,339      5,960      X         28-5284      5960
                                                           7,754,137    174,172      X      X  28-5284      3841            170331

FIDELITY SOUTHN CORP NEW     COM            316394105          3,932        226      X         28-5284       226
               COLUMN TOTAL                              128,320,496







                                                                                                                  FILE NO. 28-1235
PAGE 71 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
FIFTH THIRD BANCORP          COM            316773100     33,935,134    923,405      X         28-5284    879941             43464
                                                           4,729,468    128,693      X      X  28-5284    113409      3764   11520
                                                             644,742     17,544      X         28-1500       237     17307
                                                              21,131        575      X      X  28-4580       575

FILENET CORP                 COM            316869106            893         32      X         28-5284        32

FINANCIAL FED CORP           COM            317492106          4,736        119      X         28-5284       119

FINISH LINE INC              CL A           317923100          7,295        500      X         28-5284       500
                                                             233,440     16,000      X         28-1500     16000

FIRST ACCEPTANCE CORP        COM            318457108          1,011        100      X         28-5284       100

FIRST AMERN CORP CALIF       COM            318522307         63,938      1,400      X         28-5284      1400
                                                             159,845      3,500      X      X  28-5284      3500

FIRST BANCORP P R            COM            318672102          6,260        370      X         28-5284       370

FIRST BANCORP N C            COM            318910106         18,717        934      X         28-5284       934

FIRST CASH FINL SVCS INC     COM            31942D107         26,320      1,000      X      X  28-5284      1000

FIRST CTZNS BANCSHARES INC N CL A           31946M103         51,195        300      X      X  28-5284       300

FIRST COMWLTH FINL CORP PA   COM            319829107        307,923     23,100      X         28-5284     23100
                                                             470,482     35,295      X      X  28-5284     30745              4550

FIRST CMNTY BANCORP CALIF    COM            31983B101        506,998     10,600      X         28-1500     10600

FIRST CONSULTING GROUP INC   COM            31986R103          2,465        425      X         28-5284       425

FIRST DATA CORP              COM            319963104     69,609,920  1,740,248      X         28-5284   1560368            179880
                                                          15,876,480    396,912      X      X  28-5284    383119       430   13363
                                                           1,067,680     26,692      X         28-1500     12218     14474
                                                              67,200      1,680      X         28-4580      1680
                                                              69,280      1,732      X      X  28-4580      1732

FIRST FINL BANCORP OH        COM            320209109        260,540     14,000      X      X  28-5284     14000

FIRST FINL CORP IND          COM            320218100        391,986     14,518      X         28-1500     14518
               COLUMN TOTAL                              128,535,079







                                                                                                                  FILE NO. 28-1235
PAGE 72 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
FIRST FINL SVC CORP          COM            32022D108        454,020     15,323      X         28-5284     15323
                                                             130,224      4,395      X         28-1500      4395

FIRST FINL HLDGS INC         COM            320239106         33,924      1,100      X         28-5284                        1100
                                                              95,604      3,100      X      X  28-5284                        3100

FIRST FRANKLIN CORP          COM            320272107        829,170     49,800      X         28-5284     49800

FIRST HORIZON PHARMACEUTICAL COM            32051K106         13,253        667      X         28-5284       667

FIRST HORIZON NATL CORP      COM            320517105      1,553,963     42,750      X         28-5284     42750
                                                             174,480      4,800      X      X  28-5284      2800      2000
                                                              74,227      2,042      X      X  28-1500      2042

1ST INDEPENDENCE FINL GRP IN COM            32053S107         28,196      1,484      X         28-5284      1484

FIRST INDUSTRIAL REALTY TRUS COM            32054K103         67,444      1,684      X         28-5284      1684
                                                              56,070      1,400      X      X  28-5284      1400

FIRST ISRAEL FD INC          COM            32063L100          8,105        500      X         28-5284       500

FIRST MIDWEST BANCORP DEL    COM            320867104          5,512        148      X         28-5284       148
                                                              37,240      1,000      X      X  28-5284                1000

FIRST NIAGARA FINL GP INC    COM            33582V108        101,080      7,000      X         28-5284      1000              6000
                                                             138,624      9,600      X      X  28-5284                        9600

FIRST POTOMAC RLTY TR        COM            33610F109         16,063        625      X      X  28-1500       625

FIRST PL FINL CORP           COM            33610T109          9,977        450      X      X  28-5284                         450

FIRST REP BK SAN FRANCISCO   COM            336158100        144,619      4,105      X         28-5284      4105

FIRST W VA BANCORP INC       COM            337493100         21,210      1,159      X         28-5284      1159

FISERV INC                   COM            337738108        477,828     10,417      X         28-5284     10417
                                                             254,487      5,548      X      X  28-5284      5548

FIRSTFED FINL CORP           COM            337907109         21,524        400      X         28-5284       400
                                                              75,334      1,400      X      X  28-5284       400              1000

FLAGSTAR BANCORP INC         COM            337930101         99,820      6,200      X         28-5284      6200
               COLUMN TOTAL                                4,921,998







                                                                                                                  FILE NO. 28-1235
PAGE 73 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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        582,962     11,185      X         28-5284     10585               600
                                                             794,100     15,236      X      X  28-5284     12548       663    2025
                                                              15,636        300      X         28-4580       300

FISHER SCIENTIFIC INTL INC   COM NEW        338032204          8,501        137      X         28-5284       137
                                                             341,027      5,496      X      X  28-5284      4176              1320
                                                               3,103         50      X      X  28-1500        50

FLAHERTY & CRMN/CLYMR PFD SE COM SHS        338478100        214,400     10,000      X         28-5284     10000
                                                             122,637      5,720      X      X  28-5284      5720

FLAHERTY & CRUMRINE PFD INC  COM            33848E106         52,525      4,056      X         28-5284      4056

FLAHERTY & CRUMRINE PFD INC  COM            338480106          6,500        400      X      X  28-5284       400

FLEETWOOD ENTERPRISES INC    COM            339099103          7,011        570      X         28-5284       570

FLORIDA EAST COAST INDS      COM            340632108          4,529        100      X         28-5284       100
                                                              54,348      1,200      X      X  28-5284      1200

FLORIDA PUB UTILS CO         COM            341135101         47,640      3,000      X      X  28-1500      3000

FLORIDA ROCK INDS INC        COM            341140101         60,181        939      X         28-5284       939
                                                           2,021,206     31,537      X      X  28-5284     31537
                                                              19,227        300      X      X  28-1500       300

FLUOR CORP NEW               COM            343412102        355,506      5,522      X         28-5284      5522
                                                             326,535      5,072      X      X  28-5284      5072

FLOWERS FOODS INC            COM            343498101          4,092        150      X         28-5284       150

FLOWSERVE CORP               COM            34354P105          1,272         35      X         28-5284        35
                                                             156,305      4,300      X      X  28-1500      4300

FLYI INC                     COM            34407T104            286      1,100      X         28-5284      1100
                                                               1,398      5,375      X      X  28-5284      5375

FONAR CORP                   COM            344437108         10,800     10,000      X      X  28-5284     10000

FOOT LOCKER INC              COM            344849104          4,388        200      X         28-5284       200
                                                           1,034,471     47,150      X      X  28-5284      3300             43850
               COLUMN TOTAL                                6,250,586







                                                                                                                  FILE NO. 28-1235
PAGE 74 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
FORD MTR CO DEL              COM PAR $0.01  345370860        690,407     70,021      X         28-5284     69864               157
                                                             838,494     85,040      X      X  28-5284     82418              2622
                                                               3,944        400      X         28-1500                 400
                                                             404,260     41,000      X         28-11439    41000
                                                              27,914      2,831      X         28-4580      2132               699
                                                              28,101      2,850      X      X  28-4580      1850              1000

FORD MTR CO CAP TR II        PFD TR CV6.5%  345395206         43,740      1,200      X         28-5284      1200
                                                             192,456      5,280      X      X  28-5284      5280

FORDING CDN COAL TR          TR UNIT        345425102        318,211      7,475      X         28-5284      7475
                                                             452,093     10,620      X      X  28-5284      6120              4500
                                                              97,060      2,280      X      X  28-4580      2280

FOREST CITY ENTERPRISES INC  CL A           345550107         60,960      1,600      X      X  28-5284                        1600

FOREST LABS INC              COM            345838106        666,192     17,095      X         28-5284     16095              1000
                                                             239,081      6,135      X      X  28-5284      6135
                                                             685,872     17,600      X         28-11439    17600
                                                               9,353        240      X      X  28-4580       240

FOREST OIL CORP              COM PAR $0.01  346091705            834         16      X         28-5284        16
                                                              41,680        800      X      X  28-1500       800

FORTUNE BRANDS INC           COM            349631101     63,619,905    782,244      X         28-5284    759460             22784
                                                          52,752,102    648,618      X      X  28-5284    545084      5644   97890
                                                             245,779      3,022      X         28-1500        50      2972
                                                           2,103,600     25,865      X         28-4580     25681               184
                                                             567,602      6,979      X      X  28-4580      6940                39

FORTUNE BRANDS INC           PFD CV $2.67   349631200         52,300        100      X         28-5284       100

FORWARD AIR CORP             COM            349853101            479         13      X         28-5284        13

FOSSIL INC                   COM            349882100          5,111        281      X         28-5284       281

FOUNDATION COAL HLDGS INC    COM            35039W100         15,380        400      X         28-5284       400
                                                              19,225        500      X      X  28-5284       500

FOUNDRY NETWORKS INC         COM            35063R100         11,430        900      X         28-5284       900

FOX & HOUND RESTAURANT GROUP COM            351321104          4,072        400      X         28-5284       400
               COLUMN TOTAL                              124,197,637







                                                                                                                  FILE NO. 28-1235
PAGE 75 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
FRANKLIN BK CORP DEL         COM            352451108          3,392        210      X         28-5284       210

FRANKLIN CR MGMT CORP        COM NEW        353487200          3,015        300      X         28-5284       300

FRANKLIN RES INC             COM            354613101      9,875,375    117,620      X         28-5284    115170              2450
                                                           3,112,901     37,076      X      X  28-5284     33706      1730    1640
                                                              53,734        640      X         28-4580       640
                                                               7,556         90      X      X  28-4580        90

FRANKLIN TEMPLETON LTD DUR I COM            35472T101         15,193      1,151      X         28-4580      1151

FREDS INC                    CL A           356108100            513         41      X         28-5284        41
                                                               6,255        500      X      X  28-5284       500

FREEPORT-MCMORAN COPPER & GO CL B           35671D857        203,932      4,197      X         28-5284      3748               449
                                                             149,511      3,077      X      X  28-5284      2660               417
                                                               4,033         83      X      X  28-1500        83

FREESCALE SEMICONDUCTOR INC  CL B           35687M206        355,539     15,078      X         28-5284     15012                66
                                                             882,812     37,439      X      X  28-5284     33421      3974      44
                                                               8,960        380      X      X  28-1500       380
                                                               2,122         90      X         28-4580        90
                                                               8,677        368      X      X  28-4580       368

FREMONT GEN CORP             COM            357288109         10,915        500      X         28-5284       500
                                                              21,830      1,000      X      X  28-5284      1000
                                                          11,222,803    514,100      X         28-1500    514100

FREQUENCY ELECTRS INC        COM            358010106          2,180        200      X      X  28-1500       200

FRESENIUS MED CARE AG        SPONSORED ADR  358029106         17,134        564      X      X  28-5284       564

FRIEDMAN BILLINGS RAMSEY GRO CL A           358434108         72,349      7,100      X         28-5284      7100
                                                             212,869     20,890      X      X  28-5284      4890             16000

FRONTIER OIL CORP            COM            35914P105         47,499      1,071      X         28-5284      1071
                                                             962,395     21,700      X      X  28-5284     21700

FUELCELL ENERGY INC          COM            35952H106         34,413      3,137      X      X  28-5284      3137

FUJI PHOTO FILM LTD          ADR            359586302         19,869        599      X         28-5284       599
               COLUMN TOTAL                               27,317,776







                                                                                                                  FILE NO. 28-1235
PAGE 76 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
FULTON FINL CORP PA          COM            360271100        280,931     16,742      X         28-5284     15795               947
                                                           2,165,778    129,069      X      X  28-5284    123173              5896
                                                              46,246      2,756      X         28-4580      2756

FURNITURE BRANDS INTL INC    COM            360921100         11,720        650      X         28-5284       650

GAMCO INVESTORS INC          COM            361438104            550         12      X         28-5284        12

GATX CORP                    COM            361448103          9,888        250      X         28-5284       250
                                                              18,351        464      X      X  28-5284       464

GEO GROUP INC                COM            36159R103         34,450      1,300      X         28-5284      1300

GMH CMNTYS TR                COM            36188G102         58,680      4,000      X         28-5284      4000

GP STRATEGIES CORP           COM            36225V104            279         31      X         28-5284        31

GABELLI GLOBAL MULTIMEDIA TR COM            36239Q109         11,835      1,138      X         28-5284      1138
                                                               4,576        440      X      X  28-5284        50               390

GABELLI EQUITY TR INC        COM            362397101        217,584     26,058      X         28-5284     26058
                                                              48,196      5,772      X      X  28-5284      3199              2573

GABELLI UTIL TR              COM            36240A101         12,093      1,229      X         28-5284      1229
                                                               3,916        398      X      X  28-5284        55               343

GABLES RESIDENTIAL TR        SH BEN INT     362418105         82,935      1,900      X      X  28-5284      1900

GABELLI DIVD & INCOME TR     COM            36242H104         36,920      2,000      X         28-4580      2000

GALLAGHER ARTHUR J & CO      COM            363576109          2,881        100      X         28-5284       100
                                                             204,551      7,100      X      X  28-5284      7100

GALLAHER GROUP PLC           SPONSORED ADR  363595109      2,335,515     37,615      X         28-5284     37615
                                                          10,858,672    174,886      X      X  28-5284    174166               720
                                                              71,528      1,152      X         28-4580      1152

GAMESTOP CORP                CL A           36466R101          9,441        300      X         28-5284       300

GAMESTOP CORP                COM CL B       36466R200          4,684        165      X         28-5284       165
                                                             166,649      5,870      X      X  28-5284      5870
               COLUMN TOTAL                               16,698,849







                                                                                                                  FILE NO. 28-1235
PAGE 77 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
GANNETT INC                  COM            364730101     40,107,310    582,701      X         28-5284    537531             45170
                                                          18,591,740    270,111      X      X  28-5284    254684      1702   13725
                                                             214,268      3,113      X         28-1500      3113
                                                             550,365      7,996      X      X  28-1500      7996
                                                             243,934      3,544      X         28-4580      3544
                                                             828,920     12,043      X      X  28-4580     12043

GAP INC DEL                  COM            364760108        673,234     38,625      X         28-5284      3640             34985
                                                             340,826     19,554      X      X  28-5284     12254              7300

GARDNER DENVER INC           COM            365558105          6,021        135      X         28-5284       135
                                                               6,422        144      X      X  28-5284       144

GARTNER INC                  COM            366651107          3,554        304      X      X  28-5284       304
                                                               3,238        277      X      X  28-4580       277

GATEWAY INC                  COM            367626108         11,880      4,400      X         28-5284      4400

GEN-PROBE INC NEW            COM            36866T103         39,560        800      X      X  28-5284       800

GENAERA CORP                 COM            36867G100         23,028     12,000      X         28-5284     12000

GENE LOGIC INC               COM            368689105          6,851      1,401      X         28-5284      1401

GENENTECH INC                COM NEW        368710406        540,123      6,414      X         28-5284      6414
                                                             713,680      8,475      X      X  28-5284      6475              2000
                                                           1,136,835     13,500      X      X  28-1500     13500
                                                              67,368        800      X      X  28-4580       800

GENERAL AMERN INVS INC       COM            368802104         70,252      2,017      X      X  28-5284      2017

GENERAL COMMUNICATION INC    CL A           369385109         52,559      5,309      X         28-1500      5309

GENERAL DYNAMICS CORP        COM            369550108      9,537,699     79,780      X         28-5284     78090              1690
                                                           6,425,454     53,747      X      X  28-5284     52197       100    1450
                                                              23,910        200      X      X  28-1500       200
                                                              35,865        300      X      X  28-4580       300
               COLUMN TOTAL                               80,254,896







                                                                                                                  FILE NO. 28-1235
PAGE 78 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED   ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL -------------- MANAGERS --------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ -------- -------- --------- -------
                                                                                              
GENERAL ELEC CO              COM            369604103    559,346,511 16,612,608      X         28-5284  16072763      4000  535845
                                                         641,253,904 19,045,260      X      X  28-5284  16032842    127674 2884744
                                                           3,307,236     98,225      X         28-1500       365     97860
                                                           2,518,516     74,800      X         28-11439    74800
                                                          14,550,288    432,144      X         28-4580    429735              2409
                                                          15,056,079    447,166      X      X  28-4580    442186              4980

GENERAL GROWTH PPTYS INC     COM            370021107        642,364     14,297      X         28-5284     14297
                                                           1,885,263     41,960      X      X  28-5284     41960
                                                               4,763        106      X      X  28-4580        19                87

GENERAL MLS INC              COM            370334104     12,698,627    263,457      X         28-5284    253391      1066    9000
                                                          13,279,245    275,503      X      X  28-5284    259401      4626   11476
                                                              52,490      1,089      X      X  28-1500      1089
                                                              91,580      1,900      X         28-4580      1900
                                                             400,060      8,300      X      X  28-4580      7900               400

GENERAL MTRS CORP            COM            370442105      4,336,090    141,656      X         28-5284    139362              2294
                                                           4,419,533    144,382      X      X  28-5284    139441              4941
                                                              63,516      2,075      X         28-1500                2075
                                                             155,407      5,077      X         28-4580      4877               200
                                                             261,501      8,543      X      X  28-4580      8543

GENEREX BIOTECHNOLOGY CP DEL COM            371485103          3,360      5,000      X         28-5284      5000

GENESCO INC                  COM            371532102          3,538         95      X         28-5284        95

GENESEE & WYO INC            CL A           371559105        182,275      5,750      X      X  28-5284       750              5000

GENESIS HEALTHCARE CORP      COM            37184D101          8,064        200      X      X  28-5284       200

GENESYS S A                  SP ADR REP 1/2 37185M100            717        472      X         28-5284       472

GENTEX CORP                  COM            371901109          5,133        295      X         28-5284       295
                                                              22,620      1,300      X      X  28-5284      1300
                                                              20,445      1,175      X         28-1500      1175

GENESIS ENERGY L P           UNIT LTD PARTN 371927104          5,800        500      X         28-5284       500

GENTA INC                    COM NEW        37245M207          1,500      1,000      X      X  28-5284      1000

GENTEK INC                   COM NEW        37245X203             44          3      X         28-5284         3
               COLUMN TOTAL                            1,274,576,469







                                                                                                                  FILE NO. 28-1235
PAGE 79 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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      1,457,184     33,967      X         28-5284     33967
                                                           3,200,941     74,614      X      X  28-5284     72589              2025
                                                             173,745      4,050      X      X  28-1500      4050
                                                             283,140      6,600      X      X  28-4580      6600

GENWORTH FINL INC            COM CL A       37247D106         32,240      1,000      X      X  28-5284      1000

GENZYME CORP                 COM            372917104     25,633,723    357,813      X         28-5284    350238              7575
                                                           6,917,200     96,555      X      X  28-5284     86681      6094    3780
                                                              17,194        240      X      X  28-1500       240
                                                             838,689     11,707      X         28-4580     11351               356
                                                             112,475      1,570      X      X  28-4580      1570

GEORGIA GULF CORP            COM PAR $0.01  373200203         14,448        600      X         28-5284       400               200
                                                              12,040        500      X      X  28-4580       500

GEORGIA PAC CORP             COM            373298108        220,607      6,477      X         28-5284      6477
                                                           2,172,449     63,783      X      X  28-5284     63783

GERDAU AMERISTEEL CORP       COM            37373P105         10,920      2,100      X         28-5284      2100
                                                              44,200      8,500      X      X  28-5284      8500

GERMAN AMERN BANCORP         COM            373865104         41,705      3,087      X         28-5284      3087
                                                             144,976     10,731      X         28-1500     10731

GETTY IMAGES INC             COM            374276103         91,030      1,058      X         28-5284      1058
                                                               3,011         35      X      X  28-5284        35

GETTY RLTY CORP NEW          COM            374297109         34,824      1,210      X      X  28-5284      1210

GEVITY HR INC                COM            374393106         51,211      1,880      X         28-5284      1880
                                                           1,021,500     37,500      X      X  28-5284     37500

GILEAD SCIENCES INC          COM            375558103      2,158,215     44,262      X         28-5284     42997              1265
                                                           1,142,934     23,440      X      X  28-5284     23240               200
                                                              29,256        600      X         28-1500                 600
                                                              29,256        600      X         28-4580       600
                                                               6,144        126      X      X  28-4580       126

GILLETTE CO                  COM            375766102     57,219,039    983,145      X         28-5284    855174            127971
                                                          21,318,660    366,300      X      X  28-5284    357600      1620    7080
                                                             665,168     11,429      X         28-4580     11429
                                                             611,100     10,500      X      X  28-4580     10500
               COLUMN TOTAL                              125,709,224







                                                                                                                  FILE NO. 28-1235
PAGE 80 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
GILDAN ACTIVEWEAR INC        COM            375916103         64,609      1,690      X         28-5284      1540               150
                                                           1,108,670     29,000      X      X  28-5284     29000

GLADSTONE CAPITAL CORP       COM            376535100          1,691         75      X         28-5284        75

GLADSTONE INVT CORP          COM            376546107         10,276        700      X      X  28-1500       700

GLATFELTER                   COM            377316104     14,223,503  1,009,475      X         28-5284   1008775               700
                                                          34,574,986  2,453,867      X      X  28-5284   2452667              1200

GLAXOSMITHKLINE PLC          SPONSORED ADR  37733W105     19,778,029    385,687      X         28-5284    382921              2766
                                                          32,505,366    633,880      X      X  28-5284    602043       682   31155
                                                              47,896        934      X         28-1500                 934
                                                             130,661      2,548      X         28-4580      2548
                                                             607,565     11,848      X      X  28-4580     11848

GLENAYRE TECHNOLOGIES INC    COM            377899109          5,385      1,500      X         28-5284      1500
                                                               1,077        300      X      X  28-5284       300

GLIMCHER RLTY TR             SH BEN INT     379302102        101,966      4,167      X         28-5284      4167
                                                             127,244      5,200      X      X  28-1500      5200

GLOBAL HIGH INCOME DLR FD IN COM            37933G108         18,306      1,050      X         28-5284      1050

GLOBAL IMAGING SYSTEMS       COM            37934A100            511         15      X         28-5284        15

GLOBAL PMTS INC              COM            37940X102          3,109         40      X      X  28-5284        40
                                                               2,720         35      X      X  28-4580        35

GLOBAL POWER EQUIPMENT INC   COM            37941P108          1,426        200      X      X  28-5284       200

GLOBECOMM SYSTEMS INC        COM            37956X103         58,875      7,500      X      X  28-5284      7500

GOLD FIELDS LTD NEW          SPONSORED ADR  38059T106         22,943      1,579      X         28-5284      1579

GOLD KIST INC                COM            380614107          3,910        200      X      X  28-5284       200

GOLDCORP INC NEW             COM            380956409         17,234        860      X         28-5284       860
                                                              54,108      2,700      X      X  28-5284      2700

GOLDEN WEST FINL CORP DEL    COM            381317106      1,031,604     17,370      X         28-5284     17090               280
                                                             439,189      7,395      X      X  28-5284      4605       990    1800
                                                               1,485         25      X         28-4580        25
               COLUMN TOTAL                              104,944,344







                                                                                                                  FILE NO. 28-1235
PAGE 81 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
GOLDMAN SACHS GROUP INC      COM            38141G104     51,007,065    419,535      X         28-5284    410760              8775
                                                          16,286,857    133,960      X      X  28-5284    126090      5680    2190
                                                              66,991        551      X         28-1500                 551
                                                           1,215,678      9,999      X         28-4580      9871               128
                                                             683,401      5,621      X      X  28-4580      5562                59

GOODRICH CORP                COM            382388106        279,076      6,294      X         28-5284      6294
                                                              36,270        818      X      X  28-5284       244       274     300

GOODYEAR TIRE & RUBR CO      COM            382550101         18,911      1,213      X         28-5284      1213
                                                              39,661      2,544      X      X  28-5284      1590               954

GOOGLE INC                   CL A           38259P508        322,789      1,020      X         28-5284      1020
                                                             268,991        850      X      X  28-5284       820                30
                                                              15,823         50      X      X  28-1500        50
                                                              31,646        100      X         28-4580       100
                                                              10,127         32      X      X  28-4580        18                14

GORMAN RUPP CO               COM            383082104         45,094      1,875      X         28-5284      1875

GRACE W R & CO DEL NEW       COM            38388F108         10,140      1,133      X      X  28-5284       220               913

GRACO INC                    COM            384109104        128,550      3,750      X         28-5284      3750
                                                             928,988     27,100      X      X  28-5284     27100

GRAINGER W W INC             COM            384802104      1,687,263     26,816      X         28-5284     23222              3594
                                                             914,228     14,530      X      X  28-5284     14530
                                                             276,848      4,400      X      X  28-4580      4400

GRANT PRIDECO INC            COM            38821G101         57,804      1,422      X         28-5284      1422
                                                           1,164,297     28,642      X      X  28-5284     28642

GREAT NORTHN IRON ORE PPTYS  CTFS BEN INT   391064102         11,305         95      X         28-5284        95
                                                              17,850        150      X      X  28-5284       150

GREAT PLAINS ENERGY INC      COM            391164100        573,823     19,185      X         28-5284     16385              2800
                                                             209,370      7,000      X      X  28-5284      7000

GREATER BAY BANCORP          COM            391648102         98,560      4,000      X      X  28-5284                4000
                                                           8,436,736    342,400      X         28-1500    342400

GREATER CHINA FD INC         COM            39167B102         25,095      1,500      X      X  28-5284      1500
               COLUMN TOTAL                               84,869,237







                                                                                                                  FILE NO. 28-1235
PAGE 82 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
GREENHILL & CO INC           COM            395259104         22,930        550      X         28-5284       550
                                                             433,576     10,400      X      X  28-5284     10400

GREY WOLF INC                COM            397888108          3,945        468      X         28-5284       468
                                                               4,426        525      X      X  28-5284       525

GROUPE DANONE                SPONSORED ADR  399449107         55,198      2,532      X         28-5284       132              2400

GRUPO TELEVISA SA DE CV      SP ADR REP ORD 40049J206         14,342        200      X         28-5284       200

GTECH HLDGS CORP             COM            400518106          6,412        200      X         28-5284       200
                                                               6,412        200      X      X  28-5284       200
                                                               2,501         78      X      X  28-4580        18                60

GUIDANT CORP                 COM            401698105      4,660,340     67,649      X         28-5284     65143              2506
                                                           2,036,251     29,558      X      X  28-5284     25822       320    3416
                                                             179,114      2,600      X         28-1500                2600
                                                              21,425        311      X         28-4580       311

GUITAR CTR MGMT INC          COM            402040109          3,202         58      X         28-5284        58

H & Q LIFE SCIENCES INVS     SH BEN INT     404053100         90,670      5,381      X         28-5284      5381
                                                              17,945      1,065      X      X  28-5284      1065

HCA INC                      COM            404119109      2,129,900     44,447      X         28-5284     41544              2903
                                                             738,399     15,409      X      X  28-5284     10359              5050
                                                              47,920      1,000      X         28-4580      1000
                                                               4,552         95      X      X  28-4580        95

HMS HLDGS CORP               COM            40425J101          3,662        533      X         28-5284       533

HNI CORP                     COM            404251100        283,034      4,700      X         28-5284      4700
                                                             409,496      6,800      X      X  28-5284      6800

HRPT PPTYS TR                COM SH BEN INT 40426W101        120,377      9,700      X         28-5284      9700
                                                              18,615      1,500      X      X  28-5284                        1500

HSBC HLDGS PLC               SPON ADR NEW   404280406      2,563,213     31,555      X         28-5284     31555
                                                             821,398     10,112      X      X  28-5284      9706               406
                                                             162,460      2,000      X      X  28-4580      2000

HAEMONETICS CORP             COM            405024100          9,506        200      X      X  28-5284       200
               COLUMN TOTAL                               14,871,221







                                                                                                                  FILE NO. 28-1235
PAGE 83 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
HAIN CELESTIAL GROUP INC     COM            405217100         11,853        611      X         28-5284       611
                                                              21,340      1,100      X      X  28-5284      1100

HALLIBURTON CO               COM            406216101      6,269,786     91,503      X         28-5284     89690              1813
                                                           6,894,482    100,620      X      X  28-5284     94923      4697    1000
                                                               6,852        100      X      X  28-1500       100

JOHN HANCOCK BK &THRIFT OPP  SH BEN INT     409735107         36,284      3,860      X         28-5284      3860

HANCOCK FABRICS INC          COM            409900107          2,221        330      X      X  28-5284       330
                                                                  27          4      X      X  28-1500         4

HANCOCK JOHN INCOME SECS TR  COM            410123103         19,672      1,341      X         28-5284      1341
                                                              13,203        900      X      X  28-5284       900

HANCOCK JOHN PATRIOT PFD DIV COM            41013J107        102,600      7,500      X      X  28-5284      7500

HANCOCK JOHN PATRIOT PREM DI COM            41013Q101        176,220     19,800      X         28-5284     19800
                                                             346,406     38,922      X      X  28-5284     38922

HANCOCK JOHN PATRIOT PREM II COM SH BEN INT 41013T105          5,850        500      X      X  28-5284       500
                                                              11,700      1,000      X         28-4580      1000

HANCOCK JOHN TAX-ADV DIV INC COM            41013V100         26,595      1,500      X      X  28-5284      1500

HANCOCK JOHN PFD INCOME FD I COM            41013X106         25,719      1,133      X         28-5284      1133

HANOVER CAP MTG HLDGS INC    COM            410761100          6,118        837      X         28-5284       837
                                                              15,380      2,104      X      X  28-5284      2104

HANOVER COMPRESSOR CO        COM            410768105         27,720      2,000      X         28-5284      2000

HANSEN NAT CORP              COM            411310105         32,956        700      X      X  28-5284       700

HANSON PLC NEW               SPONSORED ADR  411349103          3,224         62      X         28-5284        62
                                                               9,724        187      X      X  28-5284                         187

HARBOR FLA BANCSHARES INC    COM            411901101         18,498        510      X         28-5284       510
                                                              99,743      2,750      X      X  28-5284       250              2500

HARKEN ENERGY CORP           COM NEW        412552309            395        500      X      X  28-5284       500
               COLUMN TOTAL                               14,184,568







                                                                                                                  FILE NO. 28-1235
PAGE 84 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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     44,117,021    910,756      X         28-5284    740151            170605
                                                           7,836,236    161,772      X      X  28-5284    148066      4140    9566
                                                             636,259     13,135      X         28-1500      8560      4575
                                                               1,453         30      X         28-4580        30

HARLEYSVILLE GROUP INC       COM            412824104         15,120        630      X         28-5284       630
                                                              73,776      3,074      X      X  28-5284      3074

HARLEYSVILLE NATL CORP PA    COM            412850109        329,232     15,006      X         28-5284     15006
                                                           1,394,068     63,540      X      X  28-5284     63540

HARMAN INTL INDS INC         COM            413086109          4,091         40      X      X  28-5284        40
                                                               3,068         30      X      X  28-4580        30

HARMONIC INC                 COM            413160102         46,275      7,951      X         28-1500      7951

HARRAHS ENTMT INC            COM            413619107        194,918      2,990      X         28-5284      1390              1600
                                                             708,680     10,871      X      X  28-5284      6571              4300
                                                               4,889         75      X      X  28-4580        75

HARRIS & HARRIS GROUP INC    COM            413833104          5,550        500      X         28-5284       500
                                                             111,000     10,000      X      X  28-1500     10000

HARRIS CORP DEL              COM            413875105        225,720      5,400      X         28-5284      5400
                                                             217,360      5,200      X      X  28-5284      5200
                                                               3,428         82      X      X  28-4580        82

HARRIS INTERACTIVE INC       COM            414549105          2,861        670      X         28-5284       670

HARSCO CORP                  COM            415864107      1,458,015     22,236      X         28-5284     22236
                                                             264,903      4,040      X      X  28-5284      4040

HARTE-HANKS INC              COM            416196103         52,860      2,000      X         28-5284      2000

HARTFORD FINL SVCS GROUP INC COM            416515104      1,278,553     16,568      X         28-5284     16418               150
                                                           1,143,196     14,814      X      X  28-5284     14281       133     400
                                                              11,653        151      X         28-4580       151

HASBRO INC                   COM            418056107          3,419        174      X         28-5284       174
                                                             136,764      6,960      X      X  28-5284      6960

HAWAIIAN ELEC INDUSTRIES     COM            419870100         50,184      1,800      X         28-5284      1800
                                                             101,762      3,650      X      X  28-5284      3650
               COLUMN TOTAL                               60,432,314







                                                                                                                  FILE NO. 28-1235
PAGE 85 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
HEALTHCARE SVCS GRP INC      COM            421906108          4,466        232      X         28-5284       232

HEALTH CARE PPTY INVS INC    COM            421915109        716,773     26,557      X         28-5284     26557
                                                           1,172,014     43,424      X      X  28-5284     43224               200
                                                             156,542      5,800      X      X  28-1500      5800

HEALTH MGMT ASSOC INC NEW    CL A           421933102        121,246      5,166      X         28-5284      2666              2500
                                                             253,711     10,810      X      X  28-5284      2410              8400

HEALTHCARE RLTY TR           COM            421946104        295,390      7,359      X         28-5284      7359
                                                             101,755      2,535      X      X  28-5284      2535
                                                               3,412         85      X      X  28-1500        85

HEADWATERS INC               COM            42210P102         80,784      2,160      X         28-5284      2160
                                                             862,257     23,055      X      X  28-5284     23055
                                                               1,683         45      X      X  28-4580        45

HEALTH CARE REIT INC         COM            42217K106        301,171      8,120      X         28-5284      8120
                                                              44,508      1,200      X      X  28-5284      1200
                                                              15,578        420      X      X  28-1500       420

HEALTHEXTRAS INC             COM            422211102            706         33      X         28-5284        33

HEALTHTRONICS INC            COM            42222L107         12,948      1,300      X         28-1500      1300

HEARST-ARGYLE TELEVISION INC COM            422317107         23,121        900      X      X  28-5284       900

HEARTLAND EXPRESS INC        COM            422347104         17,150        844      X         28-4580       844

HEINZ H J CO                 COM            423074103     25,686,305    702,964      X         28-5284    690489             12475
                                                          22,945,037    627,943      X      X  28-5284    596439      1750   29754
                                                              78,926      2,160      X      X  28-1500      2160
                                                             790,872     21,644      X         28-4580     21644
                                                           1,857,986     50,848      X      X  28-4580     50848

HELMERICH & PAYNE INC        COM            423452101         24,156        400      X         28-5284       400

HENRY JACK & ASSOC INC       COM            426281101        474,311     24,449      X         28-5284     24449
                                                              11,640        600      X      X  28-5284                         600
               COLUMN TOTAL                               56,054,448







                                                                                                                  FILE NO. 28-1235
PAGE 86 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
HERCULES INC                 COM            427056106         37,882      3,100      X         28-5284      3100
                                                              18,330      1,500      X      X  28-5284      1500
                                                              26,933      2,204      X         28-4580      2204
                                                             100,742      8,244      X      X  28-4580      8244

HERITAGE PPTY INVT TR INC    COM            42725M107         17,500        500      X         28-5284       500

HERSHEY CO                   COM            427866108     21,353,090    379,206      X         28-5284    353605             25601
                                                          16,586,111    294,550      X      X  28-5284    292130      1420    1000
                                                              41,163        731      X      X  28-1500       731
                                                              47,864        850      X         28-4580       850

HEWLETT PACKARD CO           COM            428236103     38,291,099  1,311,339      X         28-5284   1230868             80471
                                                          32,958,420  1,128,713      X      X  28-5284   1010312     21222   97179
                                                              39,011      1,336      X         28-1500       140      1196
                                                           2,359,389     80,801      X         28-11439    80801
                                                           1,129,952     38,697      X         28-4580     38208               489
                                                           1,463,154     50,108      X      X  28-4580     50108

HIBBETT SPORTING GOODS INC   COM            428565105         29,704      1,335      X         28-5284      1335
                                                             534,000     24,000      X      X  28-5284     24000

HIBERNIA CORP                CL A           428656102        281,625      9,375      X         28-5284      7375              2000

HIGHWOODS PPTYS INC          COM            431284108        104,288      3,534      X         28-5284      3534
                                                             135,746      4,600      X      X  28-5284      4600

HILB ROGAL & HOBBS CO        COM            431294107      1,724,371     46,205      X      X  28-5284     36485              9720

HILLENBRAND INDS INC         COM            431573104     12,357,165    262,639      X         28-5284     25539            237100
                                                             131,740      2,800      X      X  28-5284      1000              1800
                                                               7,763        165      X      X  28-1500       165

HILTON HOTELS CORP           COM            432848109        155,570      6,970      X         28-5284      6970
                                                             439,079     19,672      X      X  28-5284     18600              1072
                                                               5,915        265      X      X  28-4580       265

HINES HORTICULTURE INC       COM            433245107         73,400     20,000      X      X  28-5284                       20000

HITACHI LIMITED              ADR 10 COM     433578507         12,995        205      X         28-5284       205
                                                              11,093        175      X      X  28-5284       175
                                                               8,748        138      X      X  28-4580       138
               COLUMN TOTAL                              130,483,842







                                                                                                                  FILE NO. 28-1235
PAGE 87 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
HOLLY CORP                   COM PAR $0.01  435758305         41,587        650      X         28-5284       650
                                                             828,541     12,950      X      X  28-5284     12950

HOME DEPOT INC               COM            437076102    112,958,361  2,961,677      X         28-5284   2632299            329378
                                                          43,141,489  1,131,135      X      X  28-5284   1093064      4480   33591
                                                           1,335,625     35,019      X         28-1500     16089     18930
                                                             831,833     21,810      X         28-4580     21810
                                                             354,092      9,284      X      X  28-4580      9284

HOME PROPERTIES INC          COM            437306103         45,138      1,150      X         28-5284      1150

HONDA MOTOR LTD              AMERN SHS      438128308          8,605        303      X         28-5284       303
                                                             119,280      4,200      X      X  28-5284      2400              1800

HONEYWELL INTL INC           COM            438516106      7,889,400    210,384      X         28-5284    137161             73223
                                                           3,507,113     93,523      X      X  28-5284     84849      2264    6410
                                                             235,500      6,280      X         28-1500       180      6100
                                                             438,975     11,706      X      X  28-4580     11706

HOPFED BANCORP INC           COM            439734104          2,477        157      X         28-1500       157

HORMEL FOODS CORP            COM            440452100          7,093        215      X         28-5284       215
                                                             316,704      9,600      X      X  28-5284      9600

HOSPITALITY PPTYS TR         COM SH BEN INT 44106M102         91,678      2,139      X         28-5284      2139
                                                             130,080      3,035      X      X  28-5284      3035

HOSPIRA INC                  COM            441060100      1,893,797     46,224      X         28-5284     41606              4618
                                                           4,317,132    105,373      X      X  28-5284    104208       367     798
                                                             133,193      3,251      X         28-1500                3251
                                                               6,801        166      X         28-4580       166
                                                              87,348      2,132      X      X  28-4580      2132

HOST MARRIOTT CORP NEW       COM            44107P104         61,786      3,656      X         28-5284      3656
                                                             238,577     14,117      X      X  28-5284     14117

HOUSTON EXPL CO              COM            442120101          6,725        100      X         28-5284       100
                                                              53,800        800      X      X  28-5284       800

HOVNANIAN ENTERPRISES INC    CL A           442487203         25,856        505      X      X  28-5284       505
                                                               4,608         90      X      X  28-4580        90

HUANENG PWR INTL INC         SPON ADR N     443304100        112,898      3,800      X      X  28-5284      3800
               COLUMN TOTAL                              179,226,092







                                                                                                                  FILE NO. 28-1235
PAGE 88 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
HUBBELL INC                  CL A           443510102        157,491      3,684      X         28-5284      3684
                                                             143,213      3,350      X      X  28-5284      1000              2350

HUBBELL INC                  CL B           443510201        770,966     16,428      X         28-5284      1326             15102
                                                             227,751      4,853      X      X  28-5284      3999               854
                                                             126,711      2,700      X      X  28-1500      2700

HUDSON CITY BANCORP          COM            443683107         27,156      2,282      X         28-5284      2282
                                                             117,810      9,900      X      X  28-5284      9900

HUDSON UNITED BANCORP        COM            444165104        125,000      2,953      X      X  28-5284       553      2400

HUGOTON RTY TR TEX           UNIT BEN INT   444717102         40,450      1,000      X         28-5284      1000

HUMANA INC                   COM            444859102      1,047,423     21,876      X         28-5284     21876
                                                             172,368      3,600      X      X  28-5284      2756       364     480
                                                               3,399         71      X      X  28-4580        71

HUMAN GENOME SCIENCES INC    COM            444903108         43,488      3,200      X         28-5284      3200
                                                               6,795        500      X      X  28-5284       500

HUNTINGTON BANCSHARES INC    COM            446150104      1,702,058     75,748      X         28-5284     75530               218
                                                             346,038     15,400      X      X  28-5284     15400
                                                               2,831        126      X         28-1500       126
                                                              29,458      1,311      X         28-4580      1311
                                                             411,898     18,331      X      X  28-4580     18331

HUNTSMAN CORP                COM            447011107          1,466         75      X         28-5284        75
                                                               4,203        215      X      X  28-4580       215

HUTTIG BLDG PRODS INC        COM            448451104          5,493        607      X         28-5284       607

HYDRIL                       COM            448774109         33,634        490      X         28-5284       490
                                                             528,528      7,700      X      X  28-5284      7700

HYDROGENICS CORP             COM            448882100          4,454      1,145      X      X  28-5284      1145

HYPERION SOLUTIONS CORP      COM            44914M104          8,562        176      X         28-5284       176

HYPERION STRATEGIC MTG INC F COM            44915C105         16,742      1,256      X         28-5284      1256

IAC INTERACTIVECORP          *W EXP 02/04/2 44919P128            565         50      X      X  28-5284        50
               COLUMN TOTAL                                6,105,951







                                                                                                                  FILE NO. 28-1235
PAGE 89 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
IAC INTERACTIVECORP          COM NEW        44919P300         25,350      1,000      X         28-5284      1000
                                                               3,803        150      X      X  28-5284       150
                                                             101,400      4,000      X      X  28-1500      4000

ICT GROUP INC                COM            44929Y101         17,610      1,500      X         28-5284      1500

ICOS CORP                    COM            449295104         55,240      2,000      X      X  28-5284      2000
                                                              27,620      1,000      X      X  28-1500      1000

ID BIOMEDICAL CORP           COM            44936D108         30,050      1,000      X         28-5284      1000

IFC CAP TR III               PFD CV TR SECS 449498203          5,330        200      X         28-5284       200
                                                              53,300      2,000      X      X  28-5284      2000

IHOP CORP                    COM            449623107         18,333        450      X         28-5284       450
                                                             120,183      2,950      X      X  28-5284      2950

ING PRIME RATE TR            SH BEN INT     44977W106          6,830      1,000      X         28-4580                        1000

ING CLARION REAL EST INCOME  COM SHS        449788108         25,040      1,600      X         28-5284      1600

ING CLARION GLB RE EST INCM  COM            44982G104         26,843      1,700      X         28-5284      1700
                                                              63,160      4,000      X      X  28-5284      4000

IMS HEALTH INC               COM            449934108        696,404     27,668      X         28-5284     24268              3400
                                                             374,303     14,871      X      X  28-5284     14287       316     268
                                                             164,914      6,552      X      X  28-4580      6552

ISTAR FINL INC               COM            45031U101        169,402      4,190      X         28-5284      4190
                                                             772,213     19,100      X      X  28-5284     19100

ITT EDUCATIONAL SERVICES INC COM            45068B109          4,935        100      X      X  28-5284       100

ITT INDS INC IND             COM            450911102     56,597,565    498,218      X         28-5284    486343             11875
                                                          20,654,866    181,821      X      X  28-5284    166731      4770   10320
                                                              64,184        565      X      X  28-1500       565
                                                           1,392,850     12,261      X         28-4580     11829               432
                                                             593,219      5,222      X      X  28-4580      5222

ICICI BK LTD                 ADR            45104G104         28,250      1,000      X         28-5284      1000
                                                              56,500      2,000      X      X  28-5284      2000
               COLUMN TOTAL                               82,149,697







                                                                                                                  FILE NO. 28-1235
PAGE 90 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
IDACORP INC                  COM            451107106         44,894      1,490      X         28-5284      1490
                                                               5,032        167      X      X  28-5284        67               100

IDEX CORP                    COM            45167R104          3,191         75      X         28-5284        75
                                                              29,785        700      X      X  28-5284                         700

IDEXX LABS INC               COM            45168D104            602          9      X         28-5284         9
                                                             167,200      2,500      X      X  28-5284      2500

IGATE CORP                   COM            45169U105      1,894,134    521,800      X         28-5284    521800

IKON OFFICE SOLUTIONS INC    COM            451713101          4,391        440      X         28-5284       440

IDENTIX INC                  COM            451906101          3,572        760      X         28-5284       760
                                                              52,974     11,271      X         28-1500      9971      1300

ILLINOIS TOOL WKS INC        COM            452308109     32,519,609    394,991      X         28-5284    393171              1820
                                                          21,112,047    256,432      X      X  28-5284    250488      1520    4424
                                                              35,649        433      X      X  28-1500       433
                                                             727,797      8,840      X         28-4580      8840
                                                           1,703,408     20,690      X      X  28-4580     20690

IMATION CORP                 COM            45245A107         15,862        370      X         28-5284       320                50
                                                             150,731      3,516      X      X  28-5284      3316       200
                                                              25,679        599      X      X  28-4580       599

IMAX CORP                    COM            45245E109        104,300     10,000      X         28-5284     10000

IMCLONE SYS INC              COM            45245W109          9,341        297      X         28-5284       297

IMAGISTICS INTERNATIONAL INC COM            45247T104         66,332      1,585      X         28-5284      1409               176
                                                             130,739      3,124      X      X  28-5284      3124
                                                               6,696        160      X      X  28-4580                         160

IMMUCOR INC                  COM            452526106         27,440      1,000      X      X  28-5284      1000

IMPAC MTG HLDGS INC          COM            45254P102          6,130        500      X      X  28-1500       500

IMPERIAL CHEM INDS PLC       ADR NEW        452704505            232         11      X      X  28-5284        11
                                                              22,831      1,081      X      X  28-4580      1081

IMPERIAL OIL LTD             COM NEW        453038408        132,319      1,150      X         28-5284      1150
                                                           1,150,600     10,000      X      X  28-5284      7700              2300
               COLUMN TOTAL                               60,153,517







                                                                                                                  FILE NO. 28-1235
PAGE 91 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                 
IMPERIAL TOBACCO GROUP PLC   SPONSORED ADR  453142101         46,520        800      X         28-5284       800
                                                              21,806        375      X      X  28-5284                         375

INAMED CORP                  COM            453235103            984         13      X         28-5284        13
                                                              22,704        300      X      X  28-5284       300

INCO LTD                     COM            453258402         54,453      1,150      X         28-5284      1150
                                                              37,880        800      X      X  28-5284       800

INDEPENDENCE CMNTY BK CORP   COM            453414104         40,908      1,200      X      X  28-5284      1200

INDEPENDENT BANK CORP MASS   COM            453836108         15,190        500      X         28-5284       500
                                                              30,380      1,000      X      X  28-5284      1000

INDIA FD INC                 COM            454089103         11,940        300      X         28-5284       300
                                                             188,533      4,737      X      X  28-5284      4737

INDUSTRIAL DISTR GROUP INC   COM            456061100          5,302        575      X         28-5284       575

INDYMAC BANCORP INC          COM            456607100         11,874        300      X         28-5284       300
                                                             395,800     10,000      X      X  28-5284     10000

INFORMATICA CORP             COM            45666Q102            914         76      X         28-5284        76
                                                              44,474      3,700      X      X  28-5284      3700

INFOSPACE INC                COM NEW        45678T201          2,697        113      X         28-5284       113

INFOSYS TECHNOLOGIES LTD     SPONSORED ADR  456788108         46,054        620      X         28-5284       620
                                                              40,854        550      X      X  28-5284       200               350

ING GROUP N V                SPONSORED ADR  456837103         43,255      1,452      X         28-5284      1452
                                                              68,517      2,300      X      X  28-5284      2000               300
                                                              16,355        549      X      X  28-4580       549

ING GLOBAL EQTY DIV & PREM O COM            45684E107        199,700     10,000      X         28-5284     10000
                                                               6,990        350      X         28-4580       350

INGLES MKTS INC              CL A           457030104            442         28      X         28-1500        28

INGRAM MICRO INC             CL A           457153104          2,503        135      X         28-5284       135

INKINE PHARMACEUTICALS INC   COM            457214104         11,680      3,200      X      X  28-5284       200              3000
               COLUMN TOTAL                                1,368,709







                                                                                                                  FILE NO. 28-1235
PAGE 92 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
INNKEEPERS USA TR            COM            4576J0104          1,854        120      X      X  28-1500       120

INSIGHT ENTERPRISES INC      COM            45765U103          2,697        145      X         28-5284       145

INPUT/OUTPUT INC             COM            457652105         55,860      7,000      X         28-5284      7000

INSMED INC                   COM NEW        457669208          4,500      3,358      X      X  28-5284      3358

INNOVATIVE SOLUTIONS & SUPPO COM            45769N105          2,314        149      X         28-5284       149
                                                           6,372,207    410,316      X      X  28-5284    410316

INPHONIC INC                 COM            45772G105         53,625      3,900      X         28-5284      3900

INSPIRE PHARMACEUTICALS INC  COM            457733103          7,600      1,000      X         28-5284      1000
                                                             123,576     16,260      X      X  28-5284     16260

INSTEEL INDUSTRIES INC       COM            45774W108          4,587        300      X         28-5284       300
                                                                 489         32      X         28-1500        32

INTEGRA LIFESCIENCES HLDGS C COM NEW        457985208        306,080      8,000      X         28-5284      8000
                                                              11,478        300      X      X  28-5284       300

INSURED MUN INCOME FD        COM            45809F104         19,755      1,500      X      X  28-5284                1500

INTAC INTL                   COM            45811T100          1,212        200      X      X  28-1500       200

INTEGRA BK CORP              COM            45814P105         35,501      1,636      X         28-1500      1636

INTEL CORP                   COM            458140100    141,665,695  5,747,087      X         28-5284   5619336      8196  119555
                                                         136,238,726  5,526,926      X      X  28-5284   5240969    109009  176948
                                                             627,318     25,449      X         28-1500               25449
                                                           2,784,316    112,954      X         28-4580    112065               889
                                                           2,942,569    119,374      X      X  28-4580    117774              1600

INTER TEL INC                COM            458372109          4,200        200      X         28-5284       200

INTERCONTINENTAL HTLS GRP PL SPONSORED ADR  45857P103          4,020        316      X      X  28-4580       316

INTERDIGITAL COMMUNICATIONS  COM            45866A105          3,928        200      X         28-5284                         200
                                                             124,380      6,333      X      X  28-5284      6333

INTERFACE INC                CL A           458665106          5,534        670      X         28-5284       670
               COLUMN TOTAL                              291,404,021







                                                                                                                  FILE NO. 28-1235
PAGE 93 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
INTERMAGNETICS GEN CORP      COM            458771102         11,847        424      X         28-5284       424

INTERMUNE INC                COM            45884X103         16,550      1,000      X         28-4580      1000

INTERNATIONAL BUSINESS MACHS COM            459200101    126,145,068  1,572,489      X         28-5284   1529080             43409
                                                         175,296,824  2,185,201      X      X  28-5284   1443335     11699  730167
                                                             476,908      5,945      X         28-1500        41      5904
                                                           3,001,752     37,419      X         28-4580     37419
                                                           6,679,679     83,267      X      X  28-4580     83267

INTERNATIONAL FLAVORS&FRAGRA COM            459506101        135,076      3,790      X         28-5284      3190               600
                                                             215,765      6,054      X      X  28-5284      4154              1900

INTERNATIONAL GAME TECHNOLOG COM            459902102      2,482,137     91,931      X         28-5284     86831              5100
                                                             432,459     16,017      X      X  28-5284      4400             11617
                                                              31,401      1,163      X         28-1500      1163
                                                               8,100        300      X      X  28-1500       300
                                                               1,431         53      X      X  28-4580        10                43

INTL PAPER CO                COM            460146103     11,234,481    376,996      X         28-5284    374255              2741
                                                           5,601,566    187,972      X      X  28-5284    183036      2008    2928
                                                             280,269      9,405      X         28-4580      9305               100
                                                             225,973      7,583      X      X  28-4580      7583

INTERNATIONAL RECTIFIER CORP COM            460254105        274,988      6,100      X         28-5284      6100
                                                               4,508        100      X      X  28-5284       100

INTERNATIONAL SPEEDWAY CORP  CL A           460335201          2,624         50      X         28-5284        50
                                                             141,669      2,700      X      X  28-5284      2700

INTERNET CAP GROUP INC       COM NEW        46059C205        404,115     45,870      X         28-5284     45870
                                                                  88         10      X      X  28-5284        10

INTERNET SEC SYS INC         COM            46060X107         39,785      1,657      X         28-1500      1657

INTERSIL CORP                CL A           46069S109          9,213        423      X         28-5284       423

INTERPUBLIC GROUP COS INC    COM            460690100        571,408     49,090      X         28-5284     49090
                                                              51,216      4,400      X      X  28-5284      4400

INTERSTATE HOTELS & RESRTS I COM            46088S106        248,961     53,540      X         28-5284     53540

INTRAWEST CORPORATION        COM NEW        460915200        130,631      4,785      X      X  28-5284      4785
               COLUMN TOTAL                              334,156,492







                                                                                                                  FILE NO. 28-1235
PAGE 94 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
INTERVEST BANCSHARES CORP    CL A           460927106         10,015        455      X         28-5284       455
                                                              44,020      2,000      X      X  28-5284                2000
                                                           5,933,896    269,600      X         28-1500    269600

INTEST CORP                  COM            461147100         11,830      2,950      X         28-5284      2950

INTUITIVE SURGICAL INC       COM NEW        46120E602        571,662      7,800      X      X  28-5284      7800

INTUIT                       COM            461202103         24,197        540      X         28-5284       540
                                                              95,445      2,130      X      X  28-5284      2130

INVESTMENT TECHNOLOGY GRP NE COM            46145F105          4,440        150      X      X  28-5284       150

INVITROGEN CORP              COM            46185R100        419,407      5,575      X         28-5284      1450              4125
                                                              25,578        340      X      X  28-5284       340

INVESTORS FINL SERVICES CORP COM            461915100          4,935        150      X         28-5284       150
                                                             118,440      3,600      X      X  28-5284                3600

IOWA TELECOMM SERVICES INC   COM            462594201         25,230      1,500      X      X  28-5284      1500

IPSCO INC                    COM            462622101          6,506         91      X         28-5284        91

IRON MTN INC                 COM            462846106        278,003      7,575      X         28-5284      7575
                                                              55,968      1,525      X      X  28-5284      1525

IRWIN FINL CORP              COM            464119106        146,808      7,200      X         28-5284      7200

ISHARES COMEX GOLD TR        ISHARES        464285105         15,959        341      X         28-5284       341

ISHARES INC                  MSCI AUSTRALIA 464286103         18,080        922      X         28-5284       922
                                                             231,594     11,810      X      X  28-5284     11810

ISHARES INC                  MSCI AUSTRIA   464286202        132,202      4,900      X         28-5284      4900

ISHARES INC                  MSCI BRAZIL    464286400          7,997        240      X         28-5284       240
                                                              33,320      1,000      X      X  28-5284      1000

ISHARES INC                  MSCI CDA INDEX 464286509         39,905      1,850      X         28-5284      1850
                                                             365,612     16,950      X      X  28-5284     16950
               COLUMN TOTAL                                8,621,049







                                                                                                                  FILE NO. 28-1235
PAGE 95 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ISHARES INC                  MSCI EMU INDEX 464286608      4,240,600     55,130      X         28-5284     55130
                                                             407,676      5,300      X      X  28-5284      4900       400
                                                             341,448      4,439      X         28-4580      4439
                                                           1,308,717     17,014      X      X  28-4580     16814               200

ISHARES INC                  MSCI PAC J IDX 464286665     29,595,076    286,913      X         28-5284    281917              4996
                                                           3,373,521     32,705      X      X  28-5284     32620                85
                                                             913,496      8,856      X         28-4580      8856
                                                           4,037,291     39,140      X      X  28-4580     37540              1600

ISHARES INC                  MSCI SINGAPORE 464286673         64,838      8,125      X         28-5284      8125
                                                              84,133     10,543      X      X  28-5284     10543
                                                              54,807      6,868      X      X  28-4580      6868

ISHARES INC                  MSCI TAIWAN    464286731         20,083      1,715      X         28-5284      1715
                                                              67,625      5,775      X      X  28-5284      5775

ISHARES INC                  MSCI SWITZERLD 464286749         18,160      1,000      X         28-5284      1000
                                                             216,558     11,925      X      X  28-5284     11925

ISHARES INC                  MSCI SWEDEN    464286756          2,704        120      X         28-5284       120

ISHARES INC                  MSCI S KOREA   464286772         39,450      1,000      X      X  28-5284      1000

ISHARES INC                  MSCI MEXICO    464286822          6,552        200      X      X  28-5284       200

ISHARES INC                  MSCI MALAYSIA  464286830         29,646      4,050      X      X  28-5284      4050
                                                              50,969      6,963      X      X  28-4580      6963

ISHARES INC                  MSCI JAPAN     464286848     18,017,210  1,478,032      X         28-5284   1478032
                                                           4,633,626    380,117      X      X  28-5284    378717              1400
                                                              35,351      2,900      X      X  28-1500      2900
                                                             726,439     59,593      X         28-4580     59593
                                                           3,935,030    322,808      X      X  28-4580    311264             11544

ISHARES INC                  MSCI HONG KONG 464286871         20,370      1,500      X      X  28-5284      1500
                                                              31,343      2,308      X         28-4580      2308
                                                              55,325      4,074      X      X  28-4580      3837               237

ISHARES TR                   S&P 100 IDX FD 464287101      1,762,515     31,206      X         28-5284     29378              1828
                                                             311,431      5,514      X      X  28-5284      5514
                                                              56,480      1,000      X      X  28-1500      1000
               COLUMN TOTAL                               74,458,470







                                                                                                                  FILE NO. 28-1235
PAGE 96 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ISHARES TR                   DJ SEL DIV INX 464287168     25,584,624    410,800      X         28-5284    406544              4256
                                                          18,570,152    298,172      X      X  28-5284    292614              5558
                                                              53,436        858      X         28-4580       858
                                                             708,560     11,377      X      X  28-4580     11377

ISHARES TR                   US TIPS BD FD  464287176      1,398,512     13,285      X         28-5284     13285
                                                             732,048      6,954      X      X  28-5284      6954

ISHARES TR                   FTSE XNHUA IDX 464287184      1,093,686     17,025      X         28-5284     17025
                                                             223,234      3,475      X      X  28-5284      3475
                                                               5,332         83      X      X  28-4580        31                52

ISHARES TR                   S&P 500 INDEX  464287200    172,489,296  1,402,352      X         28-5284   1376983      3595   21774
                                                          48,509,601    394,387      X      X  28-5284    289588     95428    9371
                                                             246,000      2,000      X      X  28-1500      2000
                                                           2,487,552     20,224      X         28-4580     20224
                                                           1,488,792     12,104      X      X  28-4580     12104

ISHARES TR                   LEHMAN AGG BND 464287226     14,772,072    145,466      X         28-5284    142436      3030
                                                           5,607,286     55,217      X      X  28-5284     51085      4132
                                                              61,438        605      X      X  28-4580        94               511

ISHARES TR                   MSCI EMERG MKT 464287234     19,250,869    226,801      X         28-5284    220724       120    5957
                                                          11,665,483    137,435      X      X  28-5284    125954      9772    1709
                                                               8,403         99      X         28-4580        99
                                                             190,980      2,250      X      X  28-4580      1860               390

ISHARES TR                   GS CORP BD FD  464287242      5,453,663     49,837      X         28-5284     48576              1261
                                                           1,420,839     12,984      X      X  28-5284     11916              1068

ISHARES TR                   S&P GBL INF    464287291         26,066        510      X         28-5284       510
                                                              30,666        600      X      X  28-5284       600

ISHARES TR                   S&P500/BAR GRW 464287309      7,013,139    119,719      X         28-5284    118719              1000
                                                           4,341,891     74,119      X      X  28-5284     73643               476
                                                             444,622      7,590      X         28-4580      7590

ISHARES TR                   S&P GBL HLTHCR 464287325        259,300      5,000      X      X  28-4580      5000

ISHARES TR                   S&P GBL ENER   464287341         54,977        540      X         28-5284       540
                                                             146,301      1,437      X      X  28-5284      1437
               COLUMN TOTAL                              344,338,820







                                                                                                                  FILE NO. 28-1235
PAGE 97 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ISHARES TR                   GS NAT RES IDX 464287374     13,283,112    145,409      X         28-5284    145409
                                                             481,597      5,272      X      X  28-5284      5272
                                                           1,075,098     11,769      X         28-4580     11769
                                                           7,554,645     82,700      X      X  28-4580     79700              3000

ISHARES TR                   S&P LTN AM 40  464287390         36,108        300      X      X  28-4580       300

ISHARES TR                   S&P500/BAR VAL 464287408     18,343,296    286,033      X         28-5284    286033
                                                           3,375,034     52,628      X      X  28-5284     51978       650
                                                             180,654      2,817      X         28-4580      2817
                                                             294,998      4,600      X      X  28-4580      2000              2600

ISHARES TR                   20+ YR TRS BD  464287432      3,053,203     33,115      X         28-5284     33115
                                                             919,142      9,969      X      X  28-5284      9798       171

ISHARES TR                   7-10 YR TRS BD 464287440      9,168,833    108,584      X         28-5284    104954      3630
                                                           1,551,163     18,370      X      X  28-5284     16919      1451

ISHARES TR                   1-3 YR TRS BD  464287457      5,863,414     72,720      X         28-5284     72720
                                                             437,660      5,428      X      X  28-5284      5124       304
                                                              80,630      1,000      X      X  28-1500      1000

ISHARES TR                   MSCI EAFE IDX  464287465    196,497,221  3,382,052      X         28-5284   3298760     20814   62478
                                                          86,966,636  1,496,844      X      X  28-5284   1325322    147859   23663
                                                           1,795,987     30,912      X         28-4580     30912
                                                           2,405,108     41,396      X      X  28-4580     40188              1208

ISHARES TR                   RUSSELL MCP VL 464287473     11,375,746     91,851      X         28-5284     90234              1617
                                                           2,554,530     20,626      X      X  28-5284     20626
                                                             461,341      3,725      X         28-4580      3725
                                                             370,188      2,989      X      X  28-4580      2989

ISHARES TR                   RUSSELL MCP GR 464287481      9,235,784    101,314      X         28-5284     99425              1889
                                                           2,229,500     24,457      X      X  28-5284     24457
                                                             107,751      1,182      X         28-4580      1182

ISHARES TR                   RUSSELL MIDCAP 464287499     13,618,973    157,372      X         28-5284    151772       150    5450
                                                           4,882,241     56,416      X      X  28-5284     47538      8878
                                                              35,049        405      X         28-4580       405
               COLUMN TOTAL                              398,234,642







                                                                                                                  FILE NO. 28-1235
PAGE 98 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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     13,828,941    192,550      X         28-5284    185675       908    5967
                                                           5,464,784     76,090      X      X  28-5284     57187     17053    1850
                                                             316,008      4,400      X         28-11439     4400
                                                              43,954        612      X         28-4580       612
                                                               5,746         80      X      X  28-4580        80

ISHARES TR                   GLMN SCHS SOFT 464287515          4,110        100      X      X  28-5284       100

ISHARES TR                   GLDM SCHS SEMI 464287523        381,397      6,436      X         28-5284      6436
                                                              51,260        865      X      X  28-5284       865
                                                              16,000        270      X         28-4580       270

ISHARES TR                   GLDM SCHS NETW 464287531         37,548      1,200      X         28-5284      1200

ISHARES TR                   GLDM SACHS TEC 464287549          8,552        186      X         28-5284       186
                                                             316,618      6,886      X      X  28-5284      6886

ISHARES TR                   NASDQ BIO INDX 464287556      4,074,609     52,917      X         28-5284     50817              2100
                                                           1,212,981     15,753      X      X  28-5284     13792       361    1600

ISHARES TR                   COHEN&ST RLTY  464287564     32,994,003    448,898      X         28-5284    443520      4228    1150
                                                          11,396,469    155,054      X      X  28-5284    122762     28696    3596
                                                             120,393      1,638      X         28-4580      1638
                                                              25,358        345      X      X  28-4580       345

ISHARES TR                   S&P GLB100INDX 464287572         32,909        518      X         28-5284       518
                                                              32,210        507      X      X  28-5284       507

ISHARES TR                   CONS SRVC IDX  464287580         29,568        507      X         28-5284       507
                                                               4,724         81      X      X  28-5284        81

ISHARES TR                   RUSSELL1000VAL 464287598     44,506,024    646,514      X         28-5284    632264             14250
                                                           8,568,859    124,475      X      X  28-5284    120505      3970
                                                             321,896      4,676      X         28-4580      4676
                                                              71,869      1,044      X      X  28-4580      1044

ISHARES TR                   S&P MIDCP GROW 464287606      7,492,448    103,673      X         28-5284    103305               368
                                                           3,741,418     51,770      X      X  28-5284     47704       424    3642
                                                             107,104      1,482      X         28-4580      1482
                                                             140,348      1,942      X      X  28-4580      1942
               COLUMN TOTAL                              135,348,108







                                                                                                                  FILE NO. 28-1235
PAGE 99 OF 201                 FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ISHARES TR                   RUSSELL1000GRW 464287614     37,885,749    760,300      X         28-5284    735240             25060
                                                           6,034,612    121,104      X      X  28-5284    120504       350     250
                                                             519,727     10,430      X         28-4580     10430
                                                              48,983        983      X      X  28-4580       983

ISHARES TR                   RUSSELL 1000   464287622      7,869,742    117,652      X         28-5284    116302       250    1100
                                                           7,022,647    104,988      X      X  28-5284     24778     80210
                                                             163,278      2,441      X      X  28-4580      2441

ISHARES TR                   RUSL 2000 VALU 464287630     14,672,128    222,541      X         28-5284    221047              1494
                                                           4,118,515     62,468      X      X  28-5284     61256       945     267
                                                             224,689      3,408      X         28-4580      3408
                                                              40,415        613      X      X  28-4580       613

ISHARES TR                   RUSL 2000 GROW 464287648     14,577,000    211,875      X         28-5284    205470              6405
                                                           2,566,515     37,304      X      X  28-5284     33223      3012    1069
                                                              74,854      1,088      X         28-4580      1088
                                                              34,400        500      X      X  28-4580                         500

ISHARES TR                   RUSSELL 2000   464287655     43,132,322    649,681      X         28-5284    632198      2256   15227
                                                          21,753,148    327,657      X      X  28-5284    298369     27336    1952
                                                             647,634      9,755      X         28-4580      9755
                                                             786,190     11,842      X      X  28-4580     11842

ISHARES TR                   RUSL 3000 VALU 464287663         79,751        888      X         28-5284       888
                                                              21,195        236      X      X  28-5284       236

ISHARES TR                   RUSL 3000 GROW 464287671         57,769      1,431      X         28-5284      1431

ISHARES TR                   RUSSELL 3000   464287689      2,854,690     40,156      X         28-5284     39950               206
                                                           1,642,819     23,109      X      X  28-5284     23109
                                                              34,479        485      X         28-4580       485

ISHARES TR                   DJ US UTILS    464287697        569,394      6,932      X         28-5284      6932
                                                             838,567     10,209      X      X  28-5284     10209
                                                              28,667        349      X         28-4580       349

ISHARES TR                   S&P MIDCP VALU 464287705      9,887,780    141,254      X         28-5284    140864               390
                                                           3,317,300     47,390      X      X  28-5284     42839      1216    3335
                                                             185,360      2,648      X         28-4580      2648
                                                              75,110      1,073      X      X  28-4580      1073
               COLUMN TOTAL                              181,765,429







                                                                                                                  FILE NO. 28-1235
PAGE 100 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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 TELECOMM 464287713      1,103,952     46,659      X         28-5284     46496               163
                                                             315,577     13,338      X      X  28-5284     13338
                                                               9,914        419      X         28-4580       419
                                                               6,388        270      X      X  28-4580       270

ISHARES TR                   DJ US TECH SEC 464287721      1,321,160     27,162      X         28-5284     27162
                                                           2,353,690     48,390      X      X  28-5284     48390
                                                              10,409        214      X         28-4580       214

ISHARES TR                   DJ US REAL EST 464287739      1,260,206     19,608      X         28-5284     19608
                                                             909,356     14,149      X      X  28-5284     13999       150
                                                              51,416        800      X         28-4580       800
                                                              77,124      1,200      X      X  28-4580      1200

ISHARES TR                   DJ US INDUSTRL 464287754        112,002      2,009      X         28-5284      2009

ISHARES TR                   DJ US HEALTHCR 464287762      2,467,551     39,684      X         28-5284     39284               400
                                                             950,794     15,291      X      X  28-5284     14791               500
                                                             155,450      2,500      X         28-11439     2500
                                                              42,531        684      X         28-4580       684
                                                               6,218        100      X      X  28-4580       100

ISHARES TR                   DJ US FINL SEC 464287788        147,128      1,551      X         28-5284      1551
                                                             388,357      4,094      X      X  28-5284      4094
                                                             151,776      1,600      X         28-11439     1600
                                                              59,477        627      X         28-4580       627

ISHARES TR                   DJ US ENERGY   464287796        404,290      4,433      X         28-5284      4433
                                                             157,958      1,732      X      X  28-5284      1732
                                                             182,400      2,000      X         28-11439     2000
                                                              14,592        160      X         28-4580       160
                                                             273,600      3,000      X      X  28-4580      3000

ISHARES TR                   S&P SMLCAP 600 464287804     13,506,714    233,842      X         28-5284    227621              6221
                                                           6,742,209    116,728      X      X  28-5284    107558      7890    1280
                                                             114,018      1,974      X         28-4580      1974
                                                              33,443        579      X      X  28-4580       579

ISHARES TR                   CONS GOODS IDX 464287812         25,120        467      X         28-5284       467
                                                              59,169      1,100      X      X  28-5284      1100
               COLUMN TOTAL                               33,413,989







                                                                                                                  FILE NO. 28-1235
PAGE 101 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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 BAS MATL 464287838        583,391     12,081      X         28-5284     12081
                                                             245,796      5,090      X      X  28-5284      5090
                                                              96,580      2,000      X         28-4580      2000

ISHARES TR                   DJ US TOTL MKT 464287846          7,622        128      X         28-5284       128
                                                              51,689        868      X      X  28-5284       868

ISHARES TR                   S&P EURO PLUS  464287861      3,326,554     41,298      X         28-5284     41298
                                                             670,015      8,318      X      X  28-5284      8318
                                                             263,157      3,267      X         28-4580      3267
                                                           2,405,223     29,860      X      X  28-4580     29860

ISHARES TR                   S&P SMLCP VALU 464287879      4,415,618     69,102      X         28-5284     69062                40
                                                           2,798,053     43,788      X      X  28-5284     41374       542    1872
                                                             199,815      3,127      X         28-4580      3127
                                                             199,368      3,120      X      X  28-4580      2440               680

ISHARES TR                   S&P SMLCP GROW 464287887      7,783,103     66,986      X         28-5284     64419              2567
                                                           3,804,409     32,743      X      X  28-5284     31467       444     832
                                                             113,169        974      X         28-4580       974
                                                              92,720        798      X      X  28-4580       798

ISHARES TR                   MID GRWTH INDX 464288307         15,542        210      X      X  28-5284       210

ISIS PHARMACEUTICALS INC     COM            464330109         10,100      2,000      X         28-5284      2000

IVAX CORP                    COM            465823102        109,289      4,146      X         28-5284      4146
                                                              98,191      3,725      X      X  28-5284      3725

JDS UNIPHASE CORP            COM            46612J101         83,363     37,551      X         28-5284     37451               100
                                                              33,613     15,141      X      X  28-5284     15141
                                                               4,440      2,000      X      X  28-1500      2000

JLG INDS INC                 COM            466210101        585,440     16,000      X         28-5284     16000
                                                              73,180      2,000      X      X  28-5284                        2000
                                                             716,469     19,581      X      X  28-1500     19581

JPMORGAN & CHASE & CO        COM            46625H100     97,028,705  2,859,673      X         28-5284   2589136            270537
                                                          56,061,623  1,652,273      X      X  28-5284   1527801     29589   94883
                                                          12,140,697    357,816      X         28-1500    330626     27190
                                                             773,468     22,796      X         28-4580     22202               594
                                                           1,091,426     32,167      X      X  28-4580     32167
               COLUMN TOTAL                              195,881,828







                                                                                                                  FILE NO. 28-1235
PAGE 102 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
J2 GLOBAL COMMUNICATIONS INC COM NEW        46626E205         45,270      1,120      X         28-5284      1120
                                                             864,988     21,400      X      X  28-5284     21400
                                                              26,394        653      X         28-1500       653

JABIL CIRCUIT INC            COM            466313103         17,315        560      X         28-5284       560
                                                              12,368        400      X      X  28-5284       400

JACOBS ENGR GROUP INC DEL    COM            469814107      1,201,877     17,832      X         28-5284     17832
                                                             466,071      6,915      X      X  28-5284      6915

JACUZZI BRANDS INC           COM            469865109         29,274      3,632      X      X  28-5284      3520               112

JAKKS PAC INC                COM            47012E106          4,966        306      X         28-1500       306

JAMDAT MOBILE INC            COM            47023T100          8,400        400      X      X  28-5284       400

JAMESON INNS INC             COM            470457102          4,151      2,015      X         28-5284      2015

JANUS CAP GROUP INC          COM            47102X105         69,360      4,800      X         28-5284                        4800

JARDEN CORP                  COM            471109108         50,516      1,230      X         28-5284      1230
                                                           1,264,956     30,800      X      X  28-5284     30800

JEFFERIES GROUP INC NEW      COM            472319102            653         15      X         28-5284        15
                                                               3,702         85      X      X  28-5284        85
                                                               2,395         55      X      X  28-4580        55

JEFFERSON PILOT CORP         COM            475070108      7,190,153    140,515      X         28-5284    139815               700
                                                             623,813     12,191      X      X  28-5284     12091               100
                                                             112,574      2,200      X      X  28-1500      2200

JETBLUE AWYS CORP            COM            477143101         21,771      1,237      X         28-5284      1237
                                                             327,360     18,600      X         28-11439    18600

JO-ANN STORES INC            COM            47758P307          1,644         95      X         28-5284        95

JOHNSON & JOHNSON            COM            478160104    356,276,019  5,630,152      X         28-5284   5349579            280573
                                                         247,866,494  3,916,980      X      X  28-5284   3814128     33949   68903
                                                           2,385,719     37,701      X         28-1500      6402     31299
                                                           2,651,432     41,900      X         28-11439    41900
                                                           7,723,324    122,050      X         28-4580    121435               615
                                                          10,715,266    169,331      X      X  28-4580    167631              1700
               COLUMN TOTAL                              639,968,225







                                                                                                                  FILE NO. 28-1235
PAGE 103 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
JOHNSON CTLS INC             COM            478366107     19,577,706    315,515      X         28-5284    315115               400
                                                           6,831,457    110,096      X      X  28-5284    107756       200    2140
                                                               6,205        100      X         28-4580       100
                                                              45,669        736      X      X  28-4580       736

JOHNSON OUTDOORS INC         CL A           479167108         26,223      1,574      X         28-1500      1574

JONES APPAREL GROUP INC      COM            480074103          5,387        189      X         28-5284       189
                                                              59,850      2,100      X      X  28-5284      2100

JOS A BANK CLOTHIERS INC     COM            480838101         21,610        500      X         28-5284       500
                                                              17,288        400      X      X  28-5284       400

JOURNAL REGISTER CO          COM            481138105         88,990      5,500      X         28-5284      1400              4100
                                                             135,103      8,350      X      X  28-5284      2050              6300

JOY GLOBAL INC               COM            481165108          7,821        155      X      X  28-5284       155
                                                               6,257        124      X      X  28-4580       124

JUNIPER NETWORKS INC         COM            48203R104      8,951,085    376,096      X         28-5284    375546               550
                                                             933,103     39,206      X      X  28-5284     33736      4860     610
                                                              25,823      1,085      X      X  28-1500      1085
                                                           1,608,047     67,565      X         28-11439    67565
                                                              51,170      2,150      X         28-4580      2150
                                                              10,139        426      X      X  28-4580       426

JUPITERMEDIA CORP            COM            48207D101        100,947      5,700      X      X  28-5284      5700

KCS ENERGY INC               COM            482434206          6,883        250      X         28-5284       250

KLA-TENCOR CORP              COM            482480100        124,094      2,545      X         28-5284      2545
                                                               6,583        135      X      X  28-5284       135
                                                              15,749        323      X      X  28-1500       323

KT CORP                      SPONSORED ADR  48268K101         34,133      1,517      X         28-5284      1517

K SEA TRANSN PARTNERS LP     COM            48268Y101         33,361        914      X         28-5284       914

K-SWISS INC                  CL A           482686102          3,430        116      X         28-5284       116
                                                              23,065        780      X      X  28-5284       780
                                                              11,828        400      X      X  28-1500       400

K V PHARMACEUTICAL CO        CL A           482740206          1,244         70      X      X  28-4580        70
               COLUMN TOTAL                               38,770,250







                                                                                                                  FILE NO. 28-1235
PAGE 104 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
KADANT INC                   COM            48282T104            241         12      X      X  28-5284        12

KNBT BANCORP INC             COM            482921103         39,003      2,505      X         28-5284      2505

KANSAS CITY SOUTHERN         COM NEW        485170302         13,986        600      X         28-5284       600
                                                             256,410     11,000      X      X  28-5284                       11000

KAYNE ANDERSON MLP INVSMNT C COM            486606106        128,375      4,575      X         28-5284      4575
                                                             113,643      4,050      X      X  28-5284      1000      3050

KB HOME                      COM            48666K109         36,600        500      X         28-5284       500
                                                              95,160      1,300      X      X  28-5284      1300

KEANE INC                    COM            486665102        125,513     10,981      X         28-5284     10981

KELLOGG CO                   COM            487836108      3,378,423     73,237      X         28-5284     58341             14896
                                                           1,280,984     27,769      X      X  28-5284     24910      1909     950
                                                              13,839        300      X      X  28-1500       300
                                                              73,808      1,600      X         28-4580      1600
                                                              92,260      2,000      X      X  28-4580       800              1200

KELLWOOD CO                  COM            488044108          2,585        100      X         28-5284       100

KELLY SVCS INC               CL A           488152208          7,665        250      X         28-5284       250
                                                               1,073         35      X      X  28-5284        35
                                                               1,073         35      X      X  28-4580        35

KENNAMETAL INC               COM            489170100         64,733      1,320      X         28-5284      1320
                                                             659,098     13,440      X      X  28-5284     13440

KERR MCGEE CORP              COM            492386107      2,582,738     26,596      X         28-5284     26596
                                                           2,901,744     29,881      X      X  28-5284     29881
                                                               5,535         57      X      X  28-1500        57

KERYX BIOPHARMACEUTICALS INC COM            492515101          3,625        230      X         28-5284       230

KEWAUNEE SCIENTIFIC CORP     COM            492854104            552         62      X         28-1500        62

KEYCORP NEW                  COM            493267108        820,247     25,434      X         28-5284     24424              1010
                                                           1,149,293     35,637      X      X  28-5284     32637      2000    1000
                                                          11,622,900    360,400      X         28-1500    360400

KEYNOTE SYS INC              COM            493308100          7,788        600      X      X  28-5284       600
               COLUMN TOTAL                               25,478,894







                                                                                                                  FILE NO. 28-1235
PAGE 105 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
KEYSPAN CORP                 COM            49337W100        253,046      6,880      X         28-5284      6880
                                                             893,754     24,300      X      X  28-5284     23420               880
                                                              19,420        528      X         28-4580       528

KILROY RLTY CORP             COM            49427F108          2,802         50      X         28-5284        50

KIMBALL INTL INC             CL B           494274103         48,360      4,000      X         28-5284                        4000
                                                              19,586      1,620      X         28-1500      1620

KIMBERLY CLARK CORP          COM            494368103     47,823,247    803,347      X         28-5284    781213             22134
                                                          33,241,552    558,400      X      X  28-5284    549090       400    8910
                                                             255,979      4,300      X         28-1500                4300
                                                             165,434      2,779      X         28-4580      2779
                                                             475,764      7,992      X      X  28-4580      7992

KIMCO REALTY CORP            COM            49446R109        196,375      6,250      X         28-5284      5650               600
                                                             175,952      5,600      X      X  28-5284      4800               800

KINDER MORGAN INC KANS       COM            49455P101     42,885,148    445,977      X         28-5284    437964              8013
                                                          22,770,784    236,801      X      X  28-5284    228361      5480    2960
                                                           1,077,761     11,208      X         28-4580     10745               463
                                                             450,029      4,680      X      X  28-4580      4680

KINDER MORGAN ENERGY PARTNER UT LTD PARTNER 494550106      2,118,492     40,085      X         28-5284     40085
                                                           3,975,060     75,214      X      X  28-5284     72214      2200     800
                                                             132,125      2,500      X         28-1500                2500

KINDRED HEALTHCARE INC       COM            494580103          2,980        100      X         28-5284       100

KINETIC CONCEPTS INC         COM NEW        49460W208          4,601         81      X      X  28-4580        81

KING PHARMACEUTICALS INC     COM            495582108         21,132      1,374      X         28-5284      1374
                                                               3,845        250      X      X  28-5284       250
                                                               7,767        505      X      X  28-1500       505

KIRIN BREWERY LTD            SPONSORED ADR  497350306         22,848      2,064      X         28-5284      2064

KNAPE & VOGT MFG CO          COM            498782101          7,847        599      X         28-1500       599

KNIGHT CAPITAL GROUP INC     CL A           499005106         16,620      2,000      X         28-5284      2000

KNIGHT RIDDER INC            COM            499040103        830,615     14,155      X         28-5284     12855              1300
                                                             878,968     14,979      X      X  28-5284     11479              3500
               COLUMN TOTAL                              158,777,893








                                                                                                                  FILE NO. 28-1235
PAGE 106 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
KNIGHT TRANSN INC            COM            499064103          3,216        132      X         28-5284       132

KNOLOGY INC                  COM            499183804        876,666    333,333      X                    333333

KOHLS CORP                   COM            500255104      9,149,620    182,336      X         28-5284    171226             11110
                                                           2,504,082     49,902      X      X  28-5284     45942              3960
                                                              15,054        300      X         28-1500                 300
                                                               2,007         40      X         28-4580        40

KONINKLIJKE AHOLD N V        SPON ADR NEW   500467303          4,706        620      X         28-5284       620

KONINKLIJKE PHILIPS ELECTRS  NY REG SH NEW  500472303         50,185      1,881      X         28-5284      1167               714
                                                              59,710      2,238      X      X  28-5284      2238

KOPIN CORP                   COM            500600101          6,950      1,000      X      X  28-5284      1000

KOREA ELECTRIC PWR           SPONSORED ADR  500631106         18,170      1,026      X         28-5284      1026
                                                              86,779      4,900      X      X  28-5284      4900

KOREA FD                     COM            500634100         23,338        700      X         28-5284       700

KORN FERRY INTL              COM NEW        500643200        134,316      8,195      X         28-5284      8195

KRAFT FOODS INC              CL A           50075N104      1,080,255     35,314      X         28-5284     34864               450
                                                             927,030     30,305      X      X  28-5284     29905       200     200
                                                               3,059        100      X         28-4580                         100
                                                               9,177        300      X      X  28-4580       300

KRISPY KREME DOUGHNUTS INC   COM            501014104          2,504        400      X         28-5284                         400
                                                             331,530     52,960      X      X  28-5284     52960

KROGER CO                    COM            501044101      2,025,932     98,394      X         28-5284     98394
                                                             878,575     42,670      X      X  28-5284     41670              1000
                                                              35,003      1,700      X      X  28-1500      1700

KRONOS WORLDWIDE INC         COM            50105F105          8,348        263      X         28-5284       263

KRONOS INC                   COM            501052104            491         11      X         28-5284        11

KULICKE & SOFFA INDS INC     COM            501242101          3,625        500      X      X  28-5284       500

KYOCERA CORP                 ADR            501556203         28,008        400      X      X  28-5284                         400

LCA-VISION INC               COM PAR $.001  501803308          2,673         72      X         28-5284        72
                                                              16,147        435      X         28-1500       435
               COLUMN TOTAL                               18,287,156







                                                                                                                  FILE NO. 28-1235
PAGE 107 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
LKQ CORP                     COM            501889208          9,151        303      X         28-1500       303

LL & E RTY TR                UNIT BEN INT   502003106         18,116      3,830      X      X  28-5284      3830

LSB CORP                     COM            50215P100        284,750     17,000      X      X  28-5284     17000

LSI LOGIC CORP               COM            502161102         58,608      5,950      X         28-5284      5650               300
                                                              35,460      3,600      X      X  28-5284      3600

LTC PPTYS INC                COM            502175102        551,200     26,000      X         28-5284     26000

L-3 COMMUNICATIONS HLDGS INC COM            502424104      3,501,378     44,282      X         28-5284     32382             11900
                                                           2,905,823     36,750      X      X  28-5284     28520       550    7680
                                                             254,605      3,220      X      X  28-1500      3220
                                                               1,581         20      X         28-4580        20

LA QUINTA CORP               PAIRED CTF     50419U202          9,689      1,115      X         28-5284      1115

LABONE INC NEW               COM            50540L105          2,828         65      X         28-5284        65

LABORATORY CORP AMER HLDGS   COM NEW        50540R409         70,873      1,455      X         28-5284      1305               150
                                                             107,162      2,200      X      X  28-5284      2200

LABOR READY INC              COM NEW        505401208         48,479      1,890      X         28-5284      1890
                                                           1,000,350     39,000      X      X  28-5284     39000

LABRANCHE & CO INC           COM            505447102        217,250     25,000      X      X  28-5284     25000

LACLEDE GROUP INC            COM            505597104         71,478      2,200      X         28-5284      2200

LADENBURG THALMAN FIN SVCS I COM            50575Q102          6,710     11,000      X         28-5284     11000
                                                               3,400      5,574      X      X  28-5284      5574

LAFARGE COPPEE S A           SPON ADR NEW   505861401          9,405        425      X         28-5284       425

LAFARGE NORTH AMERICA INC    COM            505862102          7,167        106      X         28-5284       106

LAKELAND BANCORP INC         COM            511637100        250,661     16,351      X         28-5284     16351

LAM RESEARCH CORP            COM            512807108      8,951,294    293,774      X         28-5284    282044             11730
                                                           3,602,560    118,233      X      X  28-5284    104783      5650    7800
                                                             535,906     17,588      X         28-4580     17146               442
                                                             131,722      4,323      X      X  28-4580      4323
               COLUMN TOTAL                               22,647,606







                                                                                                                  FILE NO. 28-1235
PAGE 108 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
LAMAR ADVERTISING CO         CL A           512815101          5,215        115      X         28-5284       115

LANCASTER COLONY CORP        COM            513847103        113,950      2,650      X         28-5284      2650

LANCE INC                    COM            514606102         17,460      1,000      X      X  28-5284      1000
                                                                 978         56      X         28-1500        56

LANDAUER INC                 COM            51476K103         22,834        466      X         28-5284       466
                                                              86,877      1,773      X      X  28-5284      1773

LANDAMERICA FINL GROUP INC   COM            514936103         16,615        257      X      X  28-5284       257

LANDSTAR SYS INC             COM            515098101         44,834      1,120      X         28-5284      1120
                                                             880,660     22,000      X      X  28-5284     22000
                                                              25,979        649      X      X  28-1500       649

LARGE SCALE BIOLOGY CORP     COM            517053104            830      1,000      X      X  28-5284      1000

LAS VEGAS SANDS CORP         COM            517834107          1,514         46      X      X  28-4580         9                37

LASERSCOPE                   COM            518081104         15,330        544      X         28-5284       544
                                                             450,880     16,000      X      X  28-5284     16000

LAUDER ESTEE COS INC         CL A           518439104        691,968     19,867      X         28-5284     18667              1200
                                                              12,887        370      X      X  28-5284       370
                                                              78,368      2,250      X      X  28-1500      2250

LAUREATE EDUCATION INC       COM            518613104          1,959         40      X         28-5284        40

LAWSON PRODS INC             COM            520776105         26,549        723      X         28-5284                         723
                                                              42,375      1,154      X      X  28-5284       700               454

LAYNE CHRISTENSEN CO         COM            521050104          2,355        100      X         28-5284       100
                                                               2,355        100      X      X  28-5284       100

LEAPFROG ENTERPRISES INC     CL A           52186N106          7,385        500      X         28-5284       500
                                                             265,860     18,000      X      X  28-5284     18000

LEAP WIRELESS INTL INC       COM NEW        521863308          5,984        170      X         28-5284       170

LEAR CORP                    COM            521865105         49,902      1,469      X         28-5284      1469
                                                               2,582         76      X         28-1500                  76
               COLUMN TOTAL                                2,874,485







                                                                                                                  FILE NO. 28-1235
PAGE 109 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
LEE ENTERPRISES INC          COM            523768109        118,944      2,800      X         28-5284       700              2100
                                                             280,368      6,600      X      X  28-5284      1300              5300

LEGGETT & PLATT INC          COM            524660107          9,777        484      X         28-5284       484
                                                              45,208      2,238      X      X  28-5284      2238

LEGG MASON INC               COM            524901105     29,433,886    268,337      X         28-5284    264847              3490
                                                           9,908,078     90,328      X      X  28-5284     85753      2920    1655
                                                              54,845        500      X      X  28-1500       500
                                                             622,271      5,673      X         28-4580      5673
                                                             143,694      1,310      X      X  28-4580      1310

LEHMAN BROS HLDGS INC        COM            524908100     20,858,889    179,077      X         28-5284    176892              2185
                                                          17,625,404    151,317      X      X  28-5284    148652      1150    1515
                                                              29,120        250      X         28-1500                 250
                                                              32,032        275      X         28-4580       275
                                                             215,488      1,850      X      X  28-4580      1850

LENNAR CORP                  CL A           526057104        228,164      3,818      X         28-5284      3818
                                                             168,822      2,825      X      X  28-5284      2825
                                                           9,716,976    162,600      X         28-11439   162600

LENNAR CORP                  CL B           526057302          2,216         40      X      X  28-5284        40

LENNOX INTL INC              COM            526107107         30,151      1,100      X         28-5284      1100

LEUCADIA NATL CORP           COM            527288104        316,785      7,350      X         28-5284      7350
                                                              43,100      1,000      X      X  28-5284      1000

LEVEL 3 COMMUNICATIONS INC   COM            52729N100         67,280     29,000      X         28-5284     29000
                                                              11,600      5,000      X      X  28-5284      5000
                                                               1,160        500      X      X  28-4580       500

LEVITT CORP                  CL A           52742P108          6,263        273      X         28-5284       273

LEXINGTON CORP PPTYS TR      COM            529043101          6,665        283      X         28-5284       283
                                                             197,278      8,377      X      X  28-5284      8377

LEXMARK INTL NEW             CL A           529771107        157,387      2,578      X         28-5284      2578
                                                              79,670      1,305      X      X  28-5284      1305

LIBERTY ALL-STAR GROWTH FD I COM            529900102         18,094      3,041      X         28-5284      3041
               COLUMN TOTAL                               90,429,615







                                                                                                                  FILE NO. 28-1235
PAGE 110 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
LIBERTY ALL STAR EQUITY FD   SH BEN INT     530158104          9,593      1,073      X         28-5284      1073
                                                              17,880      2,000      X      X  28-5284      2000

LIBERTY CORP S C             COM            530370105        129,651      2,765      X         28-5284      2765
                                                              37,512        800      X      X  28-5284                         800

LIBERTY GLOBAL INC           COM SER A      530555101        904,643     33,394      X         28-5284      1799             31595
                                                             652,463     24,085      X      X  28-5284      1349             22736
                                                              32,508      1,200      X         28-1500                1200

LIBERTY GLOBAL INC           COM SER C      530555309        859,896     33,394      X         28-5284      1799             31595
                                                             620,189     24,085      X      X  28-5284      1349             22736
                                                              30,900      1,200      X         28-1500                1200

LIBERTY MEDIA CORP NEW       COM SER A      530718105      2,286,160    283,995      X         28-5284     33095            250900
                                                           1,808,610    224,672      X      X  28-5284     39034            185638
                                                             256,956     31,920      X         28-1500               31920

LIBERTY PPTY TR              SH BEN INT     531172104         30,161        709      X         28-5284       709
                                                             744,450     17,500      X      X  28-5284     16000      1500

LIFECELL CORP                COM            531927101          1,709         79      X         28-5284        79

LIFE TIME FITNESS INC        COM            53217R207         23,198        700      X      X  28-5284       700

LIFEPOINT HOSPITALS INC      COM            53219L109         37,214        851      X         28-5284       820                31
                                                                 568         13      X      X  28-5284        13

LIFELINE SYS INC             COM            532192101        156,452      4,680      X      X  28-5284      4680

LIHIR GOLD LTD               SPONSORED ADR  532349107         11,856        403      X         28-5284       403

LILLY ELI & CO               COM            532457108     19,191,148    358,579      X         28-5284    333196             25383
                                                          23,587,281    440,719      X      X  28-5284    407940      9000   23779
                                                             128,448      2,400      X         28-1500                2400
                                                           3,789,216     70,800      X         28-11439    70800
                                                             133,800      2,500      X         28-4580      2500
                                                             663,648     12,400      X      X  28-4580     12400

LIMITED BRANDS INC           COM            532716107        277,194     13,568      X         28-5284       668             12900
                                                              28,725      1,406      X      X  28-5284      1406
                                                               5,823        285      X         28-4580       285
               COLUMN TOTAL                               56,457,852







                                                                                                                  FILE NO. 28-1235
PAGE 111 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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          8,210        200      X         28-5284       200

LINCOLN EDL SVCS CORP        COM            533535100      1,372,356    116,400      X         28-5284    116400

LINCOLN ELEC HLDGS INC       COM            533900106          2,758         70      X         28-5284        70

LINCOLN NATL CORP IND        COM            534187109        146,176      2,810      X         28-5284      2010               800
                                                             523,321     10,060      X      X  28-5284      9960               100
                                                              10,404        200      X      X  28-1500       200

LINEAR TECHNOLOGY CORP       COM            535678106      7,215,363    191,949      X         28-5284    190649              1300
                                                           3,066,104     81,567      X      X  28-5284     72437      3530    5600
                                                             101,493      2,700      X         28-4580      2700
                                                              22,554        600      X      X  28-4580       600

LINENS N THINGS INC          COM            535679104            614         23      X         28-5284        23

LIONS GATE ENTMNT CORP       COM NEW        535919203            954        100      X         28-5284       100
                                                             144,054     15,100      X      X  28-1500     15100

LITTELFUSE INC               COM            537008104            647         23      X         28-5284        23

LIZ CLAIBORNE INC            COM            539320101      6,507,460    165,500      X         28-5284    164625               875
                                                           4,690,247    119,284      X      X  28-5284    116914       150    2220
                                                              75,888      1,930      X         28-4580      1930
                                                              90,475      2,301      X      X  28-4580      2301

LLOYDS TSB GROUP PLC         SPONSORED ADR  539439109        201,174      6,054      X      X  28-5284      5954               100
                                                              14,754        444      X      X  28-4580       444

LOCKHEED MARTIN CORP         COM            539830109      1,625,922     26,637      X         28-5284     26387               250
                                                           3,925,971     64,318      X      X  28-5284     62956              1362

LOEWS CORP                   COM            540424108          6,469         70      X         28-5284        70
                                                             304,491      3,295      X      X  28-5284      2495               800
                                                              36,964        400      X      X  28-4580       400

LOEWS CORP                   CAROLNA GP STK 540424207          2,814         71      X         28-5284        71
                                                             126,816      3,200      X      X  28-5284      3200
                                                              19,815        500      X      X  28-1500       500

LONE STAR STEAKHOUSE SALOON  COM            542307103          2,990        115      X         28-5284       115
               COLUMN TOTAL                               30,247,258







                                                                                                                  FILE NO. 28-1235
PAGE 112 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
LONE STAR TECHNOLOGIES INC   COM            542312103         86,720      1,560      X      X  28-5284      1560

LONGS DRUG STORES CORP       COM            543162101         17,156        400      X         28-5284       400

LONGVIEW FIBRE CO            COM            543213102         24,363      1,250      X      X  28-5284                        1250

LOUDEYE CORP                 COM            545754103            967      1,112      X         28-5284      1112

LOUISIANA PAC CORP           COM            546347105         13,900        502      X         28-5284       502
                                                             577,143     20,843      X      X  28-5284     20843

LOWES COS INC                COM            548661107     59,522,473    924,262      X         28-5284    910579             13683
                                                          24,955,322    387,505      X      X  28-5284    369375      4240   13890
                                                             317,428      4,929      X         28-1500                4929
                                                             273,700      4,250      X         28-11439     4250
                                                             773,186     12,006      X         28-4580     11691               315
                                                             837,458     13,004      X      X  28-4580     12865               139

LOWRANCE ELECTRS INC         COM            548900109          6,325        250      X      X  28-5284       250

LUBRIZOL CORP                COM            549271104        181,336      4,185      X         28-5284      4185
                                                             620,269     14,315      X      X  28-5284     13015              1300
                                                              19,715        455      X      X  28-1500       455

LUCENT TECHNOLOGIES INC      COM            549463107        437,889    134,735      X         28-5284    129837       496    4402
                                                           1,056,702    325,139      X      X  28-5284    319688              5451
                                                               3,023        930      X         28-1500                 930
                                                              79,950     24,600      X         28-11439    24600
                                                               9,068      2,790      X         28-4580      2086               704
                                                              16,276      5,008      X      X  28-4580      5008

LUXOTTICA GROUP S P A        SPONSORED ADR  55068R202         49,820      2,000      X      X  28-1500      2000

LYONDELL CHEMICAL CO         COM            552078107         17,172        600      X         28-5284       600
                                                             700,102     24,462      X      X  28-5284      7061             17401
                                                              42,930      1,500      X      X  28-1500      1500
                                                              14,310        500      X      X  28-4580       500

M & F WORLDWIDE CORP         COM            552541104            218         14      X         28-5284        14
               COLUMN TOTAL                               90,654,921







                                                                                                                  FILE NO. 28-1235
PAGE 113 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
M & T BK CORP                COM            55261F104     19,835,002    187,636      X         28-5284    184021              3615
                                                           9,844,138     93,124      X      X  28-5284     89064      2290    1770
                                                             506,457      4,791      X         28-4580      4707                84
                                                             194,401      1,839      X      X  28-4580      1799                40

MBIA INC                     COM            55262C100     11,902,313    196,343      X         28-5284    190979              5364
                                                           4,780,857     78,866      X      X  28-5284     78386       150     330
                                                               6,062        100      X         28-1500       100
                                                              75,108      1,239      X      X  28-1500      1239
                                                               4,850         80      X         28-4580        80
                                                               6,668        110      X      X  28-4580       110

MBNA CORP                    COM            55262L100     39,980,494  1,622,585      X         28-5284   1603802             18783
                                                          20,871,090    847,041      X      X  28-5284    803671      6442   36928
                                                              28,311      1,149      X         28-1500                1149
                                                           1,865,347     75,704      X         28-4580     75704
                                                             660,722     26,815      X      X  28-4580     26815

MBIA CAP CLAYMORE MNG DUR IN COM            55266X100         29,364      2,264      X      X  28-5284      2264

M D C HLDGS INC              COM            552676108         52,304        663      X         28-5284       663
                                                             620,470      7,865      X      X  28-5284      7865

MDU RES GROUP INC            COM            552690109        335,930      9,423      X         28-5284      9423
                                                             219,854      6,167      X      X  28-5284      6017               150

MCI INC                      COM            552691107        103,266      4,064      X         28-5284      4064
                                                             239,235      9,415      X      X  28-5284      9415

MFS CHARTER INCOME TR        SH BEN INT     552727109         45,500      5,200      X      X  28-5284      5200
                                                               4,261        487      X      X  28-4580       487

MFS INTER INCOME TR          SH BEN INT     55273C107         55,080      8,500      X      X  28-5284      8500
                                                               6,480      1,000      X      X  28-4580      1000

MFS MUN INCOME TR            SH BEN INT     552738106          4,110        500      X         28-5284                         500
                                                              49,320      6,000      X      X  28-5284      6000

MFS SPL VALUE TR             SH BEN INT     55274E102         19,334      1,696      X         28-5284      1696

MGE ENERGY INC               COM            55277P104         25,411        696      X         28-5284       696
               COLUMN TOTAL                              112,371,739







                                                                                                                  FILE NO. 28-1235
PAGE 114 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
MGIC INVT CORP WIS           COM            552848103          1,926         30      X         28-5284        30
                                                             513,600      8,000      X      X  28-5284                        8000

MGI PHARMA INC               COM            552880106         23,240      1,000      X         28-5284      1000

MFS GOVT MKTS INCOME TR      SH BEN INT     552939100         14,674      2,200      X      X  28-5284      2200

MGM MIRAGE                   COM            552953101        210,096      4,800      X         28-5284      1000              3800
                                                             569,010     13,000      X      X  28-5284      2600             10400
                                                               2,976         68      X      X  28-4580         6                62

M/I HOMES INC                COM            55305B101          8,953        165      X      X  28-5284       165

MPS GROUP INC                COM            553409103         23,600      2,000      X         28-5284      2000

MSC INDL DIRECT INC          CL A           553530106         18,244        550      X         28-5284       550

MTS SYS CORP                 COM            553777103        151,080      4,000      X      X  28-5284      4000

MVC CAPITAL INC              COM            553829102          5,900        500      X         28-5284       500

MACDERMID INC                COM            554273102         26,260      1,000      X         28-5284      1000

MACERICH CO                  COM            554382101          1,948         30      X         28-5284        30

MACK CALI RLTY CORP          COM            554489104         79,679      1,773      X         28-5284      1773
                                                             230,992      5,140      X      X  28-5284      3800       340    1000

MACROCHEM CORP DEL           COM            555903103            510     10,000      X         28-5284     10000
                                                                 306      6,000      X      X  28-5284      6000

MACROVISION CORP             COM            555904101            229         12      X         28-5284        12

MACQUARIE FT TR GB INF UT DI COM            55607W100         26,772      1,150      X         28-5284      1150

MACQUARIE INFRASTRUCTURE CO  SH BEN INT     55607X108         35,250      1,250      X         28-5284      1250
                                                              28,200      1,000      X      X  28-5284      1000

MACROMEDIA INC               COM            556100105         16,268        400      X         28-5284       400
                                                              18,505        455      X      X  28-5284       455

MADISON CLAYMORE CVRD CALL F COM            556582104         31,100      2,000      X      X  28-5284      2000
                                                              26,435      1,700      X      X  28-1500      1700
               COLUMN TOTAL                                2,065,753







                                                                                                                  FILE NO. 28-1235
PAGE 115 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
MAGELLAN HEALTH SVCS INC     COM NEW        559079207          7,909        225      X      X  28-5284       225

MAGELLAN MIDSTREAM PRTNRS LP COM UNIT RP LP 559080106        205,620      6,000      X         28-5284      6000
                                                             411,240     12,000      X      X  28-5284      6600      5400

MAGNA ENTMT CORP             CL A           559211107          5,661        850      X      X  28-5284       850

MAGNETEK INC                 COM            559424106         35,152     10,400      X         28-5284     10400

MAGUIRE PPTYS INC            COM            559775101         30,050      1,000      X      X  28-5284      1000

MAINSOURCE FINANCIAL GP INC  COM            56062Y102        210,260     11,859      X         28-5284     11859
                                                           1,113,320     62,793      X         28-1500     62793

MAKITA CORP                  ADR NEW        560877300         15,976        782      X         28-5284       782

MANAGED MUNS PORTFOLIO INC   COM            561662107         13,962      1,300      X         28-5284      1300
                                                              50,005      4,656      X      X  28-5284      4656

MANHATTAN ASSOCS INC         COM            562750109        104,400      4,500      X      X  28-1500      4500

MANITOWOC INC                COM            563571108        171,453      3,412      X         28-5284      3412
                                                              10,050        200      X      X  28-5284       200

MANOR CARE INC NEW           COM            564055101          3,841        100      X      X  28-5284       100
                                                              28,808        750      X      X  28-4580       750

MANPOWER INC                 COM            56418H100          4,439        100      X         28-5284       100

MANULIFE FINL CORP           COM            56501R106      3,671,615     68,860      X         28-5284     67329              1531
                                                           1,675,154     31,417      X      X  28-5284     29382       200    1835

MARATHON OIL CORP            COM            565849106      2,098,505     30,444      X         28-5284     28434              2010
                                                             520,215      7,547      X      X  28-5284      7547
                                                              39,910        579      X         28-1500                 579
                                                              10,408        151      X      X  28-4580       151

MARCUS CORP                  COM            566330106         12,024        600      X         28-5284       600

MARINEMAX INC                COM            567908108          3,569        140      X         28-5284       140

MARINE PRODS CORP            COM            568427108         13,236      1,200      X      X  28-5284      1200
               COLUMN TOTAL                               10,466,782







                                                                                                                  FILE NO. 28-1235
PAGE 116 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
MARITRANS INC                COM            570363101         32,000      1,000      X      X  28-5284      1000

MARSH & MCLENNAN COS INC     COM            571748102      3,520,560    115,846      X         28-5284    115846
                                                           1,913,719     62,972      X      X  28-5284     62372               600
                                                             181,124      5,960      X         28-4580      5960
                                                             383,157     12,608      X      X  28-4580     12608

MARSHALL & ILSLEY CORP       COM            571834100         77,143      1,773      X         28-5284      1773

MARRIOTT INTL INC NEW        CL A           571903202     42,477,687    674,249      X         28-5284    664419              9830
                                                          24,809,715    393,805      X      X  28-5284    378775      9090    5940
                                                           1,772,442     28,134      X         28-4580     27863               271
                                                             405,342      6,434      X      X  28-4580      6322               112

MARTEK BIOSCIENCES CORP      COM            572901106         70,260      2,000      X      X  28-5284      2000

MARTEN TRANS LTD             COM            573075108          4,478        177      X         28-5284       177

MARTHA STEWART LIVING OMNIME CL A           573083102         25,896      1,035      X         28-5284      1035
                                                              22,518        900      X      X  28-5284       800       100

MARTIN MARIETTA MATLS INC    COM            573284106         58,610        747      X         28-5284       747
                                                             226,436      2,886      X      X  28-5284      2886

MASCO CORP                   COM            574599106      4,453,969    145,175      X         28-5284    119975             25200
                                                           2,076,760     67,691      X      X  28-5284     56391             11300
                                                              30,680      1,000      X      X  28-1500      1000

MASSEY ENERGY CORP           COM            576206106         31,051        608      X         28-5284       608
                                                              63,020      1,234      X      X  28-5284      1234

MASSMUTUAL CORPORATE INVS IN COM            576292106         11,200        400      X         28-5284       400
                                                               4,200        150      X      X  28-5284       150

MASSMUTUAL PARTN INVS        SH BEN INT     576299101         73,656      5,115      X         28-5284      5115

MATRIXX INITIATIVES INC      COM            57685L105          9,954        700      X         28-5284       700

MATSUSHITA ELEC INDL         ADR            576879209         62,999      3,682      X         28-5284      3682
                                                             168,534      9,850      X      X  28-5284      3850              6000
                                                              11,395        666      X      X  28-4580       666
               COLUMN TOTAL                               82,978,505







                                                                                                                  FILE NO. 28-1235
PAGE 117 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
MATTEL INC                   COM            577081102     15,700,600    941,283      X         28-5284    767433            173850
                                                             607,636     36,429      X      X  28-5284     16529             19900
                                                             302,675     18,146      X         28-1500     18146

MATTHEWS INTL CORP           CL A           577128101      1,040,256     27,520      X         28-5284     27520
                                                             215,460      5,700      X      X  28-5284      5700

MATTSON TECHNOLOGY INC       COM            577223100          4,468        595      X         28-5284       595

MAXIM INTEGRATED PRODS INC   COM            57772K101        386,580      9,064      X         28-5284      9064
                                                              92,252      2,163      X      X  28-5284       500      1303     360
                                                              43,972      1,031      X      X  28-1500      1031

MAXIM PHARMACEUTICALS INC    COM            57772M107          3,350      2,500      X      X  28-1500      2500

MAXTOR CORP                  COM NEW        577729205          2,744        625      X         28-5284       625

MAYTAG CORP                  COM            578592107         54,780      3,000      X         28-5284      3000
                                                              94,952      5,200      X      X  28-5284      5200

MBT FINL CORP                COM            578877102         28,751      1,560      X         28-5284      1560

MCAFEE INC                   COM            579064106         64,945      2,067      X         28-5284      2067
                                                              50,272      1,600      X      X  28-5284       600      1000

MCCLATCHY CO                 CL A           579489105        212,976      3,265      X         28-5284      1865              1400
                                                             326,150      5,000      X      X  28-5284      1500              3500

MCCORMICK & CO INC           COM NON VTG    579780206     15,775,463    483,465      X         28-5284    482585               880
                                                           8,126,632    249,054      X      X  28-5284    237454      5050    6550
                                                              31,325        960      X      X  28-1500       960
                                                             115,510      3,540      X         28-4580      3540
                                                             140,015      4,291      X      X  28-4580      4291

MCCORMICK & SCHMICKS SEAFD R COM            579793100          4,266        202      X         28-5284       202

MCDATA CORP                  CL A           580031201             58         11      X         28-5284        11
                                                                 403         77      X      X  28-5284        77
                                                                  94         18      X      X  28-4580        18

MCDERMOTT INTL INC           COM            580037109         58,576      1,600      X      X  28-5284      1600
                                                           2,130,336     58,190      X         28-11439    58190
               COLUMN TOTAL                               45,615,497







                                                                                                                  FILE NO. 28-1235
PAGE 118 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
MCDONALDS CORP               COM            580135101     34,840,250  1,040,318      X         28-5284    960856      3200   76262
                                                          25,483,378    760,925      X      X  28-5284    673234     23866   63825
                                                               3,014         90      X         28-1500        90
                                                              95,145      2,841      X      X  28-1500      2841
                                                           2,247,179     67,100      X         28-11439    67100
                                                             171,670      5,126      X         28-4580      5126
                                                              58,775      1,755      X      X  28-4580      1755

MCGRAW HILL COS INC          COM            580645109     60,382,293  1,256,917      X         28-5284   1236086             20831
                                                          45,903,133    955,519      X      X  28-5284    921244     13840   20435
                                                             288,240      6,000      X      X  28-1500      6000
                                                           1,525,558     31,756      X         28-4580     31264               492
                                                             400,077      8,328      X      X  28-4580      8262                66

MCKESSON CORP                COM            58155Q103      1,294,911     27,290      X         28-5284     27290
                                                              90,392      1,905      X      X  28-5284      1905
                                                             164,082      3,458      X      X  28-1500      3458

MCMORAN EXPLORATION CO       COM            582411104          1,439         74      X      X  28-5284        74

MEADOWBROOK INS GROUP INC    COM            58319P108          5,124        915      X         28-5284       915

MEADWESTVACO CORP            COM            583334107        396,899     14,370      X         28-5284     14370
                                                             564,884     20,452      X      X  28-5284     14752              5700

MEASUREMENT SPECIALTIES INC  COM            583421102         21,094        995      X         28-5284       995

MEDAREX INC                  COM            583916101         48,171      5,060      X         28-5284      5060

MEDCO HEALTH SOLUTIONS INC   COM            58405U102      7,285,481    132,874      X         28-5284    126316       144    6414
                                                          15,858,591    289,232      X      X  28-5284    284042       672    4518
                                                              17,217        314      X         28-1500                 314
                                                              12,172        222      X         28-4580       222
                                                             266,583      4,862      X      X  28-4580      4633               229

MEDIA GEN INC                CL A           584404107        437,395      7,540      X         28-5284      6840               700
                                                             261,045      4,500      X      X  28-5284      2500              2000

MEDICIS PHARMACEUTICAL CORP  CL A NEW       584690309        312,967      9,612      X         28-5284      9612
                                                             358,974     11,025      X      X  28-5284      8425      1200    1400
               COLUMN TOTAL                              198,796,133







                                                                                                                  FILE NO. 28-1235
PAGE 119 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
MEDIMMUNE INC                COM            584699102         40,212      1,195      X         28-5284      1195
                                                              20,190        600      X      X  28-5284       600
                                                              33,650      1,000      X         28-11439     1000

MEDIS TECHNOLOGIES LTD       COM            58500P107        239,058     13,318      X         28-5284     13318

MEDTRONIC INC                COM            585055106     67,726,457  1,263,082      X         28-5284   1208135             54947
                                                          47,692,684    889,457      X      X  28-5284    849985     16973   22499
                                                              51,475        960      X         28-1500                 960
                                                             201,075      3,750      X         28-11439     3750
                                                             521,294      9,722      X         28-4580      9722
                                                             758,026     14,137      X      X  28-4580     14095                42

MELLON FINL CORP             COM            58551A108      7,541,052    235,879      X         28-5284    235709               170
                                                           3,947,144    123,464      X      X  28-5284    120264              3200

MEMORY PHARMACEUTICALS CORP  COM            58606R403         12,195      4,500      X      X  28-5284      4500

MENS WEARHOUSE INC           COM            587118100         15,700        588      X         28-5284       588

MENTOR CORP MINN             COM            587188103          3,301         60      X         28-5284        60

MENTOR GRAPHICS CORP         COM            587200106          4,739        551      X         28-5284       551

MERCANTILE BANK CORP         COM            587376104         22,465        525      X         28-4580       525

MERCANTILE BANKSHARES CORP   COM            587405101      1,109,928     20,600      X         28-5284     19600              1000
                                                             396,018      7,350      X      X  28-5284      3150              4200
                                                              40,410        750      X      X  28-1500       750

MERCER INTL INC              SH BEN INT     588056101         33,080      4,000      X      X  28-5284      4000

MERCK & CO INC               COM            589331107     78,028,484  2,867,640      X         28-5284   2806472             61168
                                                         146,899,933  5,398,748      X      X  28-5284   5330665     16910   51173
                                                             167,478      6,155      X         28-1500        25      6130
                                                             733,446     26,955      X         28-4580     26648               307
                                                           2,481,498     91,198      X      X  28-4580     88098              3100

MERCURY GENL CORP NEW        COM            589400100         23,996        400      X      X  28-5284       400

MERCURY INTERACTIVE CORP     COM            589405109          1,624         41      X         28-5284        41

MEREDITH CORP                COM            589433101          9,978        200      X      X  28-5284       200
               COLUMN TOTAL                              358,756,590







                                                                                                                  FILE NO. 28-1235
PAGE 120 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
MERIDIAN BIOSCIENCE INC      COM            589584101         51,233      2,475      X         28-5284      2475
                                                             931,500     45,000      X      X  28-5284     45000
                                                               3,022        146      X         28-1500       146

MERITAGE HOMES CORP          COM            59001A102          4,140         54      X         28-5284        54
                                                               3,450         45      X      X  28-5284        45
                                                               3,066         40      X      X  28-4580        40

MERRILL LYNCH & CO INC       DEBT        10 590188P51      1,230,000     10,000      X         28-5284     10000

MERRILL LYNCH & CO INC       COM            590188108      7,729,364    125,988      X         28-5284    125988
                                                          19,094,451    311,238      X      X  28-5284    297924      2000   11314
                                                           2,269,950     37,000      X         28-11439    37000
                                                               3,374         55      X         28-4580        55

METLIFE INC                  COM            59156R108        704,646     14,141      X         28-5284     12811              1330
                                                             797,828     16,011      X      X  28-5284     15411               600
                                                               4,983        100      X      X  28-4580       100

METRIS COS INC               COM            591598107         29,260      2,000      X      X  28-5284      2000

METROLOGIC INSTRS INC        COM            591676101          9,095        500      X         28-5284       500

METSO CORP                   SPONSORED ADR  592671101         17,510        688      X         28-5284       688

METTLER TOLEDO INTERNATIONAL COM            592688105         10,655        209      X         28-5284       209

MICROS SYS INC               COM            594901100         62,694      1,433      X         28-5284      1433
                                                             962,500     22,000      X      X  28-5284     22000

MICROSOFT CORP               COM            594918104    151,024,551  5,869,590      X         28-5284   5688036            181554
                                                          90,804,000  3,529,110      X      X  28-5284   3309596     47180  172334
                                                           1,459,251     56,714      X         28-1500      2138     54576
                                                           3,128,794    121,601      X         28-4580    120376              1225
                                                           2,438,098     94,757      X      X  28-4580     94397               360

MICROCHIP TECHNOLOGY INC     COM            595017104         76,595      2,543      X         28-5284      2543
                                                               6,175        205      X      X  28-5284       205

MICRON TECHNOLOGY INC        COM            595112103         23,089      1,736      X         28-5284      1736
                                                              17,290      1,300      X      X  28-5284      1300
                                                             980,210     73,700      X         28-11439    73700
               COLUMN TOTAL                              283,880,774







                                                                                                                  FILE NO. 28-1235
PAGE 121 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
MID PENN BANCORP INC         COM            59540G107         26,520      1,020      X      X  28-5284                        1020

MIDAS GROUP INC              COM            595626102          1,471         74      X         28-5284        74
                                                               4,791        241      X      X  28-5284       241

MIDCAP SPDR TR               UNIT SER 1     595635103     72,031,398    550,194      X         28-5284    546567       327    3300
                                                          35,196,271    268,838      X      X  28-5284    249081     18159    1598
                                                           1,416,947     10,823      X         28-4580     10823
                                                           1,945,864     14,863      X      X  28-4580     14323               540

MIDDLEBY CORP                COM            596278101         36,250        500      X      X  28-5284       500

MIDDLESEX WATER CO           COM            596680108         99,970      4,453      X      X  28-5284      4453

MIDLAND CO                   COM            597486109        392,727     10,900      X         28-5284     10900
                                                               5,044        140      X      X  28-1500       140

MIDWAY GAMES INC             COM            598148104          7,595        500      X      X  28-5284       500

MILACRON INC                 COM            598709103        896,186    503,475      X         28-5284    503475
                                                             479,210    269,219      X      X  28-5284    269219

MILLENNIUM PHARMACEUTICALS I COM            599902103        122,876     13,170      X         28-5284     13170
                                                              40,464      4,337      X      X  28-5284      4337
                                                              50,849      5,450      X         28-1500      5450

MILLEA HOLDINGS INC          ADR            60032R106          7,276         90      X         28-5284        90
                                                              10,994        136      X      X  28-4580       136

MILLENNIUM CELL INC          COM            60038B105         10,200      5,000      X         28-5284      5000

MILLER HERMAN INC            COM            600544100         90,900      3,000      X         28-5284      3000

MILLIPORE CORP               COM            601073109        316,085      5,026      X         28-5284      5026
                                                             599,467      9,532      X      X  28-5284      9532

MILLS CORP                   COM            601148109         44,064        800      X         28-5284       800
                                                              55,080      1,000      X      X  28-5284      1000

MINDSPEED TECHNOLOGIES INC   COM            602682106            321        133      X         28-5284       133
                                                                 964        400      X      X  28-5284       267               133
               COLUMN TOTAL                              113,889,784







                                                                                                                  FILE NO. 28-1235
PAGE 122 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
MINE SAFETY APPLIANCES CO    COM            602720104      5,231,079    135,170      X         28-5284    135170
                                                             331,543      8,567      X      X  28-5284      1517              7050

MOBILE MINI INC              COM            60740F105          8,237        190      X         28-1500       190

MOBILE TELESYSTEMS OJSC      SPONSORED ADR  607409109          4,068        100      X      X  28-4580       100

MOLEX INC                    COM            608554101        104,319      3,910      X         28-5284      3910

MOLSON COORS BREWING CO      CL B           60871R209         21,443        335      X         28-5284       335
                                                              32,005        500      X      X  28-5284       500

MONACO COACH CORP            COM            60886R103            265         18      X         28-5284        18

MONEYGRAM INTL INC           COM            60935Y109         51,019      2,350      X         28-5284      2350
                                                             132,648      6,110      X      X  28-5284      6000               110
                                                               2,171        100      X      X  28-4580       100

MONSANTO CO NEW              COM            61166W101      1,216,409     19,385      X         28-5284     19385
                                                           2,472,664     39,405      X      X  28-5284     33105      5411     889
                                                              66,452      1,059      X      X  28-4580      1059

MONSTER WORLDWIDE INC        COM            611742107        829,262     27,003      X         28-5284     27003

MONTGOMERY STR INCOME SECS I COM            614115103         21,069      1,199      X      X  28-5284      1199

MOODYS CORP                  COM            615369105     63,341,703  1,240,049      X         28-5284   1214389      1600   24060
                                                          29,642,133    580,308      X      X  28-5284    559168     10690   10450
                                                           1,222,804     23,939      X         28-4580     23279               660
                                                           1,110,122     21,733      X      X  28-4580     21733

MOOG INC                     CL A           615394202          2,066         70      X      X  28-5284        70
                                                               1,771         60      X      X  28-4580        60

MORGAN STANLEY EASTN EUR FD  COM            616988101         21,474        584      X         28-5284       584

MORGAN STANLEY EMER MKTS FD  COM            61744G107         33,412      1,549      X         28-5284      1549

MORGAN STANLEY EMER MKTS DEB COM            61744H105         18,096      1,745      X         28-5284      1745
                                                              55,480      5,350      X      X  28-5284      5350

MORGAN STANLEY HIGH YIELD FD COM            61744M104         23,040      3,600      X      X  28-5284      3600
               COLUMN TOTAL                              105,996,754







                                                                                                                  FILE NO. 28-1235
PAGE 123 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
MORGAN STANLEY ASIA PAC FD I COM            61744U106          7,757        527      X         28-5284       527
                                                              39,538      2,686      X      X  28-5284      2686

MORGAN STANLEY               COM NEW        617446448     59,232,377  1,098,116      X         28-5284   1057364       836   39916
                                                          38,758,587    718,550      X      X  28-5284    686586      4540   27424
                                                             411,508      7,629      X         28-1500      1439      6190
                                                           1,448,019     26,845      X         28-4580     26845
                                                             591,075     10,958      X      X  28-4580     10958

MORGAN STANLEY               GOVT INCOME TR 61745P106        106,440     12,000      X      X  28-5284     12000

MORGAN STANLEY               MUN PREM INCOM 61745P429         74,784      8,200      X      X  28-5284      6100              2100

MORGAN STANLEY               MUN INCM OPPTN 61745P452          8,280      1,000      X      X  28-4580      1000

MORGAN STANLEY               QULTY MUN SECS 61745P585         21,450      1,500      X      X  28-4580      1500

MORGAN STANLEY               QUALT MUN INCM 61745P734        163,220     11,734      X         28-5284     11734

MORGAN STANLEY               INSD MUN INCM  61745P791        189,648     13,500      X         28-5284     13500
                                                             280,960     20,000      X      X  28-5284     20000
                                                              32,718      2,329      X      X  28-4580      2329

MORGAN STANLEY               INSD MUN BD TR 61745P817         12,484        873      X         28-5284       873

MORGAN STANLEY               INSD MUN TR    61745P866          6,920        500      X         28-5284       500
                                                               8,304        600      X      X  28-5284                 600

MORGAN STANLEY               INCOME SEC INC 61745P874          7,857        496      X         28-5284       496

MOSAIC CO                    COM            61945A107             96          6      X         28-5284         6

MOTHERS WK INC               COM            619903107        384,000     38,400      X      X  28-5284     38400

MOTOROLA INC                 COM            620076109     27,083,241  1,229,380      X         28-5284   1219967              9413
                                                          23,737,457  1,077,506      X      X  28-5284   1001646     47780   28080
                                                             179,875      8,165      X         28-1500                8165
                                                             301,436     13,683      X         28-4580     13683
                                                             208,712      9,474      X      X  28-4580      9474

MOVIE GALLERY INC            COM            624581104          2,151        207      X         28-5284       207
               COLUMN TOTAL                              153,298,894







                                                                                                                  FILE NO. 28-1235
PAGE 124 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                 
MUELLER INDS INC             COM            624756102         46,320      1,668      X         28-5284      1668
                                                               4,221        152      X      X  28-5284       152

MULTI COLOR CORP             COM            625383104          5,196        200      X         28-5284                         200
                                                               3,897        150      X      X  28-1500       150

MUNIYIELD N J INSD FD INC    COM            625921101          6,052        393      X         28-5284       393

MUNI INTER DURATION FD INC   COM            62618U107         22,792      1,574      X      X  28-5284      1574

MUNICIPAL HIGH INCOME FD INC COM            626214100         14,767      2,034      X         28-5284      2034

MUNICIPAL MTG & EQUITY L L C GROWTH SHS     62624B101          9,988        400      X      X  28-5284       400

MUNIHOLDINGS FLA INSD FD     COM            62624W105          6,698        455      X         28-5284       455
                                                             137,441      9,337      X      X  28-5284      9337

MUNIYIELD CALIF INS FD       COM            62629L104         32,914      2,259      X         28-5284      2259

MUNIVEST FD II INC           COM            62629P105         52,761      3,333      X      X  28-5284      3333

MUNIVEST FD INC              COM            626295109          4,970        500      X         28-4580                         500

MUNIYIELD FD INC             COM            626299101          5,796        400      X         28-5284       400
                                                             329,169     22,717      X      X  28-5284     22717

MUNIYIELD INSD FD INC        COM            62630E107         31,290      2,100      X         28-5284      2100
                                                              62,073      4,166      X      X  28-5284      4166
                                                              20,011      1,343      X         28-4580      1343

MUNIYIELD N J FD INC         COM            62630L101         21,017      1,421      X         28-5284      1421

MUNIYIELD PA INSD FD         COM            62630V109        285,519     18,048      X      X  28-5284     18048
                                                             391,798     24,766      X         28-4580     24766
                                                              33,744      2,133      X      X  28-4580      2133

MUNIYIELD QUALITY FD INC     COM            626302103         32,555      2,166      X      X  28-5284      2166

MURPHY OIL CORP              COM            626717102         65,330      1,310      X         28-5284      1310
                                                              19,948        400      X      X  28-5284       400
                                                              59,844      1,200      X      X  28-1500      1200

MUTUALFIRST FINL INC         COM            62845B104         31,318      1,400      X         28-5284                        1400
               COLUMN TOTAL                                1,737,429







                                                                                                                  FILE NO. 28-1235
PAGE 125 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
MYERS INDS INC               COM            628464109        179,303     15,404      X         28-5284     15404

MYLAN LABS INC               COM            628530107        368,964     19,157      X         28-5284     17807              1350
                                                             523,872     27,200      X      X  28-5284     18675              8525
                                                              40,311      2,093      X      X  28-1500      2093
                                                              28,043      1,456      X      X  28-4580      1456

MYRIAD GENETICS INC          COM            62855J104         10,930        500      X         28-5284       500

MYOGEN INC                   COM            62856E104         41,031      1,746      X         28-5284      1746

NBC CAP CORP                 COM            628729105         35,112      1,400      X         28-5284                        1400
                                                             200,640      8,000      X      X  28-5284      8000

NBT BANCORP INC              COM            628778102        405,387     17,192      X         28-5284     17192
                                                             253,131     10,735      X      X  28-5284     10735

NCR CORP NEW                 COM            62886E108         59,863      1,876      X         28-5284      1591               285
                                                             145,446      4,558      X      X  28-5284      4398               160

NS GROUP INC                 COM            628916108          2,787         71      X         28-5284        71

NGAS RESOURCES INC           COM            62912T103        284,950     20,500      X         28-5284                       20500
                                                               2,544        183      X         28-1500       183

NL INDS INC                  COM NEW        629156407          9,395        500      X         28-5284       500

NMS COMMUNICATIONS CORP      COM            629248105          2,350        635      X         28-5284       635

NN INC                       COM            629337106          2,398        200      X         28-5284       200

NTT DOCOMO INC               SPONS ADR      62942M201          1,133         63      X         28-5284        63

NVR INC                      COM            62944T105         20,354         23      X      X  28-5284        23

NABI BIOPHARMACEUTICALS      COM            629519109            485         37      X         28-5284        37
                                                               1,441        110      X      X  28-5284       110
                                                               1,376        105      X      X  28-4580       105

NACCO INDS INC               CL A           629579103      2,228,914     19,475      X      X  28-5284     19475

NAM TAI ELECTRS INC          COM PAR $0.02  629865205         25,430      1,000      X      X  28-5284      1000
               COLUMN TOTAL                                4,875,590








                                                                                                                  FILE NO. 28-1235
PAGE 126 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
NANOGEN INC                  COM            630075109          2,408        750      X         28-5284       750

NANOPHASE TCHNOLOGIES CORP   COM            630079101            116         20      X         28-5284        20

NAPSTER INC                  COM            630797108          7,236      1,809      X         28-1500      1809

NARA BANCORP INC             COM            63080P105          7,475        500      X      X  28-4580       500

NASDAQ 100 TR                UNIT SER 1     631100104      5,906,097    149,673      X         28-5284    149043               630
                                                          13,238,475    335,491      X      X  28-5284    334711               780
                                                              19,730        500      X      X  28-1500       500
                                                             135,585      3,436      X      X  28-4580      3436

NASDAQ STOCK MARKET INC      COM            631103108        126,750      5,000      X         28-1500      5000

NATIONAL AUSTRALIA BK LTD    CAP UTS EXCHBL 632525309         65,600      1,600      X         28-5284      1600
                                                              82,000      2,000      X      X  28-5284      2000

NATIONAL AUSTRALIA BK LTD    SPONSORED ADR  632525408         12,565        100      X      X  28-5284                         100
                                                              19,099        152      X      X  28-4580       152

NATIONAL BANKSHARES INC VA   COM            634865109      6,082,944    130,200      X         28-1500    130200

NATIONAL CITY CORP           COM            635405103     62,909,435  1,881,263      X         28-5284   1655613            225650
                                                          18,273,723    546,463      X      X  28-5284    498649     20333   27481
                                                          11,750,381    351,387      X         28-1500    346525      4862
                                                             306,444      9,164      X         28-4580      9164
                                                             222,911      6,666      X      X  28-4580      6666

NATIONAL HEALTH REALTY INC   COM            635905102          9,705        500      X      X  28-5284       500

NATIONAL FUEL GAS CO N J     COM            636180101        481,810     14,088      X         28-5284     14088
                                                             241,691      7,067      X      X  28-5284      5685              1382

NATIONAL GRID TRANSCO PLC    SPON ADR NEW   636274300            751         16      X      X  28-5284        16
                                                               7,559        161      X      X  28-4580       161

NATIONAL HEALTH INVS INC     COM            63633D104          8,283        300      X      X  28-1500       300

NATIONAL INSTRS CORP         COM            636518102        202,048      8,200      X         28-5284                        8200
                                                             514,976     20,900      X      X  28-5284                       20900

NATIONAL MED HEALTH CARD SYS COM NEW        636918302        414,600     15,000      X      X  28-5284     15000
               COLUMN TOTAL                              121,050,397







                                                                                                                  FILE NO. 28-1235
PAGE 127 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
NATIONAL OILWELL VARCO INC   COM            637071101        163,579      2,486      X         28-5284      1295              1191

NATIONAL PENN BANCSHARES INC COM            637138108         53,190      2,137      X         28-5284      2137
                                                              31,113      1,250      X      X  28-5284      1250

NATIONAL R V HLDGS INC       COM            637277104         15,750      3,000      X      X  28-5284                        3000

NATIONAL SEMICONDUCTOR CORP  COM            637640103         98,355      3,754      X         28-5284      3754
                                                             227,940      8,700      X      X  28-5284      1000              7700
                                                             225,320      8,600      X         28-11439     8600

NATIONAL WESTMINSTER BK PLC  ADR REP PREF B 638539700         31,032      1,200      X         28-5284      1200

NATIONWIDE FINL SVCS INC     CL A           638612101         78,178      1,952      X         28-5284      1914                38
                                                             261,607      6,532      X      X  28-5284      6069               463
                                                              19,424        485      X      X  28-1500       485
                                                               6,248        156      X         28-4580       156

NATIONWIDE HEALTH PPTYS INC  COM            638620104        504,818     21,666      X         28-5284     21666
                                                             109,510      4,700      X      X  28-5284      4700

NATURAL RESOURCE PARTNERS L  COM UNIT L P   63900P103         18,714        300      X         28-5284       300
                                                              93,570      1,500      X      X  28-5284      1500

NATUS MEDICAL INC DEL        COM            639050103          6,085        500      X      X  28-5284       500

NAUTILUS INC                 COM            63910B102          7,658        347      X         28-5284       347

NAVISTAR INTL CORP NEW       COM            63934E108      2,850,597     87,900      X         28-11439    87900

NAVTEQ CORP                  COM            63936L100         24,975        500      X         28-5284       500

NEENAH PAPER INC             COM            640079109         56,549      1,930      X         28-5284      1688               242
                                                             101,290      3,457      X      X  28-5284      3241               216
                                                               1,260         43      X         28-1500                  43
                                                               2,784         95      X      X  28-4580        95

NEIMAN MARCUS GROUP INC      CL A           640204202         13,993        140      X      X  28-1500       140

NEIMAN MARCUS GROUP INC      CL B           640204301        150,344      1,506      X      X  28-5284      1506

NEOGEN CORP                  COM            640491106         11,250        625      X      X  28-5284       625
                                                              23,652      1,314      X         28-1500       544       770
               COLUMN TOTAL                                5,188,785







                                                                                                                  FILE NO. 28-1235
PAGE 128 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
NEOSE TECHNOLOGIES INC       COM            640522108         11,750      5,000      X      X  28-5284      5000

NEOWARE SYS INC              COM            64065P102         11,718        700      X         28-5284       700

NETBANK INC                  COM            640933107          1,122        135      X         28-1500       135

NETFLIX COM INC              COM            64110L106          7,121        274      X         28-5284       274
                                                              25,990      1,000      X      X  28-5284      1000

NETEASE COM INC              SPONSORED ADR  64110W102         13,502        150      X      X  28-5284       150

NETWORK APPLIANCE INC        COM            64120L104         80,479      3,390      X         28-5284      3390
                                                             270,873     11,410      X      X  28-5284      8110              3300
                                                              12,606        531      X         28-1500       531
                                                             213,660      9,000      X         28-11439     9000
                                                               4,036        170      X      X  28-4580       170

NEUBERGER BERMAN RLTY INC FD COM            64126G109         10,074        535      X         28-5284       535

NEUSTAR INC                  CL A           64126X201        431,865     13,500      X         28-5284                       13500
                                                             147,154      4,600      X      X  28-5284                        4600

NEW AMER HIGH INCOME FD INC  COM            641876107          4,405      2,030      X         28-5284      2030

NEUBERGER BERMAN RE ES SEC F COM            64190A103        192,270     13,000      X         28-5284     13000

NEW CENTURY FINANCIAL CORP M COM            6435EV108         54,405      1,500      X         28-5284      1500
                                                              83,421      2,300      X      X  28-5284      2300

NEW JERSEY RES               COM            646025106        187,093      4,069      X         28-5284      4069
                                                             374,001      8,134      X      X  28-5284      4275      2000    1859

NEW PLAN EXCEL RLTY TR INC   COM            648053106        199,390      8,688      X         28-5284      8688
                                                             557,685     24,300      X      X  28-5284     24100               200

NEW YORK CMNTY BANCORP INC   COM            649445103      4,869,636    296,929      X         28-5284    292592              4337
                                                           3,964,733    241,752      X      X  28-5284    224752      8000    9000
                                                             124,640      7,600      X      X  28-1500      7600
                                                               5,461        333      X         28-4580       333

NEW YORK MTG TR INC          COM            649604105          7,470      1,000      X      X  28-5284      1000
               COLUMN TOTAL                               11,866,560







                                                                                                                  FILE NO. 28-1235
PAGE 129 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
NEW YORK TIMES CO            CL A           650111107        464,844     15,625      X         28-5284     13425              2200
                                                             370,298     12,447      X      X  28-5284      4575      1372    6500

NEWELL RUBBERMAID INC        COM            651229106      7,069,541    312,121      X         28-5284    307105              5016
                                                           8,147,092    359,695      X      X  28-5284    172657            187038
                                                              11,325        500      X         28-1500                 500
                                                               9,060        400      X         28-4580       400

NEWFIELD EXPL CO             COM            651290108         49,100      1,000      X         28-5284      1000
                                                             469,396      9,560      X      X  28-5284        24      6000    3536

NEWMONT MINING CORP          COM            651639106      1,613,025     34,196      X         28-5284     34196
                                                           3,571,146     75,708      X      X  28-5284     72743              2965
                                                             192,642      4,084      X      X  28-4580      3977               107

NEWPORT CORP                 COM            651824104         13,038        936      X         28-5284       936

NEWS CORP                    CL A           65248E104         46,988      3,014      X         28-5284      2958                56
                                                             494,640     31,728      X      X  28-5284     23828       200    7700
                                                               3,898        250      X      X  28-1500       250
                                                                  31          2      X         28-4580         2
                                                                 748         48      X      X  28-4580        48

NEWS CORP                    CL B           65248E203         46,200      2,800      X         28-5284      2400               400
                                                             247,500     15,000      X      X  28-5284     15000

NEXEN INC                    COM            65334H102             95          2      X         28-5284         2

NFJ DIVID INT & PREM STRTGY  COM SHS        65337H109         13,737        613      X         28-5284       613

NICHOLAS-APPLEGATE CV & INC  COM            65370F101         31,020      1,967      X         28-5284      1967

NICHOLAS APPLEGATE CV&INC FD COM            65370G109          5,005        335      X         28-5284       335

NICOR INC                    COM            654086107        104,781      2,493      X         28-5284      2493
                                                              79,857      1,900      X      X  28-5284      1900

NIDEC CORP                   SPONSORED ADR  654090109         15,250        500      X      X  28-5284       500

NIKE INC                     CL B           654106103     11,451,373    140,198      X         28-5284    103288             36910
                                                             408,400      5,000      X      X  28-5284      5000
                                                             221,843      2,716      X         28-1500      2716
                                                             194,807      2,385      X      X  28-1500      2385
               COLUMN TOTAL                               35,346,680







                                                                                                                  FILE NO. 28-1235
PAGE 130 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
99 CENTS ONLY STORES         COM            65440K106          4,477        484      X         28-5284       484

NIPPON TELEG & TEL CORP      SPONSORED ADR  654624105         32,589      1,313      X         28-5284      1313
                                                              13,552        546      X      X  28-4580       546

NISOURCE INC                 COM            65473P105        304,871     12,572      X         28-5284     12572
                                                             462,593     19,076      X      X  28-5284     19076
                                                               4,268        176      X      X  28-4580       176

NISSAN MOTORS                SPONSORED ADR  654744408         32,172      1,400      X         28-5284      1400

NOKIA CORP                   SPONSORED ADR  654902204     28,709,764  1,697,798      X         28-5284   1658288             39510
                                                          11,989,663    709,028      X      X  28-5284    640765     11690   56573
                                                              50,054      2,960      X         28-1500      2960
                                                             281,129     16,625      X      X  28-1500     16625
                                                             165,853      9,808      X         28-4580      9808
                                                             250,572     14,818      X      X  28-4580     14818

NOBLE ENERGY INC             COM            655044105      2,029,738     43,278      X         28-5284      4278             39000
                                                              86,296      1,840      X      X  28-5284      1840

NOMURA HLDGS INC             SPONSORED ADR  65535H208         19,814      1,275      X         28-5284      1275

NORAM ENERGY CORP            SDCV  6.000% 3 655419AC3      2,069,813     20,750      X      X  28-5284     20750

NORDSTROM INC                COM            655664100     24,601,228    716,819      X         28-5284    703069             13750
                                                          13,009,374    379,061      X      X  28-5284    360826      9140    9095
                                                             737,056     21,476      X         28-4580     20962               514
                                                             153,925      4,485      X      X  28-4580      4485

NORFOLK SOUTHERN CORP        COM            655844108     16,221,404    399,936      X         28-5284    397378              2558
                                                          22,246,268    548,478      X      X  28-5284    319749     20260  208469
                                                              25,350        625      X      X  28-1500       625
                                                              43,805      1,080      X         28-4580      1080
                                                              77,064      1,900      X      X  28-4580      1900

NORSK HYDRO A S              SPONSORED ADR  656531605        100,125        900      X      X  28-5284       700               200

NORTEL NETWORKS CORP NEW     COM            656568102        117,415     36,017      X         28-5284     36017
                                                             206,570     63,365      X      X  28-5284     62365              1000
                                                               6,520      2,000      X         28-4580      2000
                                                               1,630        500      X      X  28-4580       500
               COLUMN TOTAL                              124,054,952







                                                                                                                  FILE NO. 28-1235
PAGE 131 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
NORTH AMERN PALLADIUM LTD    COM            656912102             10          2      X         28-5284         2

NORTH EUROPEAN OIL RTY TR    SH BEN INT     659310106      2,317,896     75,600      X         28-5284     75600
                                                             211,554      6,900      X      X  28-5284      1700              5200

NORTH FORK BANCORPORATION NY COM            659424105      7,344,128    288,005      X         28-5284    288005
                                                             554,804     21,757      X      X  28-5284     14475      7282
                                                           1,670,250     65,500      X         28-1500     65500

NORTH PITTSBURGH SYS INC     COM            661562108         59,597      2,920      X      X  28-5284      2920

NORTHEAST UTILS              COM            664397106          3,990        200      X         28-5284       200
                                                               4,988        250      X      X  28-5284       250

NORTHERN BORDER PARTNERS L P UNIT LTD PARTN 664785102         43,065        900      X         28-5284       900
                                                             101,681      2,125      X      X  28-5284      2125

NORTHERN TR CORP             COM            665859104      1,130,652     22,367      X         28-5284     22367
                                                           1,798,316     35,575      X      X  28-5284     35575
                                                               3,336         66      X      X  28-1500        66

NORTHFIELD LABS INC          COM            666135108          3,870        300      X         28-1500       300

NORTHRIM BANCORP INC         COM            666762109      7,562,531    302,018      X         28-1500    302018

NORTHROP GRUMMAN CORP        COM            666807102      2,488,904     45,794      X         28-5284     45794
                                                           4,271,801     78,598      X      X  28-5284     78598
                                                              17,392        320      X      X  28-1500       320
                                                              16,305        300      X         28-4580       300
                                                              86,417      1,590      X      X  28-4580      1590

NORTHWEST BANCORP INC PA     COM            667328108         52,063      2,450      X         28-5284      2450
                                                               4,420        208      X      X  28-5284       208

NORTHWEST NAT GAS CO         COM            667655104         76,971      2,068      X         28-5284      2068
                                                             193,544      5,200      X      X  28-5284      5200

NORTHWESTERN CORP            COM NEW        668074305          2,868         95      X         28-5284        95
                                                               9,057        300      X      X  28-5284       300

NORWOOD FINANCIAL CORP       COM            669549107        139,877      4,540      X         28-5284      4540
                                                               7,703        250      X      X  28-5284       250
               COLUMN TOTAL                               30,177,990







                                                                                                                  FILE NO. 28-1235
PAGE 132 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
NOVA CHEMICALS CORP          COM            66977W109          7,360        200      X         28-5284       200

NOVARTIS A G                 SPONSORED ADR  66987V109        324,768      6,368      X         28-5284      5368              1000
                                                             782,850     15,350      X      X  28-5284     11625              3725
                                                              32,436        636      X      X  28-1500       636

NOVASTAR FINL INC            COM            669947400        204,538      6,200      X      X  28-1500      6200

NOVELIS INC                  COM            67000X106         31,688      1,478      X         28-5284      1478
                                                               2,144        100      X      X  28-5284       100

NOVELL INC                   COM            670006105         36,729      4,930      X         28-5284      4930
                                                             182,525     24,500      X      X  28-5284     24500

NOVELLUS SYS INC             COM            670008101         41,758      1,665      X         28-5284      1665

NOVO-NORDISK A S             ADR            670100205        406,556      8,200      X         28-5284      8200
                                                             458,863      9,255      X      X  28-5284      9255

NSTAR                        COM            67019E107         27,185        940      X         28-5284       940
                                                              27,300        944      X      X  28-5284       944

NUCOR CORP                   COM            670346105      1,436,465     24,351      X         28-5284     24351
                                                             823,382     13,958      X      X  28-5284     13158       660     140

NUVEEN PREM INCOME MUN FD 4  COM            6706K4105         20,659      1,614      X         28-5284      1614
                                                               9,562        747      X      X  28-5284       747

NUVEEN CONN PREM INCOME MUN  SH BEN INT     67060D107         16,590      1,000      X         28-5284      1000

NUVEEN PA PREM INCOME MUN FD COM            67061F101         94,981      6,409      X         28-5284      6409
                                                             242,544     16,366      X      X  28-5284     16366
                                                             873,580     58,946      X         28-4580     58946

NUVEEN MD PREM INCOME MUN FD COM            67061Q107         46,212      3,000      X      X  28-5284      3000

NUVEEN SELECT MAT MUN FD     SH BEN INT     67061T101         23,690      2,300      X      X  28-5284      2300

NUVEEN ARIZ PREM INCOME MUN  COM            67061W104         84,839      5,545      X      X  28-5284      5545

NUVEEN INVT QUALITY MUN FD I COM            67062E103        115,877      7,777      X      X  28-5284      7777

NUVEEN SELECT TAX FREE INCM  SH BEN INT     67062F100          1,455        100      X         28-5284       100
               COLUMN TOTAL                                6,356,536







                                                                                                                  FILE NO. 28-1235
PAGE 133 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                 
NUVEEN MUN ADVANTAGE FD INC  COM            67062H106         58,671      3,704      X         28-5284      3704
                                                             131,472      8,300      X      X  28-5284      8300

NUVEEN MUN INCOME FD INC     COM            67062J102         84,400      8,000      X         28-5284      8000
                                                             131,559     12,470      X      X  28-5284     12470

NUVEEN INSD QUALITY MUN FD I COM            67062N103         12,464        800      X         28-4580       800

NUVEEN PERFORMANCE PLUS MUN  COM            67062P108        161,257     10,729      X         28-5284     10729

NUVEEN PREM INCOME MUN FD    COM            67062T100         32,200      2,300      X         28-5284      2300

NUVEEN MUN MKT OPPORTUNITY F COM            67062W103        200,209     13,798      X         28-5284     13798

NUVEEN SELECT TAX FREE INCM  SH BEN INT     67063C106        111,192      8,200      X      X  28-5284      8200

NUVEEN PREM INCOME MUN FD 2  COM            67063W102         48,414      3,332      X      X  28-5284      3332

NVIDIA CORP                  COM            67066G104         19,711        575      X         28-5284       575
                                                              10,284        300      X      X  28-5284       300
                                                              55,636      1,623      X         28-1500      1623
                                                               6,376        186      X      X  28-4580       186

NUVEEN DIVID ADVANTAGE MUN F COM            67066V101          1,528        100      X         28-5284       100
                                                              30,560      2,000      X      X  28-5284      2000

NUVEEN SR INCOME FD          COM            67067Y104         30,673      3,700      X         28-5284      3700

NUVEEN MUN HIGH INC OPP FD   COM            670682103        105,600      6,600      X      X  28-5284      6600

NUVEEN MASS DIVID ADVANTAG M COM SH BEN INT 67069P101         37,450      2,140      X      X  28-5284      2140

NUVEEN PA DIV ADVANTAGE MUN  COM            67070E103         20,436      1,310      X         28-5284      1310

NUVEEN DIV ADVANTAGE MUN FD  COM            67070F100         18,558      1,142      X      X  28-5284      1142

NUVEEN VA DIV ADV MUNI FD 2  COM            67071C106         51,600      3,000      X         28-5284      3000

NUVEEN INSD DIVID ADVANTAGE  COM            67071L106         50,755      3,510      X         28-5284      3510

NUVEEN QUALITY PFD INCOME FD COM            67071S101        221,837     16,986      X         28-5284     16986
                                                              70,563      5,403      X      X  28-5284      5403
               COLUMN TOTAL                                1,703,405







                                                                                                                  FILE NO. 28-1235
PAGE 134 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                 
NUVEEN NEW JERSEY DIVID      COM            67071T109         51,480      3,300      X      X  28-5284      3300

NUVEEN PA DIVID ADVANTAGE MU COM            67071W102        114,600      7,500      X      X  28-5284      7500

NYFIX INC                    COM            670712108         28,850      5,000      X         28-5284      5000
                                                              55,605      9,637      X         28-1500      9637

NUVEEN MD DIV ADV MUN FD 3   COM            67072A109         14,660      1,000      X      X  28-5284      1000

NUVEEN GA DIV ADV MUN FD 2   COM            67072B107        103,652      7,457      X      X  28-5284      7457

NUVEEN QUALITY PFD INCOME FD COM            67072C105        255,334     18,747      X         28-5284     18447               300
                                                              63,524      4,664      X      X  28-5284      4664
                                                              11,237        825      X         28-4580       825

NUVEEN PFD & CONV INC FD     COM            67073B106         24,553      1,944      X         28-5284      1944
                                                              58,932      4,666      X      X  28-5284      4666

NUVEEN PFD & CONV INCOME FD  COM SHS        67073D102         23,713      1,891      X      X  28-5284      1891

OCA INC                      COM            67083Q101          1,800      1,200      X         28-5284      1200

OGE ENERGY CORP              COM            670837103         94,191      3,352      X         28-5284      3352
                                                             134,178      4,775      X      X  28-5284      4375               400

OM GROUP INC                 COM            670872100         13,688        680      X         28-5284       680

NUVEEN INVTS INC             CL A           67090F106        116,201      2,950      X      X  28-5284      2950

NUVEEN TX ADV TOTAL RET STRG COM            67090H102          8,076        400      X      X  28-5284       400

NUVEEN MUN VALUE FD INC      COM            670928100      2,904,741    296,100      X         28-5284    296100
                                                             371,946     37,915      X      X  28-5284     37915
                                                               6,377        650      X         28-4580       650

NUVEEN FLA INVT QUALITY MUN  COM            670970102         57,498      3,700      X         28-5284      3700

NUVEEN NJ INVT QUALITY MUN F COM            670971100         70,120      4,583      X         28-5284      4583
                                                             170,993     11,176      X      X  28-5284     11176

NUVEEN PA INVT QUALITY MUN F COM            670972108        289,124     20,092      X         28-5284     20092
                                                             753,763     52,381      X      X  28-5284     52381
               COLUMN TOTAL                                5,798,836







                                                                                                                  FILE NO. 28-1235
PAGE 135 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
NUVEEN SELECT QUALITY MUN FD COM            670973106        108,895      7,136      X         28-5284      7136
                                                             163,282     10,700      X      X  28-5284     10700

NUVEEN CA SELECT QUALITY MUN COM            670975101         91,560      6,000      X      X  28-5284                        6000

NUVEEN NY SELECT QUALITY MUN COM            670976109         60,110      4,078      X      X  28-5284      4078

NUVEEN QUALITY INCOME MUN FD COM            670977107        278,099     19,166      X         28-5284     19166
                                                              34,418      2,372      X      X  28-5284      2372

NUVEEN FLA QUALITY INCOME MU COM            670978105         93,632      6,400      X         28-5284      6400
                                                              15,420      1,054      X      X  28-5284      1054

NUVEEN OHIO QUALITY INCOME M COM            670980101         22,599      1,350      X         28-5284      1350
                                                              18,230      1,089      X      X  28-5284      1089

NUVEEN INSD MUN OPPORTUNITY  COM            670984103         37,400      2,500      X         28-5284      2500

NUVEEN CALIF QUALITY INCM MU COM            670985100         92,400      6,000      X      X  28-5284                        6000

NUVEEN PREMIER MUN INCOME FD COM            670988104         88,354      6,302      X         28-5284      6302

NUVEEN NJ PREM INCOME MUN FD COM            67101N106        268,686     17,700      X         28-5284     17700
                                                              75,065      4,945      X      X  28-5284      4945

NUVEEN INSD FLA PREM INCOME  COM            67101V108         67,403      4,374      X         28-5284      4374

OSI PHARMACEUTICALS INC      COM            671040103          1,813         62      X         28-5284        62

OYO GEOSPACE CORP            COM            671074102         43,582      2,200      X      X  28-5284      2200

OAK HILL FINL INC            COM            671337103         54,036      1,800      X         28-5284      1800

OCCIDENTAL PETE CORP DEL     COM            674599105        795,866      9,316      X         28-5284      9016               300
                                                           1,587,119     18,578      X      X  28-5284      6578             12000
                                                              89,616      1,049      X      X  28-1500      1049
                                                           1,977,705     23,150      X         28-11439    23150
                                                               2,990         35      X      X  28-4580        35

OCEANEERING INTL INC         COM            675232102         13,085        245      X         28-5284       245
                                                              21,364        400      X      X  28-5284       400
               COLUMN TOTAL                                6,102,729







                                                                                                                  FILE NO. 28-1235
PAGE 136 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
OCEANFIRST FINL CORP         COM            675234108         41,014      1,699      X         28-5284       400              1299
                                                              72,420      3,000      X      X  28-5284                        3000

ODYSSEY HEALTHCARE INC       COM            67611V101        141,700      8,350      X         28-5284      4275              4075

ODYSSEY RE HLDGS CORP        COM            67612W108         34,607      1,355      X         28-5284      1355

OFFICE DEPOT INC             COM            676220106         27,562        928      X         28-5284       928
                                                               8,554        288      X      X  28-1500       288

OFFSHORE LOGISTICS INC       COM            676255102          7,400        200      X      X  28-5284       200

OHIO CAS CORP                COM            677240103        116,616      4,300      X         28-5284      4300
                                                              29,018      1,070      X      X  28-5284       570               500
                                                             703,764     25,950      X      X  28-1500     25950

OHIO VY BANC CORP            COM            677719106        411,831     16,375      X         28-1500     16375

OIL SVC HOLDRS TR            DEPOSTRY RCPT  678002106        124,000      1,000      X      X  28-5284      1000
                                                              17,236        139      X      X  28-4580        30               109

OIL STS INTL INC             COM            678026105         33,405        920      X         28-5284       920
                                                             537,388     14,800      X      X  28-5284     14800

OLD DOMINION FGHT LINES INC  COM            679580100          6,028        180      X         28-5284       180
                                                              12,559        375      X      X  28-1500       375

OLD NATL BANCORP IND         COM            680033107        314,756     14,833      X         28-5284     12833              2000

OLD POINT FINL CORP          COM            680194107        722,376     23,393      X         28-1500     23393

OLD REP INTL CORP            COM            680223104      6,036,835    226,353      X         28-5284    226098               255
                                                           4,999,398    187,454      X      X  28-5284    185554              1900
                                                               6,668        250      X         28-4580       250
                                                              31,204      1,170      X      X  28-4580      1170

OLIN CORP                    COM PAR $1     680665205         73,036      3,846      X         28-5284      3846
                                                             233,615     12,302      X      X  28-5284     12302
                                                              18,990      1,000      X      X  28-1500      1000
               COLUMN TOTAL                               14,761,980







                                                                                                                  FILE NO. 28-1235
PAGE 137 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
OMNICARE INC                 COM            681904108      1,821,009     32,385      X         28-5284     32185               200
                                                              77,316      1,375      X      X  28-5284      1175               200
                                                              22,492        400      X      X  28-1500       400
                                                              28,115        500      X      X  28-4580       500

OMNICOM GROUP INC            COM            681919106     55,370,838    662,093      X         28-5284    587818             74275
                                                          21,210,993    253,629      X      X  28-5284    249459      1730    2440
                                                             685,766      8,200      X         28-1500      5519      2681
                                                              25,089        300      X         28-4580       300
                                                              88,146      1,054      X      X  28-4580      1054

OMEGA HEALTHCARE INVS INC    COM            681936100          1,810        130      X         28-5284       130

OMEGA FINL CORP              COM            682092101         39,606      1,413      X      X  28-5284                        1413

OMEGA FLEX INC               COM            682095104        191,880     12,000      X         28-5284     12000

OMNIVISION TECHNOLOGIES INC  COM            682128103          6,310        500      X         28-5284       500
                                                              10,096        800      X      X  28-5284       800

OMNICELL INC                 COM            68213N109         19,460      2,000      X      X  28-5284      2000

ONEOK INC NEW                COM            682680103          5,443        160      X      X  28-5284       160
                                                               1,871         55      X      X  28-4580        55

ONSTREAM MEDIA CORP          COM            682875109         17,236     15,389      X         28-5284     15389

ON2 TECHNOLOGIES INC         COM            68338A107            850      1,000      X      X  28-5284      1000

ONVIA INC                    COM NEW        68338T403        103,143     19,989      X         28-1500     19989

ONYX PHARMACEUTICALS INC     COM            683399109         19,976        800      X         28-5284       800
                                                               7,491        300      X      X  28-5284       300

OPEN JT STK CO-VIMPEL COMMUN SPONSORED ADR  68370R109         79,992      1,800      X      X  28-5284      1800
                                                               4,444        100      X      X  28-1500       100

OPSWARE INC                  COM            68383A101         26,396      5,086      X         28-1500      5086
               COLUMN TOTAL                               79,865,768







                                                                                                                  FILE NO. 28-1235
PAGE 138 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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     33,334,722  2,688,284      X         28-5284   2630450             57834
                                                          14,429,024  1,163,631      X      X  28-5284   1100700     27742   35189
                                                             153,661     12,392      X         28-1500               12392
                                                             409,200     33,000      X         28-11439    33000
                                                             668,720     53,929      X         28-4580     52992               937
                                                             408,853     32,972      X      X  28-4580     32972

OPTION CARE INC              COM            683948103          4,290        293      X         28-5284       293

ORASURE TECHNOLOGIES INC     COM            68554V108          9,450      1,000      X         28-5284      1000
                                                               9,450      1,000      X      X  28-5284      1000
                                                                 416         44      X         28-1500        44

ORBITAL SCIENCES CORP        COM            685564106          3,750        300      X         28-5284       300

OREGON STL MLS INC           COM            686079104         30,690      1,100      X         28-5284      1100
                                                               5,580        200      X      X  28-5284       200

O REILLY AUTOMOTIVE INC      COM            686091109          2,818        100      X      X  28-5284       100
                                                               5,636        200      X      X  28-1500       200

ORIENTAL FINL GROUP INC      COM            68618W100          1,102         90      X      X  28-5284        90
                                                           4,072,860    332,750      X         28-1500    332750
                                                                 490         40      X      X  28-4580        40

ORTHOLOGIC CORP              COM            68750J107             80         21      X         28-5284        21
                                                              45,960     12,000      X         28-1500     12000

OSCIENT PHARMACEUTICALS CORP COM            68812R105          2,162      1,020      X         28-5284      1020

OSHKOSH TRUCK CORP           COM            688239201        206,736      4,790      X         28-5284      4790
                                                             504,972     11,700      X      X  28-5284     11200               500

OUTBACK STEAKHOUSE INC       COM            689899102          2,635         72      X      X  28-1500        72

OVERSEAS SHIPHOLDING GROUP I COM            690368105         44,797        768      X         28-5284       768
                                                             845,785     14,500      X      X  28-5284     14500

OVERSTOCK COM INC DEL        COM            690370101          8,245        215      X         28-5284       215
                                                               3,835        100      X      X  28-5284       100

OWENS & MINOR INC NEW        COM            690732102         29,350      1,000      X      X  28-5284                        1000
               COLUMN TOTAL                               55,245,269







                                                                                                                  FILE NO. 28-1235
PAGE 139 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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         35,054      1,700      X         28-5284      1700

OXFORD INDS INC              COM            691497309          2,256         50      X         28-5284        50

PAB BANKSHARES INC           COM            69313P101      6,902,742    442,200      X         28-1500    442200

PG&E CORP                    COM            69331C108         65,744      1,675      X         28-5284      1675
                                                             106,368      2,710      X      X  28-5284      2710
                                                           3,100,750     79,000      X         28-11439    79000

PHH CORP                     COM NEW        693320202         10,874        396      X         28-5284       396
                                                              75,680      2,756      X      X  28-5284      2596               160
                                                               2,416         88      X      X  28-1500        88
                                                                 687         25      X         28-4580        25

P F CHANGS CHINA BISTRO INC  COM            69333Y108         26,898        600      X         28-5284       500               100
                                                              22,415        500      X      X  28-5284       500

PICO HLDGS INC               COM NEW        693366205             35          1      X         28-5284         1

PMA CAP CORP                 CL A           693419202        421,440     48,000      X         28-5284                       48000

PMC-SIERRA INC               COM            69344F106          3,409        387      X         28-5284       387
                                                               6,255        710      X      X  28-1500       710

PMI GROUP INC                COM            69344M101          3,987        100      X      X  28-5284       100
                                                               4,625        116      X      X  28-1500       116

PNC FINL SVCS GROUP INC      COM            693475105    100,786,658  1,737,102      X         28-5284   1709936             27166
                                                         144,042,425  2,482,634      X      X  28-5284   1608667     45100  828867
                                                             987,500     17,020      X         28-1500               17020
                                                           2,299,449     39,632      X         28-4580     38732               900
                                                           3,291,185     56,725      X      X  28-4580     55025              1700

PNC FINL SVCS GROUP INC      PFD A CV $1.80 693475204              0         27      X      X  28-5284        27

PNC FINL SVCS GROUP INC      PFD CV D $1.80 693475501         59,748        624      X         28-5284       624
                                                               2,394         25      X      X  28-5284        25

POSCO                        SPONSORED ADR  693483109          9,106        161      X         28-5284       161
                                                              56,560      1,000      X      X  28-5284      1000
                                                              10,973        194      X      X  28-4580       194
               COLUMN TOTAL                              262,337,633







                                                                                                                  FILE NO. 28-1235
PAGE 140 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
PNM RES INC                  COM            69349H107          1,864         65      X      X  28-5284        65
                                                               1,921         67      X      X  28-4580        67

PPG INDS INC                 COM            693506107     61,369,080  1,036,815      X         28-5284   1010909             25906
                                                          41,738,953    705,169      X      X  28-5284    673957      6370   24842
                                                           1,070,333     18,083      X         28-4580     17983               100
                                                           1,278,978     21,608      X      X  28-4580     21442               166

PPL CORP                     COM            69351T106     14,798,896    457,745      X         28-5284    452417              5328
                                                          19,933,708    616,570      X      X  28-5284    601418             15152
                                                              92,690      2,867      X         28-4580      2867
                                                              32,330      1,000      X      X  28-4580      1000

PS BUSINESS PKS INC CALIF    COM            69360J107          2,748         60      X         28-5284        60

PSS WORLD MED INC            COM            69366A100            507         38      X         28-5284        38

PACCAR INC                   COM            693718108          5,431         80      X         28-5284        80
                                                              88,257      1,300      X      X  28-5284      1300
                                                              13,578        200      X      X  28-1500       200

PACER INTL INC TENN          COM            69373H106          2,109         80      X         28-5284        80

PACIFIC CAP BANCORP NEW      COM            69404P101         49,935      1,500      X      X  28-5284                        1500

PACIFIC ENERGY PARTNERS L P  COM UNIT       69422R105         63,700      2,000      X      X  28-5284                2000

PACIFIC MERCANTILE BANCORP   COM            694552100        734,400     40,800      X         28-1500     40800

PACIFIC PREMIER BANCORP      COM            69478X105        921,196     71,300      X         28-1500     71300

PACIFIC SUNWEAR CALIF INC    COM            694873100         10,934        510      X         28-5284       510

PACIFICARE HEALTH SYS DEL    COM            695112102         15,956        200      X      X  28-1500       200
                                                               3,590         45      X      X  28-4580        45

PACKAGING CORP AMER          COM            695156109          2,465        127      X         28-5284       127

PACTIV CORP                  COM            695257105         48,250      2,754      X         28-5284      2754
                                                              18,501      1,056      X      X  28-5284      1056

PALL CORP                    COM            696429307        168,685      6,134      X         28-5284      6134
                                                              16,500        600      X      X  28-5284       600
               COLUMN TOTAL                              142,485,495







                                                                                                                  FILE NO. 28-1235
PAGE 141 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
PALM INC NEW                 COM            696643105            425         15      X         28-5284        15
                                                                 567         20      X      X  28-5284        20

PALMSOURCE INC               COM            697154102             72          4      X         28-5284         4
                                                                  90          5      X      X  28-5284         5

PALOMAR MED TECHNOLOGIES INC COM NEW        697529303         32,001      1,220      X         28-5284      1220
                                                             655,750     25,000      X      X  28-5284     25000

PAN AMERICAN SILVER CORP     COM            697900108          8,830        500      X         28-5284       500
                                                              17,660      1,000      X      X  28-5284      1000

PAN PACIFIC RETAIL PPTYS INC COM            69806L104         33,411        507      X         28-5284       507
                                                              19,375        294      X      X  28-5284                 294

PANERA BREAD CO              CL A           69840W108         10,236        200      X         28-5284       200
                                                              15,866        310      X      X  28-5284       310

PANTRY INC                   COM            698657103         33,820        905      X         28-5284       905
                                                             575,498     15,400      X      X  28-5284     15400

PAPA JOHNS INTL INC          COM            698813102         80,192      1,600      X         28-5284      1600
                                                              32,327        645      X      X  28-5284       645
                                                               8,470        169      X         28-1500       169

PARAGON TECHNOLOGIES INC     COM            69912T108          3,784        352      X         28-5284       352

PARAMETRIC TECHNOLOGY CORP   COM            699173100          7,730      1,109      X         28-5284      1109
                                                              16,728      2,400      X      X  28-5284      1200              1200

PARK ELECTROCHEMICAL CORP    COM            700416209          7,995        300      X         28-5284       300

PARK NATL CORP               COM            700658107        627,966      5,800      X         28-5284      5800

PARKE BANCORP INC            COM            700885106        270,598     14,160      X      X  28-5284     14160

PARKER DRILLING CO           COM            701081101         51,912      5,600      X         28-5284      5600
                                                              18,540      2,000      X      X  28-5284      2000

PARKER HANNIFIN CORP         COM            701094104        145,919      2,269      X         28-5284      2269
                                                             282,707      4,396      X      X  28-5284      3500               896
                                                              19,293        300      X      X  28-1500       300
               COLUMN TOTAL                                2,977,762







                                                                                                                  FILE NO. 28-1235
PAGE 142 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
PARKVALE FINL CORP           COM            701492100         27,360      1,000      X      X  28-5284      1000

PARKWAY PPTYS INC            COM            70159Q104        234,600      5,000      X         28-5284                        5000
                                                              18,768        400      X      X  28-5284                         400

PARTNERS TR FINL GROUP INC N COM            70213F102         23,020      2,000      X         28-5284      2000

PATHMARK STORES INC NEW      COM            70322A101          1,128        100      X      X  28-5284       100

PATTERSON COMPANIES INC      COM            703395103         23,858        596      X         28-5284       596
                                                              18,814        470      X      X  28-5284       470
                                                             106,480      2,660      X      X  28-1500      2660

PATTERSON UTI ENERGY INC     COM            703481101         13,350        370      X         28-5284       370
                                                             104,632      2,900      X      X  28-5284       400              2500
                                                              18,040        500      X      X  28-1500       500

PAYCHEX INC                  COM            704326107      8,457,596    228,029      X         28-5284    222997              5032
                                                           3,920,673    105,707      X      X  28-5284    101357       600    3750
                                                              26,705        720      X      X  28-4580       720

PAYLESS SHOESOURCE INC       COM            704379106         46,493      2,672      X         28-5284      2672
                                                              96,048      5,520      X      X  28-5284      5520

PCCW LTD                     SPONS ADR NEW  70454G207          1,088        170      X         28-5284       170

PEABODY ENERGY CORP          COM            704549104      1,355,251     16,067      X         28-5284     15417               650
                                                           1,741,406     20,645      X      X  28-5284     18805       640    1200
                                                              75,915        900      X      X  28-4580       900

PEAPACK-GLADSTONE FINL CORP  COM            704699107        140,218      5,110      X         28-5284      5110
                                                              42,806      1,560      X      X  28-5284      1210               350

PEARSON PLC                  SPONSORED ADR  705015105          7,038        600      X         28-5284       600

PEDIATRIX MED GROUP          COM            705324101          7,682        100      X         28-5284       100

PENGROWTH ENERGY TR          TRUST UNIT A   706902301          5,084        200      X         28-5284       200
                                                             279,620     11,000      X      X  28-5284     11000

PENN NATL GAMING INC         COM            707569109         74,042      2,380      X         28-5284      2380
                                                             914,634     29,400      X      X  28-5284     29400
               COLUMN TOTAL                               17,782,349







                                                                                                                  FILE NO. 28-1235
PAGE 143 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
PENN TREATY AMERN CORP       COM NEW        707874400         22,575      2,500      X         28-5284      2500

PENN VA CORP                 COM            707882106        142,197      2,464      X         28-5284      2464
                                                             236,611      4,100      X      X  28-5284      4100

PENN VA RESOURCES PARTNERS L COM            707884102         37,429        700      X         28-5284       700
                                                              58,817      1,100      X      X  28-5284      1100

PENNEY J C INC               COM            708160106      1,360,243     28,685      X         28-5284     28305               380
                                                             591,896     12,482      X      X  28-5284      7182      4500     800
                                                               7,919        167      X         28-4580       167
                                                             134,246      2,831      X      X  28-4580      2831

PENNS WOODS BANCORP INC      COM            708430103         42,750        950      X      X  28-5284                         950
                                                           4,419,000     98,200      X         28-1500     98200

PENNSYLVANIA COMM BANCORP IN COM            708677109        225,747      6,327      X         28-5284      6327

PENNSYLVANIA RL ESTATE INVT  SH BEN INT     709102107        297,622      7,056      X         28-5284      7056
                                                           3,223,691     76,427      X      X  28-5284     42427             34000

PENTAIR INC                  COM            709631105        151,183      4,142      X         28-5284      4142
                                                             438,000     12,000      X      X  28-5284     12000
                                                              36,500      1,000      X      X  28-1500      1000

PEOPLES BANCORP INC          COM            709789101         46,584      1,686      X         28-5284      1686

PEOPLES BK BRIDGEPORT CONN   COM            710198102        355,353     12,262      X         28-5284     12262

PEOPLES FINL CORP MISS       COM            71103B102        479,250     27,000      X         28-1500     27000

PEOPLES ENERGY CORP          COM            711030106        199,263      5,060      X         28-5284      3560              1500
                                                             119,755      3,041      X      X  28-5284      2641               400

PEPCO HOLDINGS INC           COM            713291102        472,451     20,303      X         28-5284     18533              1770
                                                           1,288,157     55,357      X      X  28-5284     46393      4324    4640
                                                              41,700      1,792      X         28-4580      1792
                                                               4,654        200      X      X  28-4580       200

PEPSI BOTTLING GROUP INC     COM            713409100         14,275        500      X         28-5284       500
                                                             207,130      7,255      X      X  28-5284      2055              5200
               COLUMN TOTAL                               14,654,998







                                                                                                                  FILE NO. 28-1235
PAGE 144 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
PEPSIAMERICAS INC            COM            71343P200         53,347      2,347      X         28-5284      2347
                                                              37,414      1,646      X      X  28-5284      1646

PEPSICO INC                  COM            713448108    163,369,374  2,880,786      X         28-5284   2681515      3252  196019
                                                          87,303,174  1,539,467      X      X  28-5284   1471983     15652   51832
                                                           1,275,294     22,488      X         28-1500     10024     12464
                                                           1,460,793     25,759      X         28-4580     25759
                                                           1,261,798     22,250      X      X  28-4580     21150              1100

PERFICIENT INC               COM            71375U101         43,889      5,307      X         28-1500      5307

PERFORMANCE FOOD GROUP CO    COM            713755106         45,466      1,442      X         28-5284       242              1200

PERINI CORP                  COM            713839108          3,640        200      X         28-5284       200

PERKINELMER INC              COM            714046109         14,952        734      X         28-5284       734
                                                             631,979     31,025      X      X  28-5284     29200              1825
                                                               2,037        100      X      X  28-1500       100

PERMIAN BASIN RTY TR         UNIT BEN INT   714236106         74,338      4,417      X         28-5284      4417
                                                              40,796      2,424      X      X  28-5284      2424

PERRIGO CO                   COM            714290103         93,344      6,523      X         28-1500      6523

PETCO ANIMAL SUPPLIES        COM NEW        716016209          1,968         93      X         28-5284        93

PETMED EXPRESS INC           COM            716382106         20,720      2,000      X         28-5284      2000
                                                               7,770        750      X      X  28-5284       750

PETRO-CDA                    COM            71644E102          9,681        232      X      X  28-4580        46               186

PETROCHINA CO LTD            SPONSORED  ADR 71646E100        125,055      1,500      X         28-5284      1500
                                                             129,224      1,550      X      X  28-5284      1250               300
                                                              34,265        411      X      X  28-4580       322                89

PETROFUND ENERGY TRUST       TR UNIT        71648W108         30,344      1,545      X         28-5284      1545
                                                             122,946      6,260      X      X  28-5284      6260

PETROKAZAKHSTAN INC          COM            71649P102         54,430      1,000      X      X  28-5284      1000
                                                             653,160     12,000      X      X  28-1500     12000

PETROHAWK ENERGY CORP        COM            716495106          5,260        365      X      X  28-5284       365
               COLUMN TOTAL                              256,906,458







                                                                                                                  FILE NO. 28-1235
PAGE 145 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR  71654V408         35,745        500      X         28-5284       500

PETROLEUM & RES CORP         COM            716549100        164,265      4,700      X         28-5284      4700

PETSMART INC                 COM            716768106      2,258,042    103,675      X         28-5284    103300               375
                                                             553,430     25,410      X      X  28-5284     25410

PFIZER INC                   COM            717081103    188,648,899  7,555,022      X         28-5284   7157001            398021
                                                         139,981,021  5,605,968      X      X  28-5284   5372486     57901  175581
                                                           1,710,645     68,508      X         28-1500     13738     54770
                                                           4,151,637    166,265      X         28-11439   166265
                                                           1,832,673     73,395      X         28-4580     73245               150
                                                           4,019,421    160,970      X      X  28-4580    160970

PFSWEB INC                   COM            717098107            785        500      X         28-5284       500

PHARMACEUTICAL HLDRS TR      DEPOSITRY RCPT 71712A206        358,326      5,100      X         28-5284      4800               300
                                                             196,728      2,800      X      X  28-5284      2800

PHARMACEUTICAL PROD DEV INC  COM            717124101         27,892        485      X      X  28-5284       485
                                                               4,601         80      X      X  28-4580        80

PHARMION CORP                COM            71715B409         15,638        717      X         28-5284       717

PHELPS DODGE CORP            COM            717265102      1,574,882     12,121      X         28-5284     11971               150
                                                             894,178      6,882      X      X  28-5284      6882

PHILADELPHIA CONS HLDG CORP  COM            717528103          3,566         42      X         28-5284        42
                                                               3,821         45      X      X  28-5284        45
                                                               2,972         35      X      X  28-4580        35

PHILLIPS VAN HEUSEN CORP     COM            718592108          2,792         90      X      X  28-5284        90
                                                               2,327         75      X      X  28-4580        75

PHOENIX COS INC NEW          COM            71902E109        165,859     13,595      X         28-5284     11910              1685
                                                              41,565      3,407      X      X  28-5284      2748       659

PHOTON DYNAMICS INC          COM            719364101            709         37      X         28-5284        37

PIEDMONT NAT GAS INC         COM            720186105        462,625     18,380      X         28-5284     17520               860
                                                             148,503      5,900      X      X  28-5284      4000              1900
                                                             117,091      4,652      X      X  28-1500      4652
               COLUMN TOTAL                              347,380,638







                                                                                                                  FILE NO. 28-1235
PAGE 146 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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         11,270      1,000      X         28-5284      1000
                                                               6,762        600      X      X  28-5284       600

PIKE ELEC CORP               COM            721283109          9,365        500      X         28-5284       500
                                                              18,730      1,000      X      X  28-5284      1000

PIMCO MUNICIPAL INCOME FD    COM            72200R107         25,190      1,666      X         28-5284      1666

PIMCO CORPORATE INCOME FD    COM            72200U100        171,941     11,300      X         28-5284     11300
                                                              60,864      4,000      X      X  28-5284      4000

PIMCO MUN INCOME FD II       COM            72200W106         73,359      4,776      X         28-5284      4776
                                                              20,475      1,333      X      X  28-5284      1333

PIMCO STRATEGIC GBL GOV FD I COM            72200X104         27,344      2,184      X         28-5284      2184

PIMCO MUN INCOME FD III      COM            72201A103         25,806      1,666      X         28-5284      1666

PIMCO CORPORATE OPP FD       COM            72201B101        240,100     14,000      X         28-5284     14000
                                                             111,475      6,500      X      X  28-5284      6500

PIMCO HIGH INCOME FD         COM SHS        722014107         19,862      1,333      X         28-5284      1333
                                                              44,700      3,000      X      X  28-5284      3000

PINNACLE WEST CAP CORP       COM            723484101         76,743      1,741      X         28-5284      1741
                                                             370,713      8,410      X      X  28-5284      8410
                                                             114,608      2,600      X      X  28-4580      2600

PIONEER MUN HIGH INCOME TR   COM SHS        723763108         14,680      1,000      X      X  28-5284      1000

PIONEER NAT RES CO           COM            723787107        785,356     14,300      X         28-5284     14300
                                                             219,680      4,000      X      X  28-5284      1700              2300

PIONEER TAX ADVNTAGE BALANC  COM            72388R101         18,502      1,450      X      X  28-1500      1450

PIPER JAFFRAY COS            COM            724078100        118,992      3,985      X         28-5284      3970                15
                                                              39,923      1,337      X      X  28-5284      1323                14
                                                                  30          1      X         28-4580         1
               COLUMN TOTAL                                2,626,470







                                                                                                                  FILE NO. 28-1235
PAGE 147 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
PITNEY BOWES INC             COM            724479100     23,267,420    557,437      X         28-5284    545451             11986
                                                          33,445,469    801,281      X      X  28-5284    790002      5682    5597
                                                              53,010      1,270      X      X  28-1500      1270
                                                             671,972     16,099      X         28-4580     16099
                                                             860,721     20,621      X      X  28-4580     18021              2600

PIXELWORKS INC               COM            72581M107         13,839      2,100      X      X  28-5284      2100
                                                              35,474      5,383      X         28-1500      5383

PIXAR                        COM            725811103         37,834        850      X         28-5284       850
                                                             173,589      3,900      X      X  28-5284      3900

PLACER DOME INC              COM            725906101         91,701      5,347      X         28-5284      5347

PLAINS ALL AMERN PIPELINE L  UNIT LTD PARTN 726503105          8,526        200      X         28-5284       200
                                                              12,789        300      X      X  28-5284       300

PLAINS EXPL& PRODTN CO       COM            726505100         15,843        370      X         28-5284       370

PLAYBOY ENTERPRISES INC      CL B           728117300         42,300      3,000      X      X  28-5284      3000

PLEXUS CORP                  COM            729132100        418,705     24,500      X         28-5284     24500

PLUG POWER INC               COM            72919P103          3,400        500      X         28-5284       500
                                                               1,292        190      X      X  28-5284       190

PLUM CREEK TIMBER CO INC     COM            729251108        947,485     24,993      X         28-5284     24993
                                                           2,596,342     68,487      X      X  28-5284     68487
                                                             115,626      3,050      X      X  28-1500      3050
                                                              75,820      2,000      X      X  28-4580      2000

POGO PRODUCING CO            COM            730448107        117,880      2,000      X         28-5284      2000
                                                               8,841        150      X      X  28-5284       150

POLARIS INDS INC             COM            731068102          2,478         50      X         28-5284        50

POLO RALPH LAUREN CORP       CL A           731572103          3,370         67      X      X  28-4580        67

POLYMEDICA CORP              COM            731738100          3,145         90      X         28-5284        90
                                                               3,669        105      X      X  28-5284       105

POMEROY IT SOLUTIONS INC     COM            731822102         56,800      5,000      X         28-1500      5000
               COLUMN TOTAL                               63,085,340







                                                                                                                  FILE NO. 28-1235
PAGE 148 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
POPULAR INC                  COM            733174106        474,712     19,600      X         28-5284     19600
                                                              92,036      3,800      X      X  28-5284      3800

PORTEC RAIL PRODS INC        COM            736212101         20,955      1,500      X      X  28-5284                        1500

PORTFOLIO RECOVERY ASSOCS IN COM            73640Q105          3,368         78      X         28-5284        78

PORTUGAL TELECOM SGPS S A    SPONSORED ADR  737273102          2,503        275      X         28-5284       275

POST PPTYS INC               COM            737464107         53,901      1,447      X         28-5284      1447
                                                             102,438      2,750      X      X  28-5284      2750

POTASH CORP SASK INC         COM            73755L107         47,407        508      X         28-5284       508
                                                              18,664        200      X      X  28-1500       200
                                                               2,800         30      X      X  28-4580        30

POTLATCH CORP                COM            737628107         31,272        600      X         28-5284       600

POWER-ONE INC                COM            739308104          5,540      1,000      X         28-5284      1000

POWERSHARES ETF TRUST        HI YLD EQ DVDN 73935X302          1,508        100      X      X  28-5284       100

PRAECIS PHARMACEUTICALS INC  COM            739421105            376        800      X         28-5284       800

PRAXAIR INC                  COM            74005P104     10,997,059    229,440      X         28-5284    189260             40180
                                                           1,736,744     36,235      X      X  28-5284     11905             24330
                                                              73,381      1,531      X      X  28-1500      1531

PRE PAID LEGAL SVCS INC      COM            740065107         98,685      2,550      X         28-5284      2550
                                                              49,459      1,278      X         28-1500                1278

PRECISION CASTPARTS CORP     COM            740189105        225,250      4,242      X         28-5284      2242              2000
                                                             195,833      3,688      X      X  28-5284      3688

PRECISION DRILLING CORP      COM            74022D100         19,680        400      X      X  28-5284       400

PREFERRED INCOME STRATEGIES  COM            74038E100         43,220      2,000      X      X  28-5284      2000

PRENTISS PPTYS TR            SH BEN INT     740706106          4,060        100      X         28-5284       100

PRESIDENTIAL LIFE CORP       COM            740884101         27,000      1,500      X         28-5284                        1500
               COLUMN TOTAL                               14,327,851







                                                                                                                  FILE NO. 28-1235
PAGE 149 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
PRICE T ROWE GROUP INC       COM            74144T108      1,425,499     21,830      X         28-5284     15330              6500
                                                             178,596      2,735      X      X  28-5284      1885               850
                                                             106,047      1,624      X      X  28-4580      1624

PRIDE INTL INC DEL           COM            74153Q102          5,702        200      X         28-5284       200

PRIMEWEST ENERGY TR          TR UNIT NEW    741930309          6,266        200      X         28-5284       200
                                                             387,082     12,355      X      X  28-5284     12355

PRINCIPAL FINANCIAL GROUP IN COM            74251V102        263,472      5,562      X         28-5284      5562
                                                             589,378     12,442      X      X  28-5284     12442

PROCTER & GAMBLE CO          COM            742718109    606,728,829 10,203,983      X         28-5284   9939072      2849  262062
                                                         256,460,256  4,313,156      X      X  28-5284   4138424     37845  136887
                                                          17,294,536    290,860      X         28-1500      6102    284758
                                                           5,945,346     99,989      X         28-4580     99553               436
                                                           5,952,897    100,116      X      X  28-4580    100046                70

PROGENICS PHARMACEUTICALS IN COM            743187106         74,687      3,150      X         28-5284      3150

PROGRESS ENERGY INC          COM            743263105      1,254,745     28,039      X         28-5284     27075               964
                                                           1,058,919     23,663      X      X  28-5284     22772       364     527
                                                               8,950        200      X      X  28-1500       200

PROGRESS SOFTWARE CORP       COM            743312100         25,416        800      X         28-4580       800

PROGRESSIVE CORP OHIO        COM            743315103      1,736,563     16,575      X         28-5284      7475              9100
                                                             740,724      7,070      X      X  28-5284      1670              5400

PROLOGIS                     SH BEN INT     743410102        273,260      6,167      X         28-5284      6167
                                                             344,466      7,774      X      X  28-5284      4774      3000

PROSPECT STREET INCOME SHS I COM            743590101          3,456        600      X         28-5284       600

PROSPERITY BANCSHARES INC    COM            743606105          5,445        180      X         28-5284       180

PROTECTIVE LIFE CORP         COM            743674103         10,295        250      X         28-5284                         250
                                                             145,489      3,533      X      X  28-5284      3533
                                                               1,235         30      X      X  28-4580        30

PROTEIN DESIGN LABS INC      COM            74369L103         12,320        440      X         28-5284       440

PROVIDENCE SVC CORP          COM            743815102          7,495        245      X         28-5284       245
               COLUMN TOTAL                              901,047,371







                                                                                                                  FILE NO. 28-1235
PAGE 150 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
PROVIDENT BANKSHARES CORP    COM            743859100        146,493      4,212      X         28-5284      4212
                                                             139,120      4,000      X      X  28-5284                4000

PROVIDENT ENERGY TR          TR UNIT        74386K104         94,473      7,750      X         28-5284      7750
                                                             236,059     19,365      X      X  28-5284     19365

PROVIDENT FINL SVCS INC      COM            74386T105         38,720      2,200      X         28-5284       600              1600
                                                             185,750     10,554      X      X  28-5284      6256              4298

PROVIDIAN FINL CORP          COM            74406A102      2,729,827    154,402      X         28-5284    144302             10100
                                                             577,747     32,678      X      X  28-5284     32678

PRUDENTIAL FINL INC          COM            744320102      1,716,227     25,403      X         28-5284     22352              3051
                                                             373,607      5,530      X      X  28-5284      5497        33
                                                               6,418         95      X         28-4580        95

PT INDOSAT TBK               SPONSORED ADR  744383100         25,000      1,000      X         28-5284      1000

PSYCHIATRIC SOLUTIONS INC    COM            74439H108          2,169         40      X         28-5284        40
                                                              21,692        400      X      X  28-5284       400

PUBLIC SVC ENTERPRISE GROUP  COM            744573106      9,695,448    150,644      X         28-5284    149794               850
                                                          13,181,379    204,807      X      X  28-5284    195470              9337
                                                              56,959        885      X         28-4580       885
                                                             815,699     12,674      X      X  28-4580     12674

PUBLIC STORAGE INC           COM            74460D109        293,728      4,384      X         28-5284      4384

PUBLIC STORAGE INC           COM A DP1/1000 74460D729         42,903      1,516      X         28-5284      1516
                                                                 481         17      X      X  28-5284        17

PUGET ENERGY INC NEW         COM            745310102        117,541      5,006      X         28-5284      3806              1200
                                                              70,440      3,000      X      X  28-5284      3000

PULTE HOMES INC              COM            745867101        137,344      3,200      X         28-5284      3200
                                                              41,847        975      X      X  28-5284       975
                                                              12,447        290      X      X  28-1500       290
                                                               3,004         70      X      X  28-4580        70

PURECYCLE CORP               COM NEW        746228303            136         20      X      X  28-1500        20

PUTNAM HIGH INCOME BOND FD   SH BEN INT     746779107         38,550      5,000      X      X  28-5284      5000
               COLUMN TOTAL                               30,801,208







                                                                                                                  FILE NO. 28-1235
PAGE 151 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
PUTNAM HIGH YIELD MUN TR     SH BEN INT     746781103         13,880      2,000      X      X  28-5284      2000

PUTNAM INVT GRADE MUN TR     COM            746805100         12,920      1,350      X      X  28-5284       100              1250

PUTNAM MANAGED MUN INCOM TR  COM            746823103         15,038      2,005      X         28-5284      2005
                                                               7,500      1,000      X      X  28-5284                        1000

PUTNAM MUN BD FD INC         SH BEN INT     74683V100         12,306        969      X         28-5284       969
                                                               3,810        300      X      X  28-5284       300

PUTNAM PREMIER INCOME TR     SH BEN INT     746853100        101,013     16,188      X         28-5284     16188
                                                              38,420      6,157      X      X  28-5284      6157
                                                              22,339      3,580      X      X  28-1500      3580

PUTNAM MASTER INTER INCOME T SH BEN INT     746909100         12,500      2,000      X      X  28-1500      2000

PUTNAM MUN OPPORTUNITIES TR  SH BEN INT     746922103          8,888        750      X      X  28-5284       750

QLT INC                      COM            746927102          3,835        500      X         28-5284       500

QLOGIC CORP                  COM            747277101        730,170     21,350      X         28-5284     21350
                                                              16,758        490      X      X  28-5284       490
                                                              19,391        567      X      X  28-4580       567

QUAKER CHEM CORP             COM            747316107         72,996      4,200      X         28-5284      4200
                                                              26,070      1,500      X      X  28-5284      1500

QUALCOMM INC                 COM            747525103      6,744,138    150,707      X         28-5284    150007               700
                                                           9,527,723    212,910      X      X  28-5284    204300      7410    1200
                                                             118,856      2,656      X         28-1500                2656
                                                             120,378      2,690      X         28-4580      2690
                                                             134,250      3,000      X      X  28-4580      3000

QUALITY SYS INC              COM            747582104         67,501        977      X         28-5284       977
                                                           1,174,530     17,000      X      X  28-5284     17000

QUANTUM FUEL SYS TECH WORLDW COM            74765E109          4,100      1,000      X      X  28-1500      1000

QUANTUM CORP                 COM DSSG       747906204         32,151     10,405      X         28-5284       905              9500
                                                              44,187     14,300      X      X  28-5284                       14300
               COLUMN TOTAL                               19,085,648







                                                                                                                  FILE NO. 28-1235
PAGE 152 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
QUEST DIAGNOSTICS INC        COM            74834L100        946,109     18,720      X         28-5284     18720
                                                             509,949     10,090      X      X  28-5284      7690              2400
                                                             181,944      3,600      X      X  28-1500      3600
                                                               2,830         56      X      X  28-4580        56

QUESTAR CORP                 COM            748356102        475,848      5,400      X         28-5284      5400
                                                           3,115,042     35,350      X      X  28-5284     35350
                                                              17,624        200      X      X  28-1500       200

QUIKSILVER INC               COM            74838C106         17,456      1,208      X         28-5284      1208

QWEST COMMUNICATIONS INTL IN COM            749121109         52,529     12,812      X         28-5284     12812
                                                             124,214     30,296      X      X  28-5284     22191      8105

QUOVADX INC                  COM            74913K106          1,100        363      X      X  28-5284       363

RAIT INVT TR                 COM            749227104         14,250        500      X      X  28-5284       500

RGC RES INC                  COM            74955L103         22,194        850      X      X  28-5284                         850
                                                               1,567         60      X         28-1500        60

R H DONNELLEY CORP           COM NEW        74955W307         54,973        869      X         28-5284       869
                                                              36,881        583      X      X  28-5284       583
                                                              13,474        213      X      X  28-4580       213

RMK ADVANTAGE INCOME FD INC  COM            74963L103         13,568        800      X         28-5284       800

RPM INTL INC                 COM            749685103          9,200        500      X         28-5284       500
                                                             266,800     14,500      X      X  28-5284     14500

RSA SEC INC                  COM            749719100          4,321        340      X         28-5284       340
                                                              21,607      1,700      X      X  28-5284      1700
                                                              70,528      5,549      X         28-1500      5549

RTI INTL METALS INC          COM            74973W107         78,700      2,000      X      X  28-5284      2000

RF MICRODEVICES INC          COM            749941100          2,825        500      X         28-5284       500
                                                                 452         80      X      X  28-5284        80
                                                              43,771      7,747      X         28-1500      7747
                                                               3,842        680      X         28-4580       680

RADIAN GROUP INC             COM            750236101          9,824        185      X         28-5284       185
               COLUMN TOTAL                                6,113,422







                                                                                                                  FILE NO. 28-1235
PAGE 153 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
RADIO ONE INC                CL A           75040P108         60,513      4,600      X         28-5284      4600

RADIOSHACK CORP              COM            750438103          6,522        263      X         28-5284       263
                                                             136,400      5,500      X      X  28-5284      5500

RAILAMERICA INC              COM            750753105          5,950        500      X         28-5284       500

RAMBUS INC DEL               COM            750917106          3,630        300      X         28-5284       300

RALCORP HLDGS INC NEW        COM            751028101         61,748      1,473      X      X  28-5284      1473

RAMCO-GERSHENSON PPTYS TR    COM SH BEN INT 751452202         11,676        400      X      X  28-5284       400

RANDGOLD RES LTD             ADR            752344309         15,720      1,000      X      X  28-5284      1000

RANGE RES CORP               COM            75281A109         11,236        291      X         28-5284       291

RARE HOSPITALITY INTL INC    COM            753820109          3,058        119      X         28-5284       119

RAYMOND JAMES FINANCIAL INC  COM            754730109         24,090        750      X         28-5284       750
                                                               2,409         75      X      X  28-5284        75
                                                               2,152         67      X      X  28-4580        67

RAYONIER INC                 COM            754907103        116,047      2,014      X         28-5284      2014
                                                             118,121      2,050      X      X  28-5284      1660               390

RAYTHEON CO                  COM NEW        755111507      8,085,599    212,667      X         28-5284    191076        34   21557
                                                          16,897,000    444,424      X      X  28-5284    432977       802   10645
                                                             102,654      2,700      X         28-1500                2700
                                                               5,247        138      X         28-4580       138
                                                             163,638      4,304      X      X  28-4580      4304

READERS DIGEST ASSN INC      COM            755267101          5,110        320      X         28-5284       320

REALNETWORKS INC             COM            75605L104         19,700      3,450      X         28-5284      3450
                                                               1,370        240      X      X  28-5284       240

REALTY INCOME CORP           COM            756109104          1,913         80      X         28-5284        80
                                                              10,760        450      X      X  28-5284       450

RECKSON ASSOCS RLTY CORP     COM            75621K106          1,382         40      X         28-5284        40
                                                               8,223        238      X      X  28-5284       238
               COLUMN TOTAL                               25,881,868







                                                                                                                  FILE NO. 28-1235
PAGE 154 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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        224,084     10,575      X         28-5284      5775              4800
                                                              29,454      1,390      X      X  28-5284      1390
                                                           2,284,918    107,830      X         28-11439   107830

RED ROBIN GOURMET BURGERS IN COM            75689M101          3,667         80      X         28-5284        80

REDBACK NETWORKS INC         COM NEW        757209507            139         14      X         28-5284        14

REDWOOD TR INC               COM            758075402         14,583        300      X         28-5284       300
                                                           1,370,802     28,200      X      X  28-5284     28200

REEBOK INTL LTD              COM            758110100          8,146        144      X         28-5284       144

REED ELSEVIER N V            SPONSORED ADR  758204101          8,986        325      X      X  28-4580       325

REGAL ENTMT GROUP            CL A           758766109         10,020        500      X         28-5284       500
                                                             216,432     10,800      X      X  28-5284     10800
                                                             100,200      5,000      X      X  28-1500      5000

REGENCY CTRS CORP            COM            758849103          4,596         80      X         28-5284        80

REGENT COMMUNICATIONS INC DE COM            758865109      2,411,773    458,512      X         28-5284    458512

REGIS CORP MINN              COM            758932107         11,573        306      X         28-5284       306

REGIONS FINANCIAL CORP NEW   COM            7591EP100      2,906,484     93,396      X         28-5284     80346             13050
                                                             783,322     25,171      X      X  28-5284     24971               200
                                                           6,902,416    221,800      X         28-1500    221800
                                                               5,819        187      X      X  28-1500       187

REINSURANCE GROUP AMER INC   COM            759351109          9,387        210      X         28-5284       210
                                                              89,400      2,000      X      X  28-5284      2000

RELIANT ENERGY INC           COM            75952B105         24,395      1,580      X         28-5284      1580
                                                              58,039      3,759      X      X  28-5284      3759

RENASANT CORP                COM            75970E107        147,964      4,675      X      X  28-1500      4675

RENAL CARE GROUP INC         COM            759930100         22,477        475      X         28-5284       475
                                                              37,619        795      X      X  28-5284       795

RENT A CTR INC NEW           COM            76009N100         10,505        544      X         28-5284       544
               COLUMN TOTAL                               17,697,200







                                                                                                                  FILE NO. 28-1235
PAGE 155 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
RENT WAY INC                 COM            76009U104            220         32      X         28-5284        32
                                                                 687        100      X      X  28-5284       100

REPUBLIC BANCORP KY          CL A           760281204        404,237     19,323      X         28-5284     19323
                                                              92,697      4,431      X         28-1500        21      4410

REPUBLIC BANCORP INC         COM            760282103          6,010        425      X         28-5284       425
                                                              10,054        711      X         28-1500       711

REPUBLIC FIRST BANCORP INC   COM            760416107         38,069      3,080      X         28-5284      3080
                                                              83,059      6,720      X      X  28-5284                6720
                                                              27,686      2,240      X      X  28-4580      2240

REPUBLIC SVCS INC            COM            760759100          7,058        200      X         28-5284       200
                                                               7,058        200      X      X  28-5284       200

RES-CARE INC                 COM            760943100        857,531     55,720      X         28-5284     55720
                                                              11,543        750      X      X  28-5284       750
                                                               6,695        435      X         28-1500       435

RESEARCH IN MOTION LTD       COM            760975102          6,830        100      X      X  28-5284       100

RESMED INC                   COM            761152107         15,930        200      X         28-5284       200

RESOURCE AMERICA INC         CL A           761195205         52,811      2,982      X      X  28-5284      2982

RESPIRONICS INC              COM            761230101        915,306     21,700      X         28-5284     21700
                                                             206,682      4,900      X      X  28-5284      4100               800

REUNION INDS INC             COM            761312107            990      4,500      X         28-5284      4500

REUTERS GROUP PLC            SPONSORED ADR  76132M102         95,619      2,414      X         28-5284      1201              1213
                                                              46,740      1,180      X      X  28-5284      1180

REVLON INC                   CL A           761525500         92,414     28,700      X         28-5284     14300             14400

REYNOLDS & REYNOLDS CO       CL A           761695105      1,022,393     37,300      X         28-5284     37300
                                                              24,669        900      X      X  28-5284                         900

REYNOLDS AMERICAN INC        COM            761713106        223,324      2,690      X         28-5284      2690
                                                             232,041      2,795      X      X  28-5284      1769      1026
                                                           2,930,606     35,300      X         28-11439    35300
               COLUMN TOTAL                                7,418,959







                                                                                                                  FILE NO. 28-1235
PAGE 156 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
RICHARDSON ELECTRS LTD       SDCV  7.250%12 763165AB3      3,455,700     34,557      X         28-5284     34557

RICHARDSON ELECTRS LTD       SDCV  8.250% 6 763165AC1     19,140,000    191,400      X         28-5284    191400
                                                           3,300,000     33,000      X      X  28-5284     33000

RIO NARCEA GOLD MINES INC    COM            766909105         13,341      9,529      X         28-5284      9529

RIO TINTO PLC                SPONSORED ADR  767204100         25,959        158      X         28-5284       158
                                                             589,016      3,585      X      X  28-5284       850              2735
                                                              16,430        100      X      X  28-4580       100

RITE AID CORP                COM            767754104        104,566     26,950      X         28-5284     26950
                                                              25,608      6,600      X      X  28-5284      6600

RIVER CITY BK                COM            768037103         55,000      5,000      X      X  28-5284      5000

RIVIERA HLDGS CORP           COM            769627100          3,083        139      X      X  28-4580        27               112

ROANOKE ELEC STL CORP        COM            769841107          6,009        300      X         28-5284       300
                                                             127,191      6,350      X      X  28-5284      6350

ROBERT HALF INTL INC         COM            770323103      1,905,311     53,535      X         28-5284     53535
                                                             227,420      6,390      X      X  28-5284      4110      1080    1200
                                                               3,203         90      X         28-4580        90

ROCKWELL AUTOMATION INC      COM            773903109      1,175,491     22,221      X         28-5284     22221
                                                           1,591,285     30,081      X      X  28-5284     24106              5975
                                                               7,723        146      X         28-4580       146
                                                               4,761         90      X      X  28-4580        90

ROCKWELL COLLINS INC         COM            774341101      1,037,720     21,476      X         28-5284     21476
                                                           1,900,522     39,332      X      X  28-5284     33357              5975
                                                               6,765        140      X         28-4580       140
                                                               2,658         55      X      X  28-4580        55

ROCKY SHOES & BOOTS INC      COM            774830103          2,860        100      X         28-5284       100
                                                               8,580        300      X      X  28-1500       300

ROGERS CORP                  COM            775133101            658         17      X         28-5284        17

ROHM & HAAS CO               COM            775371107        915,965     22,270      X         28-5284     22270
                                                           3,720,538     90,458      X      X  28-5284     88958              1500
                                                             131,781      3,204      X      X  28-4580      3204
               COLUMN TOTAL                               39,505,144







                                                                                                                  FILE NO. 28-1235
PAGE 157 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
ROLLINS INC                  COM            775711104         91,256      4,675      X         28-5284      4675
                                                              48,312      2,475      X      X  28-5284      2475

ROPER INDS INC NEW           COM            776696106      3,917,213     99,700      X         28-5284     99700

ROSS STORES INC              COM            778296103          2,370        100      X         28-5284       100
                                                             134,498      5,675      X      X  28-5284      5675

ROWAN COS INC                COM            779382100         59,623      1,680      X         28-5284      1680
                                                               7,098        200      X      X  28-5284       200

ROYAL BANCSHARES PA INC      CL A           780081105         12,957        580      X      X  28-5284       580
                                                             482,544     21,600      X         28-1500     21600

ROYAL BK CDA MONTREAL QUE    COM            780087102         87,600      1,200      X         28-5284                        1200
                                                              51,100        700      X      X  28-5284       600               100

ROYAL BK SCOTLAND GROUP PLC  SP ADR PREF E  780097705         15,732        600      X      X  28-5284       600

ROYAL BK SCOTLAND GROUP PLC  ADR PREF SER N 780097770         48,279      1,900      X      X  28-5284      1900

ROYAL BK SCOTLAND GROUP PLC  SP ADR PREF M  780097796         50,960      2,000      X      X  28-5284      2000

ROYAL BK SCOTLAND GROUP PLC  SPON ADR F     780097804         31,956      1,200      X         28-5284      1200
                                                              50,863      1,910      X      X  28-5284      1910

ROYAL BK SCOTLAND GROUP PLC  SP ADR PFD K   780097820         29,613      1,150      X         28-5284      1150
                                                              90,125      3,500      X      X  28-5284      3500

ROYAL BK SCOTLAND GROUP PLC  SP ADR PREF J  780097853         26,600      1,000      X      X  28-5284      1000

ROYAL BK SCOTLAND GROUP PLC  SP ADR I PRF I 780097861         34,830      1,350      X         28-5284      1350
                                                             189,630      7,350      X      X  28-5284      7350
                                                               9,030        350      X         28-4580       350

ROYAL BK SCOTLAND GROUP PLC  SPON ADR SER H 780097879         17,878        700      X         28-5284       700
                                                             238,799      9,350      X      X  28-5284      9350

ROYAL BK SCOTLAND GROUP PLC  SPON ADR PRF G 780097887          5,146        200      X      X  28-5284       200

ROYAL DUTCH PETE CO          NY REG EUR .56 780257804        427,040      6,800      X         28-5284      6800
               COLUMN TOTAL                                6,161,052







                                                                                                                  FILE NO. 28-1235
PAGE 158 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
ROYAL DUTCH SHELL PLC        SPON ADR B     780259107        651,304      9,457      X         28-5284      7968              1489
                                                           2,573,121     37,362      X      X  28-5284     36932       258     172
                                                               8,884        129      X      X  28-1500       129
                                                             356,058      5,170      X         28-4580      5170

ROYAL DUTCH SHELL PLC        SPONS ADR A    780259206     38,149,837    581,198      X         28-5284    564768             16430
                                                          67,390,356  1,026,666      X      X  28-5284    992451     11121   23094
                                                             101,742      1,550      X      X  28-1500      1550
                                                             539,692      8,222      X         28-4580      8222
                                                             654,365      9,969      X      X  28-4580      9901                68

ROYAL GOLD INC               COM            780287108         16,692        621      X      X  28-5284       621

ROYCE FOCUS TR               COM            78080N108         29,460      3,000      X         28-5284                        3000
                                                              26,524      2,701      X      X  28-5284      2701
                                                             263,441     26,827      X      X  28-1500     26827

ROYCE VALUE TR INC           COM            780910105        156,217      7,858      X         28-5284      7858
                                                               3,300        166      X      X  28-5284       166
                                                              23,081      1,161      X         28-4580      1161

ROYCE MICRO-CAP TR INC       COM            780915104         28,560      2,000      X      X  28-5284      2000

RUBY TUESDAY INC             COM            781182100          2,285        105      X         28-5284       105
                                                             159,980      7,352      X      X  28-5284      7352

RUSH ENTERPRISES INC         CL B           781846308          4,653        310      X         28-5284       310

RUTHS CHRIS STEAK HSE INC    COM            783332109         18,380      1,000      X         28-5284      1000

RYDER SYS INC                COM            783549108         81,991      2,396      X         28-5284      2396

RYDEX ETF TRUST              S&P 500 EQ TRD 78355W106         19,532        120      X         28-5284       120

RYLAND GROUP INC             COM            783764103         13,000        190      X         28-5284       190
                                                              27,368        400      X      X  28-5284       400

S & T BANCORP INC            COM            783859101        626,006     16,561      X         28-5284     15426              1135
                                                           1,300,320     34,400      X      X  28-5284     34000               400
               COLUMN TOTAL                              113,226,149







                                                                                                                  FILE NO. 28-1235
PAGE 159 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
SBC COMMUNICATIONS INC       COM            78387G103     25,234,465  1,052,752      X         28-5284   1025135             27617
                                                          26,657,421  1,112,116      X      X  28-5284   1049041     26741   36334
                                                             217,408      9,070      X         28-1500        20      9050
                                                             779,984     32,540      X         28-4580     31095              1445
                                                           1,482,784     61,860      X      X  28-4580     61160               700

SCP POOL CORP                COM            784028102         48,343      1,384      X         28-5284      1384
                                                             512,772     14,680      X      X  28-5284     14680

SEI INVESTMENTS CO           COM            784117103      2,981,860     79,347      X         28-5284     72047              7300
                                                           3,532,520     94,000      X      X  28-5284     94000
                                                              52,612      1,400      X         28-1500      1400

SEMCO ENERGY INC             COM            78412D109          1,318        200      X      X  28-5284       200

SI INTL INC                  COM            78427V102          4,769        154      X         28-5284       154

SK TELECOM LTD               SPONSORED ADR  78440P108          1,638         75      X         28-5284        75

SL GREEN RLTY CORP           COM            78440X101          1,023         15      X         28-5284        15
                                                              42,953        630      X      X  28-5284       630
                                                               1,705         25      X      X  28-4580        25

SLM CORP                     COM            78442P106        425,204      7,927      X         28-5284      7927
                                                           1,066,095     19,875      X      X  28-5284      7675             12200

SPDR TR                      UNIT SER 1     78462F103    302,970,620  2,462,375      X         28-5284   2425448      3098   33829
                                                         128,566,342  1,044,915      X      X  28-5284   1015521      8969   20425
                                                           6,846,807     55,647      X         28-4580     55647
                                                           2,175,962     17,685      X      X  28-4580     16685              1000

S1 CORPORATION               COM            78463B101        117,390     30,100      X         28-1500     30100

SPX CORP                     COM            784635104        143,502      3,123      X         28-5284      1723              1400
                                                             293,253      6,382      X      X  28-5284      6382
                                                              18,380        400      X         28-4580       400

S Y BANCORP INC              COM            785060104        219,632      9,236      X         28-5284      7836              1400
                                                             161,514      6,792      X      X  28-5284      6792
                                                              14,173        596      X         28-1500       596
               COLUMN TOTAL                              504,572,449







                                                                                                                  FILE NO. 28-1235
PAGE 160 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
SABRE HLDGS CORP             CL A           785905100         14,642        722      X         28-5284       722
                                                               2,190        108      X      X  28-5284       108
                                                               3,042        150      X      X  28-1500       150

SAFECO CORP                  COM            786429100     26,856,851    503,220      X         28-5284    492240             10980
                                                          10,826,745    202,862      X      X  28-5284    188017      7440    7405
                                                           1,079,195     20,221      X         28-4580     19649               572
                                                             414,098      7,759      X      X  28-4580      7759

SAFEGUARD SCIENTIFICS INC    COM            786449108         20,501     11,850      X         28-5284     11650               200
                                                                 346        200      X      X  28-5284       200
                                                              34,600     20,000      X      X  28-1500     20000

SAFENET INC                  COM            78645R107         12,200        336      X      X  28-5284       336

SAFEWAY INC                  COM NEW        786514208        216,627      8,462      X         28-5284      7062              1400
                                                             293,248     11,455      X      X  28-5284     11455
                                                              25,395        992      X      X  28-1500       992
                                                               3,328        130      X         28-4580       130
                                                               2,560        100      X      X  28-4580       100

ST JOE CO                    COM            790148100         64,636      1,035      X         28-5284      1035
                                                             168,615      2,700      X      X  28-5284      2700
                                                               2,560         41      X      X  28-4580         8                33

ST JUDE MED INC              COM            790849103        210,600      4,500      X         28-5284      4320               180
                                                             512,694     10,955      X      X  28-5284     10755               200

ST MARY LD & EXPL CO         COM            792228108         29,280        800      X      X  28-5284       800

ST PAUL TRAVELERS INC        COM            792860108      9,179,864    204,588      X         28-5284    203296              1292
                                                          10,576,756    235,720      X      X  28-5284    219990       171   15559
                                                             352,230      7,850      X      X  28-1500      7850
                                                           1,193,093     26,590      X         28-11439    26590
                                                             233,907      5,213      X         28-4580      5213
                                                             114,822      2,559      X      X  28-4580      2559

SAKS INC                     COM            79377W108          3,700        200      X         28-5284       200

SALOMON BR GLBL PRTNRS INC F COM            794914101          3,615        300      X      X  28-5284       300

SALISBURY BANCORP INC        COM            795226109          7,600        200      X         28-5284       200
               COLUMN TOTAL                               62,459,540







                                                                                                                  FILE NO. 28-1235
PAGE 161 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
SALOMON BROTHERS FD INC      COM            795477108        119,652      8,498      X         28-5284      8498
                                                             210,848     14,975      X      X  28-5284     11975              3000

SALTON INC                   COM            795757103            329        100      X         28-5284       100

SAMARITAN PHARMACEUTICALS    COM            79586Q108         35,100     67,500      X         28-5284     67500

SAN JUAN BASIN RTY TR        UNIT BEN INT   798241105        237,461      4,866      X         28-5284      4866
                                                             420,851      8,624      X      X  28-5284      3624      5000
                                                              19,520        400      X         28-1500                 400

SAN PAOLO-IMI S P A          SPONSORED ADR  799175104          8,555        275      X         28-5284       275

SANDERSON FARMS INC          COM            800013104         13,006        350      X      X  28-5284       350

SANDISK CORP                 COM            80004C101         57,888      1,200      X         28-5284      1200
                                                              77,184      1,600      X      X  28-5284      1600

SANMINA SCI CORP             COM            800907107         44,788     10,440      X      X  28-5284     10440
                                                               3,501        816      X      X  28-1500       816
                                                               1,480        345      X      X  28-4580       345

SANOFI AVENTIS               SPONSORED ADR  80105N105      1,689,381     40,659      X         28-5284      4259             36400
                                                           1,088,444     26,196      X      X  28-5284      3276             22920

SANTA FE ENERGY TR           RCPT DEP UNITS 802013102         21,630        500      X         28-5284       500
                                                               8,652        200      X      X  28-5284       200

SANTARUS INC                 COM            802817304         90,722     14,609      X         28-1500     14609

SAP AKTIENGESELLSCHAFT       SPONSORED ADR  803054204        473,510     10,928      X         28-5284     10928
                                                              95,976      2,215      X      X  28-5284      2215

SAPIENT CORP                 COM            803062108         14,375      2,300      X         28-5284      2300

SARA LEE CORP                COM            803111103     22,858,798  1,206,269      X         28-5284   1185231             21038
                                                          14,523,375    766,405      X      X  28-5284    722225      8500   35680
                                                               2,464        130      X         28-1500       130
                                                              78,908      4,164      X      X  28-1500      4164
                                                             144,323      7,616      X         28-4580      7616
                                                             310,780     16,400      X      X  28-4580     16400

SASOL LTD                    SPONSORED ADR  803866300          9,247        239      X      X  28-4580       239
               COLUMN TOTAL                               42,660,748







                                                                                                                  FILE NO. 28-1235
PAGE 162 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
SAUL CTRS INC                COM            804395101        374,296     10,400      X      X  28-5284     10000       400

SAVIENT PHARMACEUTICALS INC  COM            80517Q100          3,770      1,000      X         28-5284                        1000

SCANA CORP NEW               COM            80589M102        404,575      9,578      X         28-5284      9578
                                                             116,287      2,753      X      X  28-5284      2753

SCHEIN HENRY INC             COM            806407102        168,349      3,950      X      X  28-1500      3950

SCHERING A G                 SPONSORED ADR  806585204         36,455        575      X      X  28-5284                         575

SCHERING PLOUGH CORP         COM            806605101     18,156,404    862,537      X         28-5284    792812             69725
                                                          14,001,155    665,138      X      X  28-5284    626318       780   38040
                                                             254,705     12,100      X      X  28-1500     12100
                                                             286,280     13,600      X         28-4580     13600
                                                           1,297,396     61,634      X      X  28-4580     61634

SCHERING PLOUGH CORP         PFD CONV MAND  806605606         21,692        400      X      X  28-5284       400

SCHLUMBERGER LTD             COM            806857108     47,460,628    562,463      X         28-5284    550828             11635
                                                          34,281,147    406,271      X      X  28-5284    382341      6610   17320
                                                               4,219         50      X         28-1500                  50
                                                           1,033,993     12,254      X         28-4580     11864               390
                                                             285,036      3,378      X      X  28-4580      3320                58

SCHNITZER STL INDS           CL A           806882106          6,514        200      X         28-5284       200

SCHOLASTIC CORP              COM            807066105         37,699      1,020      X         28-5284      1020
                                                               1,663         45      X      X  28-5284        45
                                                               1,663         45      X      X  28-4580        45

SCHOOL SPECIALTY INC         COM            807863105          4,878        100      X         28-5284       100
                                                               2,195         45      X      X  28-5284        45
                                                                 732         15      X      X  28-4580        15

SCHULMAN A INC               COM            808194104          2,423        135      X         28-5284       135

SCHWAB CHARLES CORP NEW      COM            808513105        814,588     56,451      X         28-5284     56076               375
                                                             172,078     11,925      X      X  28-5284     11925
                                                              86,580      6,000      X      X  28-1500      6000
                                                           2,577,198    178,600      X         28-11439   178600

SCHWEITZER-MAUDUIT INTL INC  COM            808541106         58,858      2,637      X      X  28-5284      2637
               COLUMN TOTAL                              121,953,456







                                                                                                                  FILE NO. 28-1235
PAGE 163 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
SCIENTIFIC ATLANTA INC       COM            808655104        210,056      5,600      X         28-5284      3100              2500
                                                             468,875     12,500      X      X  28-5284      5600              6900

SCIENTIFIC GAMES CORP        CL A           80874P109          5,270        170      X         28-5284       170
                                                              62,000      2,000      X      X  28-5284      2000

SCIENTIFIC LEARNING CORP     COM            808760102         37,100      7,000      X         28-5284      7000

SCOTTISH PWR PLC             SPON ADR FINAL 81013T705          9,859        245      X         28-5284       245
                                                             180,074      4,475      X      X  28-5284      3277              1198

SCOTTS MIRACLE GRO CO        CL A           810186106        212,791      2,420      X      X  28-5284      2420
                                                              26,555        302      X      X  28-1500       302
                                                               2,198         25      X      X  28-4580        25

SCRIPPS E W CO OHIO          CL A           811054204         62,463      1,250      X         28-5284      1050               200
                                                             272,337      5,450      X      X  28-5284      4760               690

SCS TRANSN INC               COM            81111T102          4,053        258      X         28-5284       258
                                                               1,178         75      X      X  28-5284        75

SCUDDER HIGH INCOME TR       SH BEN INT     811153105         46,533      6,246      X         28-5284      6246
                                                               3,725        500      X      X  28-5284       500

SCUDDER MULTI-MARKET INCOME  SH BEN INT     81118Q101         11,822      1,150      X      X  28-5284      1150

SCUDDER MUN INCOME TR        COM SH BEN INT 81118R604         10,742        834      X         28-5284       834
                                                              25,824      2,005      X      X  28-5284      2005

SCUDDER NEW ASIA FD INC      COM            811183102          9,515        500      X         28-5284       500

SCUDDER STRATEGIC MUN INCOME COM SH BEN INT 811234103          6,875        500      X         28-5284       500

SEACHANGE INTL INC           COM            811699107         14,876      2,339      X         28-1500      2339

SEACOAST BKG CORP FLA        COM            811707306         69,306      2,958      X         28-5284      2958
                                                             201,029      8,580      X      X  28-5284      8580
                                                              38,660      1,650      X      X  28-1500      1650

SEALED AIR CORP NEW          COM            81211K100         43,995        927      X         28-5284       927
                                                             520,162     10,960      X      X  28-5284     10245               715
               COLUMN TOTAL                                2,557,873







                                                                                                                  FILE NO. 28-1235
PAGE 164 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
SEARS HLDGS CORP             COM            812350106        422,315      3,394      X         28-5284      3136               258
                                                           1,439,406     11,568      X      X  28-5284     11529                39
                                                              21,402        172      X         28-1500       172
                                                              46,537        374      X      X  28-4580       374

SELECT SECTOR SPDR TR        SBI MATERIALS  81369Y100         56,430      2,052      X         28-5284      2052
                                                              27,555      1,002      X      X  28-5284      1002
                                                              16,968        617      X         28-4580       617
                                                              24,118        877      X      X  28-4580       877

SELECT SECTOR SPDR TR        SBI HEALTHCARE 81369Y209        122,641      3,912      X         28-5284      3912
                                                             291,085      9,285      X      X  28-5284      9285

SELECT SECTOR SPDR TR        SBI CONS STPLS 81369Y308         51,449      2,210      X         28-5284      2210
                                                             150,319      6,457      X      X  28-5284      6457
                                                              15,039        646      X      X  28-4580       646

SELECT SECTOR SPDR TR        SBI CONS DISCR 81369Y407        200,756      6,179      X         28-5284      6179
                                                             625,010     19,237      X      X  28-5284     19237
                                                             942,210     29,000      X         28-4580     29000
                                                              14,296        440      X      X  28-4580       440

SELECT SECTOR SPDR TR        SBI INT-ENERGY 81369Y506      5,762,387    107,367      X         28-5284    107192               175
                                                           2,076,385     38,688      X      X  28-5284     38688
                                                              10,734        200      X         28-1500                 200
                                                             197,559      3,681      X         28-4580      3681
                                                              42,936        800      X      X  28-4580       800

SELECT SECTOR SPDR TR        SBI INT-FINL   81369Y605        101,578      3,441      X         28-5284      3441
                                                             332,277     11,256      X      X  28-5284     11256
                                                             147,600      5,000      X         28-11439     5000
                                                             334,609     11,335      X      X  28-4580     11335

SELECT SECTOR SPDR TR        SBI INT-INDS   81369Y704         15,713        521      X         28-5284       521
                                                             571,562     18,951      X      X  28-5284     18951
                                                             150,800      5,000      X         28-4580      5000
                                                             811,304     26,900      X      X  28-4580     25900              1000

SELECT SECTOR SPDR TR        SBI INT-TECH   81369Y803      5,940,700    284,244      X         28-5284    283401               843
                                                           4,216,721    201,757      X      X  28-5284    201757
                                                              10,450        500      X      X  28-1500       500
                                                           1,259,643     60,270      X         28-4580     60270
                                                             164,943      7,892      X      X  28-4580      7892
               COLUMN TOTAL                               26,615,437







                                                                                                                  FILE NO. 28-1235
PAGE 165 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
SELECT SECTOR SPDR TR        SBI INT-UTILS  81369Y886      1,685,443     50,162      X         28-5284     50162
                                                           2,042,309     60,783      X      X  28-5284     60783
                                                              50,400      1,500      X      X  28-4580      1500

SECURE COMPUTING CORP        COM            813705100        102,150      9,000      X         28-5284      9000

SELECT COMFORT CORP          COM            81616X103         14,985        750      X      X  28-5284       750

SELECTIVE INS GROUP INC      COM            816300107        241,322      4,935      X         28-5284      4935
                                                              22,005        450      X      X  28-5284       450
                                                           1,853,310     37,900      X      X  28-4580     37900

SELIGMAN QUALITY MUN FD INC  COM            816343107         29,326      2,333      X      X  28-5284      2333

SEMICONDUCTOR HLDRS TR       DEP RCPT       816636203         36,940      1,000      X         28-5284      1000

SEMTECH CORP                 COM            816850101            346         21      X         28-5284        21

SEMPRA ENERGY                COM            816851109        155,486      3,304      X         28-5284      3304
                                                             434,270      9,228      X      X  28-5284      8071       155    1002
                                                              28,236        600      X      X  28-1500       600
                                                              11,812        251      X      X  28-4580       251

SEMITOOL INC                 COM            816909105          2,544        320      X         28-5284       320
                                                               2,385        300      X      X  28-5284       300

SENIOR HIGH INCOME PORTFOLIO COM            81721E107         16,535      2,667      X         28-5284      2667

SENIOR HSG PPTYS TR          SH BEN INT     81721M109         22,553      1,187      X         28-5284      1187
                                                               2,850        150      X      X  28-5284                         150

SEPRACOR INC                 COM            817315104         38,344        650      X         28-5284       200               450

SERENA SOFTWARE INC          COM            817492101          3,528        177      X         28-5284       177

SERONO S A                   SPONSORED ADR  81752M101      1,758,587    106,905      X         28-5284    106905
                                                             226,352     13,760      X      X  28-5284      8500      2260    3000

SEROLOGICALS CORP            COM            817523103          1,692         75      X      X  28-5284        75
                                                               1,466         65      X      X  28-4580        65

SERVICE CORP INTL            COM            817565104         30,673      3,700      X         28-5284      3700
                                                               9,020      1,088      X      X  28-5284       888       200
               COLUMN TOTAL                                8,824,869







                                                                                                                  FILE NO. 28-1235
PAGE 166 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
SERVICEMASTER CO             COM            81760N109        446,468     32,974      X         28-5284     32974
                                                              73,116      5,400      X      X  28-5284      5400
                                                               7,826        578      X         28-4580       578

7-ELEVEN INC                 COM NEW        817826209          8,546        240      X      X  28-5284       240

SHAW GROUP INC               COM            820280105        188,180      7,631      X         28-5284      7631

SHERWIN WILLIAMS CO          COM            824348106     11,141,116    252,805      X         28-5284    181905             70900
                                                           1,076,410     24,425      X      X  28-5284     23025              1400
                                                              40,897        928      X      X  28-1500       928
                                                             273,234      6,200      X      X  28-4580      6200

SHIRE PHARMACEUTICALS GRP PL SPONSORED ADR  82481R106        630,790     17,053      X         28-5284     16623               430
                                                             365,017      9,868      X      X  28-5284      6830       690    2348
                                                               4,809        130      X         28-4580       130

SHORE BANCSHARES INC         COM            825107105      2,844,806     88,348      X      X  28-5284     88348

SHORE FINL CORP              COM            82511E109         32,400      1,800      X         28-5284      1800

SHUFFLE MASTER INC           COM            825549108         13,601        515      X         28-5284       200               315

SHURGARD STORAGE CTRS INC    COM            82567D104         73,804      1,321      X         28-5284      1321

SIEBEL SYS INC               COM            826170102         13,429      1,300      X         28-5284      1300
                                                              43,283      4,190      X      X  28-5284      4190
                                                              26,021      2,519      X      X  28-1500      2519

SIEMENS A G                  SPONSORED ADR  826197501         63,797        825      X         28-5284       425               400
                                                               7,733        100      X      X  28-5284       100

SIERRA HEALTH SVCS INC       COM            826322109          3,994         58      X         28-5284        58

SIGMA ALDRICH CORP           COM            826552101        383,079      5,980      X         28-5284      5980
                                                           1,213,937     18,950      X      X  28-5284     18750               200

SILICON LABORATORIES INC     COM            826919102            365         12      X         28-5284        12
                                                              60,780      2,000      X      X  28-5284      2000

SILICON IMAGE INC            COM            82705T102         13,335      1,500      X      X  28-5284      1500
               COLUMN TOTAL                               19,050,773







                                                                                                                  FILE NO. 28-1235
PAGE 167 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                 
SIMON PPTY GROUP INC NEW     COM            828806109        360,890      4,869      X         28-5284      4869
                                                             849,415     11,460      X      X  28-5284     11460
                                                              33,354        450      X         28-4580       450
                                                               4,521         61      X      X  28-4580         9                52

SINCLAIR BROADCAST GROUP INC CL A           829226109            621         70      X      X  28-5284        70
                                                                 488         55      X      X  28-4580        55

SINOPEC SHANGHAI PETROCHEMIC SPON ADR H     82935M109         10,575        300      X         28-5284       300

SIRIUS SATELLITE RADIO INC   COM            82966U103        480,978     73,544      X         28-5284     73544
                                                             177,005     27,065      X      X  28-5284     27065
                                                             122,789     18,775      X      X  28-1500     18775
                                                             624,570     95,500      X         28-11439    95500
                                                              32,700      5,000      X         28-4580      5000
                                                                 118         18      X      X  28-4580        18

SIRVA INC                    COM            82967Y104        373,000     50,000      X      X  28-5284     50000

SIX FLAGS INC                COM            83001P109          3,595        500      X      X  28-1500       500

SIZELER PPTY INVS INC        COM            830137105          6,070        500      X      X  28-5284                 500

SKY FINL GROUP INC           COM            83080P103        370,152     13,168      X         28-5284     12928               240
                                                           1,107,393     39,395      X      X  28-5284     39395

SKYWORKS SOLUTIONS INC       COM            83088M102         11,239      1,601      X         28-5284      1601
                                                               7,090      1,010      X      X  28-5284       870               140
                                                              61,102      8,704      X         28-1500      8704

SLADES FERRY BANCORP         COM            830896106         13,076        700      X         28-5284       700

SMITH & NEPHEW PLC           SPDN ADR NEW   83175M205         21,230        500      X         28-5284       500
                                                             106,150      2,500      X      X  28-5284      2500

SMITH & WESSON HLDG CORP     COM            831756101         10,116      1,800      X      X  28-1500      1800

SMITH A O                    COM            831865209        100,035      3,510      X         28-5284      3510
                                                              17,100        600      X      X  28-5284                         600

SMITH INTL INC               COM            832110100      3,369,473    101,155      X         28-5284    100077              1078
                                                           1,444,055     43,352      X      X  28-5284     43252               100
                                                              10,792        324      X      X  28-4580       324
               COLUMN TOTAL                                9,729,692







                                                                                                                  FILE NO. 28-1235
PAGE 168 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
SMITHFIELD FOODS INC         COM            832248108         52,088      1,755      X         28-5284      1755

SMUCKER J M CO               COM NEW        832696405      4,750,221     97,862      X         28-5284     93759              4103
                                                           1,735,839     35,761      X      X  28-5284     34225       297    1239
                                                              18,785        387      X      X  28-1500       387
                                                             106,011      2,184      X      X  28-4580      2184

SMURFIT-STONE CONTAINER CORP COM            832727101         86,661      8,365      X         28-5284      8365

SNAP ON INC                  COM            833034101         24,562        680      X         28-5284       680
                                                              18,602        515      X      X  28-5284       515
                                                               1,625         45      X      X  28-4580        45

SOLECTRON CORP               COM            834182107         46,740     11,954      X         28-5284     11254               700
                                                               5,630      1,440      X      X  28-5284      1440
                                                                  12          3      X      X  28-1500         3

SOLEXA INC                   COM            83420X105             12          2      X         28-5284                           2

SONIC CORP                   COM            835451105            109          4      X         28-5284         4
                                                              31,917      1,167      X      X  28-5284      1167
                                                               1,012         37      X      X  28-4580        37

SONICWALL INC                COM            835470105         31,750      5,000      X         28-5284      5000

SONOCO PRODS CO              COM            835495102        468,011     17,137      X         28-5284     17137
                                                             595,795     21,816      X      X  28-5284     21816

SONOSITE INC                 COM            83568G104            979         33      X      X  28-5284        33

SONY CORP                    ADR NEW        835699307         75,009      2,260      X         28-5284      2260
                                                             372,060     11,210      X      X  28-5284      7060              4150

SONUS NETWORKS INC           COM            835916107          5,790      1,000      X      X  28-5284      1000

SOURCE CAP INC               COM            836144105        458,907      6,308      X         28-5284      6308

SOUTH FINL GROUP INC         COM            837841105          4,831        180      X         28-5284       180
                                                          11,219,120    418,000      X         28-1500    418000

SOUTH JERSEY INDS INC        COM            838518108        478,246     16,412      X         28-5284     16412
                                                           1,450,006     49,760      X      X  28-5284     48160              1600
               COLUMN TOTAL                               22,040,330







                                                                                                                  FILE NO. 28-1235
PAGE 169 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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      8,617,874    240,992      X         28-5284    237467              3525
                                                          12,033,276    336,501      X      X  28-5284    327496       600    8405
                                                             361,033     10,096      X         28-1500               10096
                                                              79,602      2,226      X         28-4580       426              1800
                                                             525,672     14,700      X      X  28-4580     11200              3500

SOUTHERN PERU COPPER CORP    COM            843611104         16,788        300      X         28-5284       300

SOUTHERN UN CO NEW           COM            844030106        889,890     34,532      X         28-5284     33792               740
                                                             200,207      7,769      X      X  28-5284      3467       450    3852

SOUTHSIDE BANCSHARES INC     COM            84470P109        121,322      6,382      X      X  28-5284      6382

SOUTHWEST AIRLS CO           COM            844741108        213,899     14,404      X         28-5284     14404
                                                             289,798     19,515      X      X  28-5284     16633              2882
                                                               5,569        375      X      X  28-1500       375
                                                              87,838      5,915      X      X  28-4580      5915

SOUTHWEST WTR CO             COM            845331107         97,484      6,723      X         28-5284      6723
                                                              84,695      5,841      X      X  28-5284      5641               200
                                                               7,613        525      X      X  28-1500       525

SOUTHWESTERN ENERGY CO       COM            845467109         36,700        500      X         28-5284       500
                                                             140,928      1,920      X      X  28-5284      1920
                                                             961,540     13,100      X      X  28-1500     13100
                                                             440,400      6,000      X      X  28-4580      6000

SOVEREIGN BANCORP INC        COM            845905108        672,903     30,531      X         28-5284     30531
                                                           1,059,088     48,053      X      X  28-5284     42053      6000
                                                           1,835,932     83,300      X         28-11439    83300
                                                              11,020        500      X      X  28-4580       500

SOVRAN SELF STORAGE INC      COM            84610H108         40,384        825      X         28-5284       825

SPECTRUM CTL INC             COM            847615101          7,410      1,000      X         28-5284      1000

SPECTRUM BRANDS INC          COM            84762L105          1,178         50      X         28-5284        50
                                                               5,888        250      X      X  28-5284       250

SPHERIX INC                  COM            84842R106        230,816    144,260      X         28-5284    144260

SPINNAKER EXPL CO            COM            84855W109         33,639        520      X         28-5284       520
               COLUMN TOTAL                               29,110,386







                                                                                                                  FILE NO. 28-1235
PAGE 170 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
SPIRIT FIN CORP              COM            848568309            900         80      X         28-5284        80

SPRINT NEXTEL CORP           COM FON        852061100      6,470,062    272,080      X         28-5284    269796              2284
                                                           8,912,268    374,780      X      X  28-5284    362598      2724    9458
                                                              21,069        886      X         28-4580       886
                                                              58,118      2,444      X      X  28-4580      2444

SS&C TECHNOLOGIES INC        COM            85227Q100          3,957        108      X         28-5284       108

STAGE STORES INC             COM NEW        85254C305          4,031        150      X         28-5284       150

STAMPS COM INC               COM NEW        852857200          2,840        165      X         28-5284       165

STANCORP FINL GROUP INC      COM            852891100         16,166        192      X         28-5284       192

STANDARD PAC CORP NEW        COM            85375C101         90,658      2,184      X         28-5284      2184
                                                               3,321         80      X      X  28-5284        80
                                                               2,906         70      X      X  28-4580        70

STANDARD PARKING CORP        COM            853790103          6,128        322      X         28-5284       322

STANLEY FURNITURE INC        COM NEW        854305208          3,352        128      X         28-5284       128
                                                              10,476        400      X      X  28-5284       400

STANLEY WKS                  COM            854616109        219,396      4,700      X         28-5284      4700
                                                              49,014      1,050      X      X  28-5284       750               300

STAPLES INC                  COM            855030102      9,425,892    442,115      X         28-5284    336029            106086
                                                           2,338,804    109,700      X      X  28-5284    107900       450    1350
                                                             130,564      6,124      X      X  28-1500      6124

STAR GAS PARTNERS L P        UNIT LTD PARTN 85512C105         16,740      6,750      X         28-5284      6750

STARBUCKS CORP               COM            855244109        481,461      9,610      X         28-5284      9610
                                                             139,779      2,790      X      X  28-5284      2790
                                                             114,228      2,280      X      X  28-1500      2280
                                                              21,343        426      X      X  28-4580                         426

STARTEK INC                  COM            85569C107        139,260     10,550      X      X  28-1500     10550

STARWOOD HOTELS&RESORTS WRLD PAIRED CTF     85590A203      1,467,325     25,666      X         28-5284     25666
                                                             768,479     13,442      X      X  28-5284     12092       550     800
               COLUMN TOTAL                               30,918,537







                                                                                                                  FILE NO. 28-1235
PAGE 171 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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      2,456,322     50,211      X         28-5284     50211
                                                           1,868,597     38,197      X      X  28-5284     35897      2300
                                                              38,647        790      X         28-4580       790
                                                             410,928      8,400      X      X  28-4580      8400

STATION CASINOS INC          COM            857689103      1,066,405     16,070      X         28-5284     16070
                                                             774,089     11,665      X      X  28-5284     11165               500
                                                               2,588         39      X      X  28-4580         7                32

STATOIL ASA                  SPONSORED ADR  85771P102         87,650      3,550      X      X  28-5284      3450               100

STEEL DYNAMICS INC           COM            858119100         24,689        727      X         28-5284       727

STEEL TECHNOLOGIES INC       COM            858147101         43,692      1,685      X         28-1500      1685

STEELCLOUD INC               COM            85815M107            442        200      X      X  28-1500       200

STEELCASE INC                CL A           858155203         17,352      1,200      X      X  28-5284      1200

STEIN MART INC               COM            858375108            508         25      X         28-5284        25
                                                               1,421         70      X      X  28-5284        70
                                                               1,320         65      X      X  28-4580        65

STERLING BANCSHARES INC      COM            858907108         13,451        915      X         28-5284       915

STERICYCLE INC               COM            858912108         80,410      1,407      X         28-5284      1407
                                                              17,145        300      X      X  28-5284                         300

STERIS CORP                  COM            859152100         71,370      3,000      X         28-5284      3000
                                                              21,411        900      X      X  28-5284       900
                                                              26,026      1,094      X      X  28-1500      1094

STERLING FINL CORP           COM            859317109        120,336      5,972      X         28-5284      5972
                                                              45,640      2,265      X      X  28-5284      2265

STEWART & STEVENSON SVCS INC COM            860342104          3,578        150      X      X  28-5284       150

STEWART ENTERPRISES INC      CL A           860370105          7,956      1,200      X      X  28-5284      1200

STMICROELECTRONICS N V       NY REGISTRY    861012102          2,074        120      X         28-5284       120

STOLT OFFSHORE S A           SP ADR REG COM 861567105          4,632        400      X      X  28-1500       400
               COLUMN TOTAL                                7,208,679







                                                                                                                  FILE NO. 28-1235
PAGE 172 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
STORA ENSO CORP              SPON ADR REP R 86210M106        212,816     15,388      X         28-5284     15388
                                                              13,830      1,000      X      X  28-5284      1000
                                                               2,157        156      X      X  28-4580       156

STRATEGIC DIAGNOSTICS INC    COM            862700101         16,400      4,000      X         28-5284      4000
                                                               1,394        340      X      X  28-5284       340

STRATTEC SEC CORP            COM            863111100        219,844      4,240      X      X  28-5284      4240

STRATUS PPTYS INC            COM NEW        863167201          5,625        300      X         28-5284       300

STRAYER ED INC               COM            863236105            473          5      X         28-5284         5

STREETTRACKS SER TR          DJ LRG CAP GRW 86330E109         21,506        450      X         28-5284       450

STREETTRACKS SER TR          DJ LRG CAP VAL 86330E208         16,654        240      X         28-5284       240

STREETTRACKS SER TR          DJ SML CAP VAL 86330E406         71,318      1,149      X      X  28-5284      1149

STREETTRACKS SER TR          WILSHIRE REIT  86330E604        656,996      9,768      X         28-5284      7713              2055
                                                           1,168,912     17,379      X      X  28-5284     12690              4689

STREETTRACKS SER TR          MORGN S HI 35T 86330E703         23,156        460      X      X  28-4580       460

STREETTRACKS GOLD TR         GOLD SHS       863307104         46,280        991      X         28-5284       991
                                                              37,360        800      X      X  28-5284       200               600
                                                              18,680        400      X      X  28-4580       400

STRIDE RITE CORP             COM            863314100            487         38      X         28-5284        38

STRYKER CORP                 COM            863667101     56,984,140  1,152,825      X         28-5284   1142450             10375
                                                          30,462,671    616,279      X      X  28-5284    599924      7060    9295
                                                             966,357     19,550      X         28-4580     19030               520
                                                             303,055      6,131      X      X  28-4580      5807               324

STUDENT LN CORP              COM            863902102          3,553         15      X      X  28-5284        15
                                                               2,369         10      X      X  28-4580        10

STURM RUGER & CO INC         COM            864159108          3,680        400      X         28-5284       400
                                                              17,480      1,900      X      X  28-1500      1900
               COLUMN TOTAL                               91,277,193







                                                                                                                  FILE NO. 28-1235
PAGE 173 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
SUBURBAN PROPANE PARTNERS L  UNIT LTD PARTN 864482104         11,476        400      X         28-5284       400
                                                               2,869        100      X      X  28-5284       100
                                                               7,029        245      X      X  28-4580       245

SUEZ                         SPONSORED ADR  864686100          2,902        100      X      X  28-5284                         100

SUN BANCORP INC              COM            86663B102         64,071      3,038      X      X  28-5284      1715              1323
                                                          11,139,590    528,193      X         28-1500    528193

SUN INC                      SDCV  6.750% 6 866762AG2      3,010,000     10,000      X      X  28-5284     10000

SUN LIFE FINL INC            COM            866796105      1,611,470     42,984      X         28-5284     33993              8991
                                                             123,867      3,304      X      X  28-5284      3304

SUN MICROSYSTEMS INC         COM            866810104        962,724    244,968      X         28-5284    138328            106640
                                                             581,168    147,880      X      X  28-5284     90330     14400   43150
                                                               4,893      1,245      X         28-1500                1245

SUNCOM WIRELESS HLDGS INC    CL A           86722Q108         17,200      5,000      X         28-5284      5000

SUNCOR ENERGY INC            COM            867229106        670,491     11,077      X         28-5284     11077
                                                             302,650      5,000      X      X  28-5284                5000
                                                              18,159        300      X      X  28-1500       300

SUNOPTA INC                  COM            8676EP108            437         90      X         28-5284        90

SUNOCO LOGISTICS PRTNRS L P  COM UNITS      86764L108        161,364      4,175      X         28-5284      4025               150
                                                             440,610     11,400      X      X  28-5284      7900      3500

SUNOCO INC                   COM            86764P109        613,557      7,846      X         28-5284      7846
                                                           4,124,268     52,740      X      X  28-5284     52540       200
                                                               3,832         49      X      X  28-4580         8                41

SUNRISE SENIOR LIVING INC    COM            86768K106          1,335         20      X      X  28-5284        20
                                                               1,001         15      X      X  28-4580        15

SUNSET FINANCIAL RESOURCES I COM            867708109         16,100      2,000      X         28-4580      2000

SUNTERRA CORP                COM NEW        86787D208          1,707        130      X         28-5284       130

SUNSTONE HOTEL INVS INC NEW  COM            867892101        276,827     11,350      X      X  28-5284     11350
               COLUMN TOTAL                               24,171,597







                                                                                                                  FILE NO. 28-1235
PAGE 174 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
SUNTRUST BKS INC             COM            867914103      3,151,433     45,377      X         28-5284     43557              1820
                                                           2,787,167     40,132      X      X  28-5284     38067      1390     675

SUPERIOR ENERGY SVCS INC     COM            868157108         23,090      1,000      X      X  28-1500      1000

SUPERIOR INDS INTL INC       COM            868168105         25,824      1,200      X      X  28-5284      1200
                                                              21,520      1,000      X         28-4580      1000

SUPERVALU INC                COM            868536103         92,738      2,980      X         28-5284                        2980
                                                             280,080      9,000      X      X  28-5284      9000

SURMODICS INC                COM            868873100         27,470        710      X         28-5284       710
                                                             696,420     18,000      X      X  28-5284     18000

SUSQUEHANNA BANCSHARES INC P COM            869099101         12,015        500      X         28-5284                         500
                                                             611,852     25,462      X      X  28-5284     23957              1505

SWIFT ENERGY CO              COM            870738101         21,274        465      X      X  28-5284        65               400
                                                               2,288         50      X      X  28-4580        50

SWIFT TRANSN CO              COM            870756103          3,540        200      X         28-5284       200

SWISS HELVETIA FD INC        COM            870875101          2,025        136      X         28-5284       136
                                                             162,673     10,925      X      X  28-5284     10925

SWISSCOM AG                  SPONSORED ADR  871013108         20,488        625      X         28-5284       625

SYBASE INC                   COM            871130100         91,338      3,900      X         28-5284       700              3200
                                                             199,070      8,500      X      X  28-5284      2300              6200

SYBRON DENTAL SPECIALTIES IN COM            871142105         27,692        666      X      X  28-5284                         666

SYCAMORE NETWORKS INC        COM            871206108            113         30      X         28-5284        30

SYMANTEC CORP                COM            871503108      5,392,106    237,957      X         28-5284    192564             45393
                                                           1,923,064     84,866      X      X  28-5284     49475             35391
                                                              59,052      2,606      X         28-1500                2606
                                                              12,327        544      X         28-4580       544
                                                              91,818      4,052      X      X  28-4580      4052
               COLUMN TOTAL                               15,738,477







                                                                                                                  FILE NO. 28-1235
PAGE 175 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
SYMBOL TECHNOLOGIES INC      COM            871508107         10,377      1,072      X         28-5284       939               133
                                                              16,350      1,689      X      X  28-1500      1689
                                                                 484         50      X         28-4580        50

SYNGENTA AG                  SPONSORED ADR  87160A100          8,337        397      X         28-5284       397
                                                              13,902        662      X      X  28-5284         5               657

SYNOVUS FINL CORP            COM            87161C105     48,067,256  1,734,028      X         28-5284   1490667            243361
                                                           5,789,183    208,845      X      X  28-5284    202745              6100
                                                             752,903     27,161      X         28-1500     16172     10989

SYNERGY FINANCIAL GROUP INC  COM            87162V102          6,195        500      X         28-5284       500

SYPRIS SOLUTIONS INC         COM            871655106         28,515      2,655      X         28-1500      1114      1541

SYSCO CORP                   COM            871829107     36,451,846  1,161,997      X         28-5284   1144388             17609
                                                          10,485,768    334,261      X      X  28-5284    326221      2300    5740
                                                              34,664      1,105      X      X  28-1500      1105
                                                             185,773      5,922      X         28-4580      5922
                                                             416,813     13,287      X      X  28-4580     13287

TBC CORP NEW                 COM            872183108          7,933        230      X         28-5284       230

TCF FINL CORP                COM            872275102      2,629,525     98,300      X         28-5284     98300
                                                             623,275     23,300      X      X  28-5284     23300

TC PIPELINES LP              UT COM LTD PRT 87233Q108        140,000      4,000      X      X  28-5284      4000

TCW CONV SECS FD INC         COM            872340104          6,855      1,371      X      X  28-5284      1371

TD BANKNORTH INC             COM            87235A101        100,607      3,338      X         28-5284      1956              1382
                                                             456,711     15,153      X      X  28-5284     10459              4694

TDK CORP                     AMERN DEP SH   872351408         21,546        300      X      X  28-5284                         300

TECO ENERGY INC              COM            872375100        392,295     21,770      X         28-5284     21770
                                                           1,132,719     62,859      X      X  28-5284     62659       200
                                                               9,010        500      X         28-1500                 500

TEL OFFSHORE TR              UNIT BEN INT   872382106          1,103        101      X      X  28-5284         1       100
               COLUMN TOTAL                              107,789,945







                                                                                                                  FILE NO. 28-1235
PAGE 176 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
TEPPCO PARTNERS L P          UT LTD PARTNER 872384102        603,722     14,870      X         28-5284     14870
                                                             284,200      7,000      X      X  28-5284      6900               100
                                                              12,180        300      X      X  28-1500       300
                                                               5,116        126      X      X  28-4580        27                99

TF FINL CORP                 COM            872391107         27,930      1,000      X      X  28-5284                        1000

TGC INDS INC                 COM NEW        872417308        261,000     30,000      X         28-5284     30000

THQ INC                      COM NEW        872443403          4,499        211      X         28-1500       211

TJX COS INC NEW              COM            872540109     37,861,540  1,848,708      X         28-5284   1676938            171770
                                                           8,891,372    434,149      X      X  28-5284    428349       300    5500
                                                             294,728     14,391      X         28-1500     14391
                                                              78,336      3,825      X         28-4580      3825
                                                             100,803      4,922      X      X  28-4580      4922

TNT N V                      SPONSORED ADR  87260W101          1,530         61      X         28-5284        61

TRC COS INC                  COM            872625108         15,600      1,000      X         28-4580      1000

TVI CORP NEW                 COM            872916101         10,000      2,500      X         28-5284      2500

TXU CORP                     COM            873168108      1,026,305      9,092      X         28-5284      9092
                                                           1,658,772     14,695      X      X  28-5284     14245       300     150
                                                              67,728        600      X      X  28-1500       600
                                                               7,450         66      X      X  28-4580        66

TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR  874039100         29,428      3,580      X         28-5284      3580
                                                              10,481      1,275      X      X  28-5284      1275

TAKE-TWO INTERACTIVE SOFTWAR COM            874054109          4,970        225      X         28-5284       225

TALBOTS INC                  COM            874161102         11,968        400      X      X  28-5284       400

TALISMAN ENERGY INC          COM            87425E103         19,536        400      X      X  28-5284       400

TALK AMERICA HLDGS INC       COM NEW        87426R202          1,886        200      X         28-5284       200
                                                           3,661,122    388,242      X                    388242

TANGER FACTORY OUTLET CTRS I COM            875465106         66,744      2,400
X         28-5284      2400
                                                              83,430      3,000
X      X  28-5284      3000
               COLUMN TOTAL                               55,102,376







                                                                                                                  FILE NO. 28-1235
PAGE 177 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
TARGET CORP                  COM            87612E106    177,006,521  3,408,560      X         28-5284   2630019      3528  775013
                                                          12,725,395    245,049      X      X  28-5284    235371      1050    8628
                                                             264,843      5,100      X         28-1500                5100
                                                             230,725      4,443      X         28-4580      4443
                                                           1,448,847     27,900      X      X  28-4580     27900

TASER INTL INC               COM            87651B104          2,160        350      X         28-5284       350
                                                                 617        100      X      X  28-5284       100

TASTY BAKING CO              COM            876553306         13,020      1,500      X         28-5284      1500
                                                               6,510        750      X      X  28-5284       750

TATA MTRS LTD                SPONSORED ADR  876568502         18,495      1,500      X         28-5284      1500
                                                              39,801      3,228      X      X  28-4580      3228

TAUBMAN CTRS INC             COM            876664103          3,804        120      X         28-5284       120

TECH DATA CORP               COM            878237106         17,033        464      X         28-5284       464

TECHNE CORP                  COM            878377100        227,920      4,000      X      X  28-5284      4000

TECHNIP NEW                  SPONSORED ADR  878546209          9,869        166      X         28-5284       166

TECHNITROL INC               COM            878555101         38,300      2,500      X      X  28-5284       500              2000

TECHNOLOGY RESH CORP         COM NEW        878727304          1,950        500      X         28-5284       500

TECUMSEH PRODS CO            CL B           878895101         38,813      1,850      X         28-5284      1850

TECUMSEH PRODS CO            CL A           878895200         86,080      4,000      X         28-5284      4000

TEGAL CORP                   COM            879008100            990      1,500      X         28-5284      1500

TEKELEC                      COM            879101103          6,599        315      X         28-5284       315

TEKTRONIX INC                COM            879131100          4,844        192      X         28-5284       192

TELE CENTRO OESTE CELULAR S  SPON ADR PFD   87923P105            109         12      X         28-5284        12

TELECOM ITALIA S P A NEW     SPON ADR ORD   87927Y102          4,205        129      X         28-5284       129

TELECOM ITALIA S P A NEW     SPON ADR SVGS  87927Y201         21,295        771      X         28-5284       771
               COLUMN TOTAL                              192,218,745







                                                                                                                  FILE NO. 28-1235
PAGE 178 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
TELECOM CORP NEW ZEALAND LTD SPONSORED ADR  879278208         10,080        300      X         28-5284       300
                                                             321,384      9,565      X      X  28-5284      9465               100
                                                             134,400      4,000      X      X  28-1500      4000
                                                              75,667      2,252      X      X  28-4580      2252

TELECOMUNICACOES BRASILEIRAS SPONSORED ADR  879287308          2,593         80      X         28-5284        80

TELECOMUNICACOES DE SAO PAUL SPON ADR PFD   87929A102          9,940        500      X         28-5284       500

TELEDYNE TECHNOLOGIES INC    COM            879360105         29,644        860      X         28-5284       860
                                                             776,540     22,528      X      X  28-5284     22528

TELEFLEX INC                 COM            879369106      3,181,877     45,133      X         28-5284     38233              6900
                                                             745,890     10,580      X      X  28-5284     10580
                                                             320,775      4,550      X      X  28-1500      4550

TELEFONICA S A               SPONSORED ADR  879382208        372,070      7,544      X         28-5284      7544
                                                             138,589      2,810      X      X  28-5284      2686               124
                                                              33,932        688      X      X  28-4580       688

TELEFONOS DE MEXICO S A      SPON ADR A SHS 879403707         74,256      3,536      X         28-5284      3536

TELEFONOS DE MEXICO S A      SPON ADR ORD L 879403780        181,391      8,528      X         28-5284      8528
                                                              59,556      2,800      X      X  28-5284      2800

TELELESTE CELULAR PART S A   SPON ADR PFD   87943B102              7          1      X         28-5284         1

TELEPHONE & DATA SYS INC     COM            879433100         19,500        500      X         28-5284       500
                                                               7,800        200      X      X  28-5284       200

TELEPHONE & DATA SYS INC     SPL COM        879433860         18,775        500      X         28-5284       500
                                                               7,510        200      X      X  28-5284       200

TELESP CELULAR PART S A      SPON ADR PFD   87952L108             43         11      X         28-5284        11

TELKONET INC                 COM            879604106         31,360      8,000      X         28-5284      8000
                                                              58,800     15,000      X      X  28-5284                       15000

TELLABS INC                  COM            879664100         14,728      1,400      X         28-5284       800               600
                                                               6,312        600      X      X  28-5284       600
                                                               3,156        300      X      X  28-1500       300
               COLUMN TOTAL                                6,636,575







                                                                                                                  FILE NO. 28-1235
PAGE 179 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
TELSTRA CORP LTD             SPON ADR FINAL 87969N204            779         50      X         28-5284        50
                                                               8,548        549      X      X  28-4580       549

TELULAR CORP                 COM NEW        87970T208            392        100      X         28-5284       100

TELUS CORP                   NON-VTG SHS    87971M202          6,111        150      X      X  28-5284       150

TEMPLE INLAND INC            COM            879868107         48,203      1,180      X         28-5284      1180
                                                             127,452      3,120      X      X  28-5284      3120

TEMPLETON DRAGON FD INC      COM            88018T101         21,505      1,100      X         28-5284      1100
                                                             426,190     21,800      X      X  28-5284     21800

TEMPLETON EMERGING MKTS FD I COM            880191101        105,046      5,300      X      X  28-5284      5300

TEMPLETON EMERG MKTS INCOME  COM            880192109         76,139      5,558      X         28-5284      5558
                                                             109,058      7,961      X      X  28-5284      4500              3461

TEMPLETON GLOBAL INCOME FD   COM            880198106        162,498     18,721      X         28-5284     18721
                                                              60,760      7,000      X      X  28-5284      7000

TENET HEALTHCARE CORP        COM            88033G100          7,917        705      X         28-5284       705

TENNANT CO                   COM            880345103         16,392        400      X      X  28-1500       400

TENNECO AUTOMOTIVE INC       COM            880349105            193         11      X         28-5284        11
                                                                 105          6      X      X  28-5284         6

TERADYNE INC                 COM            880770102        226,628     13,735      X         28-5284     13735
                                                              52,206      3,164      X      X  28-5284      2742       422
                                                             105,600      6,400      X      X  28-4580      6400

TEREX CORP NEW               COM            880779103         46,959        950      X         28-5284       950
                                                             865,025     17,500      X      X  28-1500     17500

TESORO CORP                  COM            881609101          3,362         50      X      X  28-5284        50
                                                               4,572         68      X      X  28-4580        14                54

TETRA TECH INC NEW           COM            88162G103         11,236        668      X         28-5284       668
               COLUMN TOTAL                                2,492,876







                                                                                                                  FILE NO. 28-1235
PAGE 180 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
TEVA PHARMACEUTICAL INDS LTD ADR            881624209     21,629,992    647,217      X         28-5284    636204             11013
                                                          10,294,530    308,035      X      X  28-5284    293015      6120    8900
                                                              32,952        986      X         28-1500       986
                                                              59,855      1,791      X      X  28-1500      1791
                                                             838,842     25,100      X         28-11439    25100
                                                             355,255     10,630      X         28-4580     10630
                                                             100,093      2,995      X      X  28-4580      2995

TESSERA TECHNOLOGIES INC     COM            88164L100         13,460        450      X         28-5284       450

TEXAS INDS INC               COM            882491103         43,520        800      X         28-5284       800
                                                             446,080      8,200      X      X  28-5284      7000              1200

TEXAS INSTRS INC             COM            882508104     43,650,454  1,287,624      X         28-5284   1226849             60775
                                                          33,855,489    998,687      X      X  28-5284    964982      9265   24440
                                                              62,037      1,830      X         28-1500      1330       500
                                                             547,451     16,149      X         28-4580     15449               700
                                                             127,939      3,774      X      X  28-4580      3774

TEXAS PAC LD TR              SUB CTF PROP I 882610108         15,855        100      X      X  28-5284       100

TEXAS REGL BANCSHARES INC    CL A VTG       882673106          1,583         55      X         28-5284        55

TEXAS ROADHOUSE INC          CL A           882681109         52,984      3,556      X         28-1500      3556

TEXTRON INC                  COM            883203101        824,923     11,502      X         28-5284      9902      1600
                                                           1,218,164     16,985      X      X  28-5284     15185      1800

THERMO ELECTRON CORP         COM            883556102         94,863      3,070      X         28-5284      1670              1400
                                                             106,605      3,450      X      X  28-5284      3450

THERMOVIEW INDS INC          COM NEW        883671505          1,000      4,000      X         28-5284      4000

THOMAS & BETTS CORP          COM            884315102        380,575     11,060      X         28-5284      9460              1600
                                                             131,412      3,819      X      X  28-5284      3819

THOMSON CORP                 COM            884903105         15,004        400      X      X  28-5284       400

THOR INDS INC                COM            885160101          3,400        100      X         28-5284       100
                                                             161,500      4,750      X      X  28-5284      2750              2000

THORATEC CORP                COM NEW        885175307          5,328        300      X         28-5284       300
               COLUMN TOTAL                              115,071,145







                                                                                                                  FILE NO. 28-1235
PAGE 181 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
THORNBURG MTG INC            COM            885218107        268,142     10,700      X         28-5284     10700
                                                             596,428     23,800      X      X  28-5284     22100              1700
                                                              28,193      1,125      X      X  28-1500      1125
                                                              25,060      1,000      X         28-4580      1000
                                                               9,122        364      X      X  28-4580       364

3COM CORP                    COM            885535104          5,712      1,400      X         28-5284      1400
                                                               2,856        700      X      X  28-5284       100               600
                                                              68,846     16,874      X         28-1500     16874

3M CO                        COM            88579Y101    118,477,060  1,615,009      X         28-5284   1547429      1070   66510
                                                          92,745,600  1,264,253      X      X  28-5284   1212736     13487   38030
                                                             825,960     11,259      X         28-1500        30     11229
                                                           3,672,842     50,066      X         28-4580     50066
                                                           6,030,779     82,208      X      X  28-4580     79076              3132

TIBCO SOFTWARE INC           COM            88632Q103         87,839     10,507      X         28-1500     10507

TIDEWATER INC                COM            886423102        209,281      4,300      X         28-5284      4300

TIFFANY & CO NEW             COM            886547108        318,955      8,020      X         28-5284      7970                50
                                                             188,112      4,730      X      X  28-5284      2830              1900
                                                               5,886        148      X      X  28-1500       148

TIM PARTICIPACOES S A        SPONS ADR PFD  88706P106            130          7      X         28-5284         7

TIME WARNER INC              COM            887317105      7,887,068    435,509      X         28-5284    366590             68919
                                                           5,409,439    298,699      X      X  28-5284    209843     30141   58715
                                                             193,922     10,708      X         28-1500               10708
                                                             179,289      9,900      X         28-4580      9900
                                                               9,055        500      X      X  28-4580       500

TIMKEN CO                    COM            887389104          5,274        178      X      X  28-5284       178

TITANIUM METALS CORP         COM NEW        888339207        126,592      3,200      X         28-5284      3200
                                                              19,780        500      X      X  28-5284       500

TODCO                        CL A           88889T107        458,810     11,000      X         28-5284     11000
                                                               8,342        200      X      X  28-5284       200
                                                              41,710      1,000      X      X  28-1500      1000
               COLUMN TOTAL                              237,906,084







                                                                                                                  FILE NO. 28-1235
PAGE 182 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
TOLL BROTHERS INC            COM            889478103        553,238     12,385      X         28-5284     12145               240
                                                             190,071      4,255      X      X  28-5284      2175       980    1100
                                                               2,234         50      X         28-4580        50

TOLLGRADE COMMUNICATIONS INC COM            889542106         68,103      8,050      X         28-5284      8050

TOM ONLINE INC               ADR REG S      889728200         32,505      1,650      X         28-5284      1650
                                                             522,050     26,500      X      X  28-5284     26500

TOMKINS PLC                  SPONSORED ADR  890030208         16,587        806      X         28-5284       806

TOMPKINSTRUSTCO INC          COM            890110109         10,467        242      X         28-5284                         242

TOOTSIE ROLL INDS INC        COM            890516107      2,185,067     68,821      X         28-5284     54747             14074
                                                              89,154      2,808      X      X  28-5284      2808

TOPPS INC                    COM            890786106         22,167      2,700      X      X  28-5284      2700

TORCHMARK CORP               COM            891027104        348,678      6,600      X         28-5284      6600
                                                             211,320      4,000      X      X  28-5284      4000

TORO CO                      COM            891092108         17,461        475      X         28-5284       475
                                                             338,192      9,200      X      X  28-5284      9200

TORONTO DOMINION BK ONT      COM NEW        891160509         19,728        400      X         28-5284       400
                                                             225,244      4,567      X      X  28-5284      4567

TORTOISE ENERGY INFRSTRCTR C COM            89147L100         31,600      1,000      X      X  28-5284      1000

TOTAL S A                    SPONSORED ADR  89151E109        684,125      5,037      X         28-5284      4637               400
                                                           1,487,093     10,949      X      X  28-5284      7261      2933     755
                                                              24,855        183      X      X  28-4580       147                36

TOWN & CTRY TR               SH BEN INT     892081100         87,060      3,000      X         28-5284      3000

TOYOTA MOTOR CORP            SP ADR REP2COM 892331307        321,632      3,482      X         28-5284      3282               200
                                                             198,134      2,145      X      X  28-5284      2145
                                                              16,811        182      X      X  28-4580       182

TRACTOR SUPPLY CO            COM            892356106         19,219        421      X         28-5284       421
                                                               2,283         50      X      X  28-5284        50
                                                              73,999      1,621      X      X  28-1500      1621
               COLUMN TOTAL                                7,799,077







                                                                                                                  FILE NO. 28-1235
PAGE 183 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
TRANSACTION SYS ARCHITECTS   COM            893416107         44,003      1,580      X         28-5284      1580
                                                             919,050     33,000      X      X  28-5284     33000

TRANSAMERICA INCOME SHS INC  COM            893506105          8,904        400      X      X  28-5284       400

TRANSATLANTIC HLDGS INC      COM            893521104        131,784      2,312      X         28-5284      2312
                                                               2,451         43      X      X  28-5284        43

TRANSCANADA CORP             COM            89353D107        126,783      4,150      X         28-5284      4150
                                                             307,028     10,050      X      X  28-5284      6050              4000

TRANSMERIDIAN EXPL INC       COM            89376N108        103,750     25,000      X      X  28-1500     25000

TRANSMETA CORP DEL           COM            89376R109          1,420      1,000      X         28-5284      1000

TRAVELERS PPTY CAS CORP NEW  NT CV JR 2032  89420G307         51,055      2,122      X         28-5284      2122
                                                               9,768        406      X      X  28-5284       406

TREDEGAR CORP                COM            894650100          7,806        600      X      X  28-4580       600

TREEHOUSE FOODS INC          COM            89469A104         60,480      2,250      X         28-5284      2250
                                                              42,148      1,568      X      X  28-5284      1568
                                                              14,327        533      X      X  28-1500       533

TREX INC                     COM            89531P105         48,000      2,000      X      X  28-5284      2000

TRI CONTL CORP               COM            895436103        110,856      6,071      X         28-5284      6071
                                                             356,380     19,517      X      X  28-5284     17483              2034

TRIAD HOSPITALS INC          COM            89579K109         76,325      1,686      X         28-5284      1655                31
                                                                 589         13      X      X  28-5284        13

TRIAD GTY INC                COM            895925105         10,158        259      X      X  28-5284       259

TRIARC COS INC               CL A           895927101          7,157        426      X         28-5284       426

TRIBUNE CO NEW               COM            896047107        961,730     28,378      X         28-5284     28378
                                                             763,542     22,530      X      X  28-5284     19519      1186    1825

TRIKON TECHNOLOGIES INC      COM NEW        896187408          1,700      1,000      X         28-5284      1000

TRIMBLE NAVIGATION LTD       COM            896239100          6,738        200      X      X  28-1500       200
               COLUMN TOTAL                                4,173,932







                                                                                                                  FILE NO. 28-1235
PAGE 184 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
TRINITY BIOTECH PLC          SPON ADR NEW   896438306          5,550        750      X      X  28-5284       750

TRINITY INDS INC             COM            896522109        216,014      5,335      X         28-5284      5335

TRIZEC PROPERTIES INC        COM            89687P107         18,679        810      X         28-5284       810

TRIPATH IMAGING INC          COM            896942109          7,060      1,000      X         28-5284      1000

TRUSTCO BK CORP N Y          COM            898349105         43,166      3,445      X      X  28-5284      3445

TRUSTMARK CORP               COM            898402102         27,850      1,000      X         28-5284      1000
                                                              85,193      3,059      X      X  28-1500      3059

TRUSTREET PPTYS INC          COM            898404108         28,718      1,835      X      X  28-5284      1685               150

TUESDAY MORNING CORP         COM NEW        899035505          7,761        300      X         28-5284       300

TUPPERWARE CORP              COM            899896104         52,622      2,310      X         28-5284      2310
                                                              89,935      3,948      X      X  28-5284      3948

TURBOCHEF TECHNOLOGIES INC   COM NEW        900006206         46,770      3,000      X      X  28-5284      3000

TURKISH INVT FD INC          COM            900145103         98,550      5,000      X         28-5284      5000

TUTOGEN MEDICAL INC          COM            901107102         32,768      7,186      X         28-5284      7186

II VI INC                    COM            902104108         58,542      3,300      X         28-5284      3300
                                                             712,013     40,136      X      X  28-5284     40136

TYCO INTL LTD NEW            COM            902124106     33,203,856  1,192,239      X         28-5284    989819            202420
                                                          12,989,881    466,423      X      X  28-5284    368142      1749   96532
                                                             743,456     26,695      X         28-1500     13158     13537
                                                           1,738,508     62,424      X         28-11439    62424
                                                              29,410      1,056      X         28-4580      1056
                                                             195,507      7,020      X      X  28-4580      7020

TYLER TECHNOLOGIES INC       COM            902252105          1,126        136      X      X  28-5284       136
                                                               9,605      1,160      X      X  28-1500      1160

TYSON FOODS INC              CL A           902494103         72,128      3,996      X         28-5284      3996
                                                               2,996        166      X      X  28-5284       166

UCBH HOLDINGS INC            COM            90262T308          7,332        400      X      X  28-5284       400
               COLUMN TOTAL                               50,524,996







                                                                                                                  FILE NO. 28-1235
PAGE 185 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
UGI CORP NEW                 COM            902681105        444,263     15,782      X         28-5284     15782
                                                             483,167     17,164      X      X  28-5284     17164

UIL HLDG CORP                COM            902748102         10,462        200      X         28-5284       200
                                                              23,540        450      X      X  28-5284       450

UST INC                      COM            902911106        407,800      9,742      X         28-5284      9742
                                                           4,493,713    107,351      X      X  28-5284    107151               200
                                                              54,418      1,300      X         28-4580      1300

USA TRUCK INC                COM            902925106         73,117      2,890      X      X  28-1500      2890

US BANCORP DEL               COM NEW        902973304     98,463,222  3,506,525      X         28-5284   3246637            259888
                                                          14,961,277    532,809      X      X  28-5284    500246      7751   24812
                                                          10,909,052    388,499      X         28-1500    331808     56691
                                                              58,098      2,069      X         28-4580      2069

USANA HEALTH SCIENCES INC    COM            90328M107         41,499        870      X         28-5284       870
                                                             763,200     16,000      X      X  28-5284     16000

U S G CORP                   COM NEW        903293405         82,945      1,207      X         28-5284      1207
                                                             206,641      3,007      X      X  28-5284      3007

USEC INC                     COM            90333E108         66,960      6,000      X         28-5284      6000
                                                              11,160      1,000      X      X  28-5284      1000

USI HLDGS CORP               COM            90333H101          3,546        273      X         28-5284       273

U S HOME SYS INC             COM            90335C100          4,161        730      X         28-5284       730

U S PHYSICAL THERAPY INC     COM            90337L108         43,675      2,405      X         28-1500      2205       200

ULTIMATE SOFTWARE GROUP INC  COM            90385D107          4,034        219      X         28-5284       219

ULTRALIFE BATTERIES INC      COM            903899102          3,359        260      X         28-5284       260

ULTRA PETROLEUM CORP         COM            903914109         85,889      1,510      X         28-5284      1510
                                                             307,152      5,400      X         28-11439     5400
                                                               5,119         90      X      X  28-4580        11                79

UNIFIRST CORP MASS           COM            904708104        175,350      5,000      X         28-5284      5000
               COLUMN TOTAL                              132,186,819







                                                                                                                  FILE NO. 28-1235
PAGE 186 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
UNILEVER PLC                 SPON ADR NEW   904767704         35,043        830      X         28-5284       830
                                                              93,348      2,211      X      X  28-5284      2011               200
                                                              39,687        940      X      X  28-4580       940

UNILEVER N V                 N Y SHS NEW    904784709     14,081,866    197,087      X         28-5284    192382              4705
                                                          11,130,052    155,774      X      X  28-5284    150899              4875
                                                             162,620      2,276      X         28-4580      2176               100
                                                              62,447        874      X      X  28-4580       874

UNION BANKSHARES INC         COM            905400107         85,520      4,000      X      X  28-5284      4000

UNION PAC CORP               COM            907818108     21,681,291    302,389      X         28-5284    291932             10457
                                                          12,882,626    179,674      X      X  28-5284    168200      1604    9870
                                                               5,521         77      X         28-1500                  77
                                                             222,629      3,105      X         28-4580      3105
                                                             260,988      3,640      X      X  28-4580      3640

UNIONBANCAL CORP             COM            908906100      7,174,188    102,900      X         28-1500    102900

UNISYS CORP                  COM            909214108         22,941      3,455      X         28-5284      3455
                                                               6,560        988      X      X  28-5284       988

UNIT CORP                    COM            909218109         33,168        600      X         28-5284       600
                                                           1,055,848     19,100      X      X  28-5284     19100

UNITED AMER INDEMNITY LTD    CL A           90933T109     45,497,637  2,487,569      X      X  28-5284             2487569

UNITED BANKSHARES INC WEST V COM            909907107        987,967     28,268      X         28-5284     28268
                                                             109,044      3,120      X      X  28-5284      3120

UNITED BANCORP INC OHIO      COM            909911109         46,501      3,735      X         28-5284      3735

UNITED DOMINION REALTY TR IN COM            910197102        134,948      5,694      X         28-5284      5694
                                                             327,771     13,830      X      X  28-5284     13830

UNITED FIRE & CAS CO         COM            910331107          2,707         60      X         28-5284        60
                                                              13,533        300      X      X  28-5284       300

UNITED NAT FOODS INC         COM            911163103          6,365        180      X         28-5284       180
                                                             223,829      6,330      X      X  28-5284      6330

UNITED ONLINE INC            COM            911268100          6,357        459      X         28-1500       459
               COLUMN TOTAL                              116,393,002







                                                                                                                  FILE NO. 28-1235
PAGE 187 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
UNITED PARCEL SERVICE INC    CL B           911312106     73,723,412  1,066,446      X         28-5284   1011406             55040
                                                          23,003,353    332,755      X      X  28-5284    329105      2000    1650
                                                             120,286      1,740      X         28-1500                1740
                                                              55,304        800      X         28-4580       800
                                                              33,182        480      X      X  28-4580       480

UNITED SEC BANCSHARES INC    SHS            911459105      3,331,079    121,395      X         28-1500    121395

UNITED STATES STL CORP NEW   COM            912909108      5,793,226    136,794      X         28-5284    136794
                                                              73,308      1,731      X      X  28-5284      1731

UNITED SURGICAL PARTNERS INT COM            913016309        146,663      3,750      X         28-5284      3300               450

UNITED TECHNOLOGIES CORP     COM            913017109    103,010,124  1,987,078      X         28-5284   1956393             30685
                                                          69,822,570  1,346,886      X      X  28-5284   1292799     18088   35999
                                                              99,325      1,916      X         28-1500                1916
                                                           2,384,796     46,003      X         28-4580     45409               594
                                                           1,696,931     32,734      X      X  28-4580     32592               142

UNITED THERAPEUTICS CORP DEL COM            91307C102         82,713      1,185      X         28-5284      1185

UNITED UTILS PLC             SPONSORED ADR  91311Q105         35,075      1,497      X         28-5284      1497

UNITEDHEALTH GROUP INC       COM            91324P102     24,503,706    436,009      X         28-5284    396857             39152
                                                           7,093,676    126,222      X      X  28-5284    102662      1460   22100
                                                           1,452,770     25,850      X         28-1500               25850
                                                           1,607,882     28,610      X         28-4580     28610
                                                               5,620        100      X      X  28-4580       100

UNITRIN INC                  COM            913275103         81,774      1,723      X         28-5284       923               800

UNIVERSAL AMERN FINL CORP    COM            913377107          6,822        300      X         28-5284       300

UNIVERSAL COMPRESSION HLDGS  COM            913431102          8,869        223      X         28-5284       223

UNIVERSAL CORP VA            COM            913456109         38,830      1,000      X      X  28-5284      1000

UNIVERSAL DISPLAY CORP       COM            91347P105         22,300      2,000      X         28-5284                        2000

UNIVERSAL FST PRODS INC      COM            913543104          8,025        140      X      X  28-5284       140

UNIVERSAL HEALTH RLTY INCM T SH BEN INT     91359E105        151,288      4,550      X      X  28-5284      3200              1350
               COLUMN TOTAL                              318,392,909







                                                                                                                  FILE NO. 28-1235
PAGE 188 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED   ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL -------------- MANAGERS --------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH INSTR V   (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ -------- -------- --------- -------
                                                                                                
UNIVERSAL TRUCKLOAD SVCS INC COM            91388P105          5,295        285      X         28-5284       285

UNIVERSAL HLTH SVCS INC      CL B           913903100         31,769        667      X         28-5284       667
                                                             161,942      3,400      X      X  28-5284      2200              1200

UNIVISION COMMUNICATIONS INC CL A           914906102        132,650      5,000      X      X  28-5284      5000

UNIVEST CORP PA              COM            915271100        155,531      5,625      X      X  28-5284      5625

UNIZAN FINANCIAL CORP        COM            91528W101         14,526        600      X         28-5284       600
                                                              79,893      3,300      X      X  28-5284                        3300

UNOVA INC                    COM            91529B106         18,225        521      X         28-5284       521
                                                              41,976      1,200      X      X  28-5284      1200

UNUMPROVIDENT CORP           COM            91529Y106        340,300     16,600      X         28-5284     13800              2800
                                                             191,327      9,333      X      X  28-5284      9333

UPM KYMMENE CORP             SPONSORED ADR  915436109          2,817        140      X         28-5284       140
                                                               9,537        474      X      X  28-4580       474

URBAN OUTFITTERS INC         COM            917047102         52,508      1,786      X         28-5284      1786
                                                           1,152,480     39,200      X      X  28-5284     39200

URSTADT BIDDLE PPTYS INS     COM            917286106          1,608        100      X         28-5284       100

URSTADT BIDDLE PPTYS INS     CL A           917286205         16,676      1,100      X         28-5284      1100

UTSTARCOM INC                COM            918076100          4,902        600      X         28-5284       600
                                                             376,637     46,100      X         28-11439    46100

VA SOFTWARE CORP             COM            91819B105            450        300      X      X  28-1500       300

V F CORP                     COM            918204108        861,318     14,858      X         28-5284     14858
                                                        1241,737,574 21,420,348      X      X  28-5284  21420348
                                                          28,156,319    485,705      X      X  28-4580    485705

VAALCO ENERGY INC            COM NEW        91851C201          8,080      2,000      X      X  28-1500      2000

VAIL BANKS INC               COM            918779109        974,400     69,600      X         28-1500     69600

VAIL RESORTS INC             COM            91879Q109          3,105        108      X         28-5284       108
               COLUMN TOTAL                            1,274,531,845







                                                                                                                  FILE NO. 28-1235
PAGE 189 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
VALHI INC NEW                COM            918905100          6,635        369      X         28-5284       369
                                                                 108          6      X      X  28-5284         6

VALERO L P                   COM UT LTD PRT 91913W104        177,835      3,121      X         28-5284      3121
                                                             232,194      4,075      X      X  28-5284      3075      1000

VALERO ENERGY CORP NEW       COM            91913Y100        833,252      7,370      X         28-5284      7370
                                                             768,808      6,800      X      X  28-5284      6800
                                                           3,327,130     29,428      X      X  28-1500     29428
                                                              22,612        200      X         28-4580       200
                                                              10,175         90      X      X  28-4580        61                29

VALLEY NATL BANCORP          COM            919794107        536,410     23,424      X         28-5284     23424
                                                             317,623     13,870      X      X  28-5284     12822              1048

VALSPAR CORP                 COM            920355104         10,733        480      X         28-5284       480
                                                             403,598     18,050      X      X  28-5284     18050
                                                                 894         40      X      X  28-4580        40

VALUECLICK INC               COM            92046N102          1,248         73      X         28-5284        73
                                                              23,977      1,403      X      X  28-5284      1403

VALUEVISION MEDIA INC        CL A           92047K107          1,056         93      X         28-5284        93

VAN KAMPEN MUN INCOME TR     COM            920909108        124,762     14,226      X         28-5284     14226

VAN KAMPEN MUN TR            SH BEN INT     920919107         95,503      6,646      X         28-5284      6646

VAN KAMPEN OHIO QUALITY MUN  COM            920923109         40,875      2,500      X         28-5284      2500

VAN KAMPEN PA QUALITY MUN TR COM            920924107        392,508     26,485      X         28-5284     26485
                                                             451,225     30,447      X      X  28-5284     30447

VAN KAMPEN TR INSD MUNS      COM            920928108         54,442      3,765      X         28-5284      3765

VAN KAMPEN TR INVT GRADE MUN COM            920929106         10,437        700      X         28-5284       700
                                                              19,875      1,333      X      X  28-5284      1333

VAN KAMPEN TR INVT GRADE N J COM            920933108          5,412        328      X      X  28-5284       328

VAN KAMPEN TR INVT GRADE PA  COM            920934106        314,908     21,050      X         28-5284     21050
                                                             251,597     16,818      X      X  28-5284     16818
               COLUMN TOTAL                                8,435,832







                                                                                                                  FILE NO. 28-1235
PAGE 190 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
VAN KAMPEN MUN OPPORTUNITY T COM            920935103          4,374        300      X      X  28-5284       300

VAN KAMPEN ADVANTAGE PA MUN  SH BEN INT     920937109         17,940      1,200      X         28-5284      1200
                                                               7,475        500      X      X  28-5284       500

VAN KAMPEN STRATEGIC SECTOR  COM            920943107         10,600        836      X         28-5284       836

VAN KAMPEN BD FD             COM            920955101          3,508        200      X      X  28-5284       200

VAN KAMPEN SENIOR INCOME TR  COM            920961109          7,940      1,000      X         28-5284      1000

VAN KAMPEN SELECT SECTOR MUN COM            92112M103         50,360      4,000      X         28-5284      4000

VAN KAMPEN MASS VALUE MUN IN COM SH BEN INT 92112R102         16,520      1,000      X      X  28-5284      1000

VAN KAMPEN PA VALUE MUN INCO COM            92112T108         55,017      3,735      X         28-5284      3735

VAN KAMPEN ADVANTAGE MUN INC SH BEN INT     921124103         86,990      5,946      X         28-5284      5946

VAN KAMPEN VALUE MUN INCOME  COM            921132106         84,330      6,142      X         28-5284      6142
                                                              27,460      2,000      X      X  28-1500      2000

VANGUARD SECTOR INDEX FDS    UTILS VIPERS   92204A876         41,946        600      X      X  28-4580       600

VANGUARD INTL EQUITY INDEX F EMR MKT VIPERS 922042858        109,497      1,900      X      X  28-5284      1900

VARIAN MED SYS INC           COM            92220P105     18,883,409    477,940      X         28-5284    464190             13750
                                                           4,511,173    114,178      X      X  28-5284    108078      4000    2100
                                                              33,860        857      X         28-1500       857
                                                             160,806      4,070      X      X  28-1500      4070
                                                              31,608        800      X         28-4580       800
                                                              67,167      1,700      X      X  28-4580      1700

VARIAN INC                   COM            922206107          1,785         52      X         28-5284        52
                                                               6,864        200      X      X  28-5284       200

VARIAN SEMICONDUCTOR EQUIPMN COM            922207105          8,474        200      X      X  28-5284       200

VASCULAR SOLUTIONS INC       COM            92231M109         14,835      1,500      X      X  28-5284                        1500

VASOGEN INC                  COM            92232F103         29,540     14,000      X         28-5284     14000

VASOMEDICAL INC              COM            922321104            550      1,000      X         28-5284      1000
               COLUMN TOTAL                               24,274,028







                                                                                                                  FILE NO. 28-1235
PAGE 191 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
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        306,152     10,799      X         28-5284     10799
                                                             371,187     13,093      X      X  28-5284     13093

VECTOR GROUP LTD             COM            92240M108         13,907        695      X         28-5284       695
                                                             488,064     24,391      X      X  28-5284     24391

VENTAS INC                   COM            92276F100        454,728     14,122      X         28-5284      9771              4351
                                                             218,606      6,789      X      X  28-5284      6789

VENTANA MED SYS INC          COM            92276H106         22,461        590      X         28-5284       590
                                                             494,910     13,000      X      X  28-5284     13000

VANGUARD INDEX TR            EXT MKT VIPERS 922908652         64,034        719      X      X  28-5284       719

VANGUARD INDEX TR            STK MRK VIPERS 922908769     10,875,266     89,619      X         28-5284     89419               200
                                                           1,623,542     13,379      X      X  28-5284     13147               232

VERITY INC                   COM            92343C106          2,974        280      X         28-5284       280

VERISIGN INC                 COM            92343E102         57,699      2,700      X         28-5284       900              1800
                                                             241,481     11,300      X      X  28-5284      6300              5000
                                                               3,996        187      X      X  28-4580       187

VERITAS DGC INC              COM            92343P107          8,240        225      X      X  28-5284       225

VERIZON COMMUNICATIONS       COM            92343V104     73,905,715  2,260,805      X         28-5284   2236595      1466   22744
                                                          92,967,320  2,843,907      X      X  28-5284   2451837     25518  366552
                                                             162,960      4,985      X         28-1500        61      4924
                                                           1,304,691     39,911      X         28-4580     39267               644
                                                           1,572,160     48,093      X      X  28-4580     47134               959

VERMONT TEDDY BEAR INC       COM            92427X109      5,550,438    867,256      X      X  28-5284    867256

VIAD CORP                    COM NEW        92552R406         16,054        587      X         28-5284       587
                                                               9,573        350      X      X  28-5284       350

VIASAT INC                   COM            92552V100         74,334      2,898      X         28-1500      2898

VIACOM INC                   CL A           925524100        396,514     11,936      X         28-5284     10585              1351
                                                             110,789      3,335      X      X  28-5284      3185               150
               COLUMN TOTAL                              191,317,795







                                                                                                                  FILE NO. 28-1235
PAGE 192 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
VIACOM INC                   CL B           925524308     16,832,921    509,934      X         28-5284    462564             47370
                                                           8,086,955    244,985      X      X  28-5284    228990      1235   14760
                                                              41,890      1,269      X         28-1500      1269
                                                              59,550      1,804      X      X  28-1500      1804
                                                             110,584      3,350      X         28-4580      3350
                                                             409,720     12,412      X      X  28-4580     12412

VIASYS HEALTHCARE INC        COM NEW        92553Q209            725         29      X      X  28-5284        29

VICAL INC                    COM            925602104         15,252      3,100      X      X  28-1500      3100

VICOR CORP                   COM            925815102         21,210      1,400      X         28-5284      1400

VIISAGE TECHNOLOGY INC       COM            92675K106         20,750      5,000      X         28-5284      5000

VILLAGE BK & TR FINANCIAL CO COM            92705T101        400,320     32,000      X      X  28-5284     32000

VILLAGE BK & TR FINANCIAL CO *W EXP 09/27/2 92705T119         30,000     12,000      X      X  28-5284     12000

VINTAGE PETE INC             COM            927460105        182,640      4,000      X      X  28-5284      4000

VIRAGEN INC                  COM NEW        927638403             75        150      X         28-5284       150

VIRGINIA FINL GROUP INC      COM            927810101          1,803         50      X         28-5284        50

VIROPHARMA INC               COM            928241108          6,760        325      X         28-5284       325
                                                             450,632     21,665      X      X  28-5284     21665

VISHAY INTERTECHNOLOGY INC   COM            928298108        227,887     19,070      X         28-5284     19070
                                                              97,906      8,193      X      X  28-5284      8193

VISTEON CORP                 COM            92839U107         11,795      1,206      X         28-5284      1206
                                                               8,714        891      X      X  28-5284       891
                                                             185,820     19,000      X         28-11439    19000
                                                               1,956        200      X         28-4580       200

VITESSE SEMICONDUCTOR CORP   COM            928497106         28,686     15,340      X         28-5284     15340
                                                             151,470     81,000      X      X  28-5284      3200             77800
                                                                 655        350      X      X  28-1500       350

VIVENDI UNIVERSAL            SPON ADR NEW   92851S204         33,254      1,016      X         28-5284      1016
                                                              52,368      1,600      X      X  28-5284      1600
                                                                 982         30      X      X  28-1500        30
               COLUMN TOTAL                               27,473,280







                                                                                                                  FILE NO. 28-1235
PAGE 193 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
VODAFONE GROUP PLC NEW       SPONSORED ADR  92857W100      4,801,697    184,894      X         28-5284    120444             64450
                                                           5,194,987    200,038      X      X  28-5284    158015       800   41223
                                                              64,925      2,500      X         28-1500                2500
                                                              43,110      1,660      X         28-4580      1660
                                                              29,216      1,125      X      X  28-4580      1125

VOLVO AKTIEBOLAGET           ADR B          928856400          5,463        125      X         28-5284       125

VORNADO RLTY TR              SH BEN INT     929042109        310,100      3,580      X         28-5284      3580
                                                             426,863      4,928      X      X  28-5284      4928
                                                              34,648        400      X      X  28-1500       400

VULCAN INTL CORP             COM            929136109        619,423     11,578      X         28-5284     11578

VULCAN MATLS CO              COM            929160109      3,769,349     50,793      X         28-5284     11540             39253
                                                             315,021      4,245      X      X  28-5284      3595               650

WCI CMNTYS INC               COM            92923C104          5,674        200      X         28-5284       200

WD-40 CO                     COM            929236107          4,560        172      X         28-5284       172

WGL HLDGS INC                COM            92924F106         45,657      1,421      X         28-5284      1421
                                                             355,743     11,072      X      X  28-5284      5972              5100

W-H ENERGY SVCS INC          COM            92925E108         16,210        500      X      X  28-1500       500

W HLDG CO INC                COM            929251106          7,572        792      X         28-5284       792

WMS INDS INC                 COM            929297109        632,925     22,500      X      X  28-1500     22500

W P CAREY & CO LLC           COM            92930Y107      1,004,574     37,317      X         28-5284     37317
                                                             803,885     29,862      X      X  28-5284     29862

WPP GROUP PLC                SPON ADR NEW   929309300          3,834         75      X         28-5284        75

WPS RESOURCES CORP           COM            92931B106        243,454      4,212      X         28-5284      4212
                                                             715,275     12,375      X      X  28-5284     12375
                                                             289,000      5,000      X      X  28-4580      5000

WSFS FINL CORP               COM            929328102         58,890      1,000      X         28-5284       300               700
                                                             100,113      1,700      X      X  28-5284                        1700
                                                              15,253        259      X         28-4580       259
               COLUMN TOTAL                               19,917,421







                                                                                                                  FILE NO. 28-1235
PAGE 194 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
WVS FINL CORP                COM            929358109         32,200      2,000      X         28-5284      2000

WABASH NATL CORP             COM            929566107          2,556        130      X         28-5284       130

WABTEC CORP                  COM            929740108      2,554,772     93,650      X         28-5284     15000             78650
                                                           4,674,292    171,345      X      X  28-5284      1200            170145
                                                          10,077,287    369,402      X      X  28-4580    369402

WACHOVIA CORP 2ND NEW        COM            929903102     39,690,298    834,005      X         28-5284    786138             47867
                                                          49,898,829  1,048,515      X      X  28-5284    997850     10769   39896
                                                          11,480,707    241,242      X         28-1500    238942      2300
                                                           1,371,211     28,813      X         28-4580     28813
                                                           1,658,987     34,860      X      X  28-4580     34860

WACOAL CORP                  ADR            930004205         21,122        321      X         28-5284       321

WADDELL & REED FINL INC      CL A           930059100         23,232      1,200      X         28-5284      1200

WAL MART STORES INC          COM            931142103    101,191,861  2,309,262      X         28-5284   2207946      3045   98271
                                                          70,881,172  1,617,553      X      X  28-5284   1547940     25975   43638
                                                             308,361      7,037      X         28-1500                7037
                                                           1,646,054     37,564      X         28-4580     37011               553
                                                             881,352     20,113      X      X  28-4580     18813              1300

WALGREEN CO                  COM            931422109     69,999,818  1,611,043      X         28-5284   1309014            302029
                                                          37,786,510    869,655      X      X  28-5284    853540      1600   14515
                                                           1,070,651     24,641      X         28-1500      1574     23067
                                                             934,175     21,500      X         28-11439    21500
                                                             170,541      3,925      X         28-4580      3925
                                                             651,750     15,000      X      X  28-4580     15000

WALTER INDS INC              COM            93317Q105         24,460        500      X         28-5284       500

WARNACO GROUP INC            COM NEW        934390402          7,165        327      X         28-5284       327

WASHINGTON FED INC           COM            938824109         10,851        481      X         28-5284       481

WASHINGTON MUT INC           COM            939322103     64,077,714  1,633,802      X         28-5284   1489483            144319
                                                          14,945,409    381,066      X      X  28-5284    337372      5339   38355
                                                             848,682     21,639      X         28-1500      9773     11866
                                                           3,486,658     88,900      X         28-11439    88900
                                                              46,084      1,175      X         28-4580      1175
                                                             266,696      6,800      X      X  28-4580      6800
               COLUMN TOTAL                              490,721,457







                                                                                                                  FILE NO. 28-1235
PAGE 195 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
WASHINGTON POST CO           CL B           939640108        260,010        324      X         28-5284       324
                                                             730,275        910      X      X  28-5284       750               160
                                                               2,408          3      X      X  28-4580                           3

WASHINGTON REAL ESTATE INVT  SH BEN INT     939653101         65,331      2,100      X         28-5284      2100
                                                             188,216      6,050      X      X  28-5284      3040      2400     610
                                                              77,775      2,500      X      X  28-4580      2500

WASHINGTON SVGBK FSB WALDRF  COM            939696100         22,775      2,500      X      X  28-5284      2500

WASHINGTON TR BANCORP        COM            940610108        111,343      4,095      X      X  28-5284      4095

WASTE CONNECTIONS INC        COM            941053100          4,455        127      X         28-5284       127
                                                              17,540        500      X      X  28-5284                         500

WASTE MGMT INC DEL           COM            94106L109      2,480,258     86,692      X         28-5284     33392             53300
                                                           1,561,219     54,569      X      X  28-5284     20969             33600
                                                              21,400        748      X      X  28-1500       748
                                                               2,060         72      X         28-4580        72

WATERS CORP                  COM            941848103     39,375,107    946,517      X         28-5284    810937            135580
                                                           5,999,011    144,207      X      X  28-5284    141950              2257
                                                             998,691     24,007      X         28-1500     12047     11960

WATSCO INC                   COM            942622200          2,656         50      X      X  28-5284        50
                                                               2,124         40      X      X  28-4580        40

WATSON PHARMACEUTICALS INC   COM            942683103        856,088     23,384      X         28-5284     23384
                                                              23,797        650      X      X  28-5284                         650
                                                               6,260        171      X      X  28-1500       171

WATTS WATER TECHNOLOGIES INC CL A           942749102         28,850      1,000      X      X  28-5284      1000

WAUSAU PAPER CORP            COM            943315101         37,530      3,000      X      X  28-5284      3000

WAVE SYSTEMS CORP            CL A           943526103          6,510      7,000      X         28-5284      7000

WEBEX COMMUNICATIONS INC     COM            94767L109         52,697      2,150      X         28-5284      2150
                                                               2,451        100      X      X  28-5284       100

WEBSENSE INC                 COM            947684106          3,687         72      X         28-5284        72
               COLUMN TOTAL                               52,940,524







                                                                                                                  FILE NO. 28-1235
PAGE 196 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                               
WEBMD CORP                   COM            94769M105         12,676      1,144      X         28-5284      1144
                                                               5,540        500      X      X  28-5284       500

WEBSTER FINL CORP CONN       COM            947890109         62,944      1,400      X         28-5284       500               900
                                                             396,547      8,820      X      X  28-5284      4820      2000    2000

WEINGARTEN RLTY INVS         SH BEN INT     948741103         56,775      1,500      X         28-5284      1500
                                                             471,233     12,450      X      X  28-5284     10950              1500
                                                              34,065        900      X      X  28-1500       900

WEIS MKTS INC                COM            948849104         10,003        250      X         28-5284       250

WELLCARE HEALTH PLANS INC    COM            94946T106         14,820        400      X      X  28-5284                         400

WELLCHOICE INC               COM            949475107          6,072         80      X         28-5284        80

WELLPOINT INC                COM            94973V107     25,197,640    332,335      X         28-5284    324664              7671
                                                           7,109,035     93,762      X      X  28-5284     73212      4850   15700
                                                              18,273        241      X         28-1500                 241
                                                             783,751     10,337      X         28-4580     10127               210
                                                              74,759        986      X      X  28-4580       986

WELLS FARGO & CO NEW         COM            949746101    103,816,262  1,772,516      X         28-5284   1759761             12755
                                                         202,317,590  3,454,287      X      X  28-5284   3393573     26280   34434
                                                             150,232      2,565      X         28-1500                2565
                                                             304,564      5,200      X         28-11439     5200
                                                           1,190,025     20,318      X         28-4580     20318
                                                             960,197     16,394      X      X  28-4580     16394

WENDYS INTL INC              COM            950590109        397,772      8,810      X         28-5284      8670               140
                                                              65,738      1,456      X      X  28-5284       520       936
                                                               2,574         57      X      X  28-4580        57

WERNER ENTERPRISES INC       COM            950755108         43,225      2,500      X         28-5284      2500

WESBANCO INC                 COM            950810101      2,122,010     77,164      X         28-5284     77164
                                                             519,338     18,885      X      X  28-5284     18885

WEST PHARMACEUTICAL SVSC INC COM            955306105         19,879        670      X      X  28-5284                         670

WESTAIM CORP                 COM            956909105          1,690        500      X         28-5284       500
               COLUMN TOTAL                              346,165,229







                                                                                                                  FILE NO. 28-1235
PAGE 197 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
WESTAR ENERGY INC            COM            95709T100         58,129      2,409      X         28-5284      2409
                                                              52,097      2,159      X      X  28-5284      1350               809

WESTAMERICA BANCORPORATION   COM            957090103        113,630      2,200      X      X  28-5284      2200

WESTERN GAS RES INC          COM            958259103        285,761      5,578      X         28-5284      5578
                                                              29,713        580      X      X  28-5284       580

WESTMORELAND COAL CO         COM            960878106         13,830        500      X      X  28-5284       500

WEYERHAEUSER CO              COM            962166104        856,763     12,462      X         28-5284     12462
                                                           1,616,863     23,518      X      X  28-5284     23518
                                                               4,538         66      X         28-1500                  66

WHEELING PITTSBURGH CORP     COM NEW        963142302         21,749      1,300      X      X  28-5284      1300

WHIRLPOOL CORP               COM            963320106        165,709      2,187      X         28-5284      2187
                                                             113,655      1,500      X      X  28-5284      1100               400

WHITE ELECTR DESIGNS CORP    COM            963801105          2,550        500      X         28-5284       500

WHITING PETE CORP NEW        COM            966387102          4,822        110      X         28-5284       110
                                                              78,912      1,800      X      X  28-5284      1800

WHITNEY HLDG CORP            COM            966612103         64,896      2,400      X         28-5284       600              1800
                                                             427,097     15,795      X      X  28-5284     11595              4200

WHOLE FOODS MKT INC          COM            966837106        534,170      3,973      X         28-5284      3248               725
                                                             328,730      2,445      X      X  28-5284      2070               375

WILD OATS MARKETS INC        COM            96808B107         12,860      1,000      X         28-5284      1000

WILEY JOHN & SONS INC        CL A           968223206         91,828      2,200      X         28-5284       400              1800
                                                             304,702      7,300      X      X  28-5284      2200              5100

WILLBROS GROUP INC           COM            969199108         10,509        663      X      X  28-1500       663

WILLIAMS COAL SEAM GAS RTY T TR UNIT        969450105          4,992        240      X      X  28-5284                         240

WILLIAMS COS INC DEL         COM            969457100        571,491     22,814      X         28-5284     22814
                                                             113,978      4,550      X      X  28-5284      3550              1000
               COLUMN TOTAL                                5,883,974







                                                                                                                  FILE NO. 28-1235
PAGE 198 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
WILLIAMS SONOMA INC          COM            969904101         38,350      1,000      X         28-5284      1000
                                                              15,340        400      X      X  28-5284       400

WILLOW GROVE BANCORP INC NEW COM            97111W101         40,393      2,581      X         28-5284      2581

WILMINGTON TRUST CORP        COM            971807102      2,783,286     76,359      X         28-5284     76159               200
                                                           1,172,779     32,175      X      X  28-5284     30525              1650
                                                           1,273,271     34,932      X         28-4580     34932
                                                           4,050,032    111,112      X      X  28-4580    108883              2229

WIND RIVER SYSTEMS INC       COM            973149107          2,586        200      X         28-5284       200

WINDROSE MED PPTYS TR        COM            973491103         21,270      1,392      X      X  28-1500      1392

WINNEBAGO INDS INC           COM            974637100            695         24      X         28-5284        24
                                                              47,366      1,635      X      X  28-5284        35              1600
                                                                 724         25      X      X  28-4580        25

WINTRUST FINANCIAL CORP      COM            97650W108            302          6      X         28-5284         6

WIRELESS FACILITIES INC      COM            97653A103         72,274     12,461      X         28-1500     12461

WISCONSIN ENERGY CORP        COM            976657106        235,488      5,899      X         28-5284      5899
                                                             214,570      5,375      X      X  28-5284      5375

WORLD WRESTLING ENTMT INC    CL A           98156Q108          1,040         80      X      X  28-5284        80

WORTHINGTON INDS INC         COM            981811102        336,480     16,000      X         28-5284     16000
                                                              98,841      4,700      X      X  28-5284      4700

WRIGHT EXPRESS CORP          COM            98233Q105          4,318        200      X         28-5284       200

WRIGLEY WM JR CO             COM            982526105     27,139,803    377,571      X         28-5284    371181              6390
                                                           8,855,113    123,193      X      X  28-5284    116473      4260    2460
                                                              68,717        956      X      X  28-1500       956
                                                             788,092     10,964      X         28-4580     10673               291
                                                             654,683      9,108      X      X  28-4580      8939               169
               COLUMN TOTAL                               47,915,813







                                                                                                                  FILE NO. 28-1235
PAGE 199 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                              
WYETH                        COM            983024100    143,598,251  3,103,485      X         28-5284   2908963            194522
                                                         122,239,695  2,641,878      X      X  28-5284   2382412     44141  215325
                                                             585,223     12,648      X         28-1500      6592      6056
                                                           2,537,910     54,850      X         28-11439    54850
                                                           3,468,260     74,957      X         28-4580     74414               543
                                                           4,754,520    102,756      X      X  28-4580     99696              3060

WYNN RESORTS LTD             COM            983134107            903         20      X      X  28-5284        20
                                                               1,400         31      X      X  28-4580         6                25

XM SATELLITE RADIO HLDGS INC CL A           983759101        156,029      4,345      X         28-5284      4105               240
                                                             316,008      8,800      X      X  28-5284      8800
                                                             165,186      4,600      X      X  28-1500      4600
                                                              71,820      2,000      X         28-4580      2000
                                                               3,842        107      X      X  28-4580       107

XTO ENERGY INC               COM            98385X106        203,895      4,499      X         28-5284      4499
                                                             745,333     16,446      X      X  28-5284     16446
                                                              95,489      2,107      X      X  28-1500      2107

XCEL ENERGY INC              COM            98389B100        438,480     22,360      X         28-5284     22360
                                                             977,088     49,826      X      X  28-5284     41093      8533     200
                                                              13,727        700      X         28-1500                 700
                                                             102,050      5,204      X      X  28-4580      5204

XILINX INC                   COM            983919101      1,120,963     40,250      X         28-5284     40250
                                                             111,679      4,010      X      X  28-5284      1110              2900
                                                               5,570        200      X      X  28-1500       200

XENOPORT INC                 COM            98411C100         16,500      1,000      X         28-5284      1000

XEROX CORP                   COM            984121103        841,359     61,638      X         28-5284     11638             50000
                                                             588,902     43,143      X      X  28-5284     15210       333   27600
                                                               5,665        415      X         28-4580       415
                                                              54,627      4,002      X      X  28-4580      4002

YAK COMMUNICATIONS INC       COM            984208207            878        200      X      X  28-5284       200

YADKIN VY BK&TR CO ELKIN N C COM            984308106        213,520     15,700      X         28-5284     15700
               COLUMN TOTAL                              283,434,772







                                                                                                                  FILE NO. 28-1235
PAGE 200 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
YAHOO INC                    COM            984332106        366,995     10,845      X         28-5284     10595               250
                                                             443,101     13,094      X      X  28-5284     13094
                                                               3,384        100      X         28-1500                 100
                                                              10,829        320      X      X  28-4580       320

YANKEE CANDLE INC            COM            984757104          4,900        200      X      X  28-1500       200

YANZHOU COAL MNG CO LTD      SPON ADR H SHS 984846105          8,000        200      X         28-5284       200
                                                               8,000        200      X      X  28-5284       200

YARDVILLE NATL BANCORP       COM            985021104         52,875      1,500      X         28-5284                        1500
                                                              77,550      2,200      X      X  28-5284                        2200

YELLOW ROADWAY CORP          COM            985577105        105,952      2,558      X         28-5284      2558

YORK WTR CO                  COM            987184108         13,695        530      X         28-5284       530

YUM BRANDS INC               COM            988498101      7,495,514    154,834      X         28-5284    151714       800    2320
                                                           3,401,625     70,267      X      X  28-5284     59377      2820    8070
                                                              41,875        865      X         28-4580       865
                                                              14,717        304      X      X  28-4580       304

ZALE CORP NEW                COM            988858106          5,436        200      X         28-5284       200
                                                             112,797      4,150      X      X  28-5284      4150

ZEBRA TECHNOLOGIES CORP      CL A           989207105          9,303        238      X         28-5284       238
                                                              23,728        607      X      X  28-1500       607

ZENITH NATL INS CORP         COM            989390109        313,450      5,000      X      X  28-5284      5000

ZIMMER HLDGS INC             COM            98956P102     37,344,305    542,086      X         28-5284    520729             21357
                                                          16,947,560    246,009      X      X  28-5284    230415      5608    9986
                                                              35,823        520      X         28-1500                 520
                                                             227,475      3,302      X         28-4580      3302
                                                           1,222,522     17,746      X      X  28-4580     17426               320

ZIONS BANCORPORATION         COM            989701107         58,044        815      X         28-5284       815
                                                             128,908      1,810      X      X  28-5284       220      1590

ZIX CORP                     COM            98974P100          1,000        500      X         28-5284       500

ZORAN CORP                   COM            98975F101        120,463      8,424      X         28-1500      8424
               COLUMN TOTAL                               68,599,826







                                                                                                                  FILE NO. 28-1235
PAGE 201 OF 201                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.       AS OF 09/30/05

                                                                                    ITEM 6:
                                                                                   INVESTMENT                    ITEM 8:
                                                                       ITEM 5:    DISCRETION                VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR    (B)SHARED    ITEM 7:          (SHARES)
    ITEM 1:                     ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL --------------  MANAGERS -------------------------
NAME OF ISSUER               TITLE OF CLASS  NUMBER       VALUE        AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ --------- ------- --------- -------
                                                                                                
ZWEIG FD                     COM            989834106          3,266        614      X         28-5284       614
                                                               4,315        811      X      X  28-5284       811

ZWEIG TOTAL RETURN FD INC    COM            989837109         20,374      3,987      X      X  28-5284      2764              1223
                                                               9,137      1,788      X         28-4580      1788

ZOLL MED CORP                COM            989922109         44,591      1,700      X         28-5284      1700
               COLUMN TOTAL                                   81,683
                GRAND TOTAL                           23,762,352,420







PAGE 1 OF 1                       FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/05

         ENTITY TOTALS                                  FAIR MARKET                             ENTITY                 UNITS
----------------------------                          --------------                           ---------         -----------------
                                                                                                              
                                                      22,768,206,279                           28-5284                 506,490,300
                                                         311,119,905                           28-1500                  10,490,438
                                                         107,339,533                           28-11439                  3,380,988
                                                         571,148,915                           28-4580                  12,410,632
                                                           4,537,788                                                       721,575
    GRAND TOTALS                                      23,762,352,420                                                   533,493,933
NUMBER OF ISSUES                                               2,863