UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 Form 13F Form 13F COVER PAGE Report for the Calendar Year or Quarter Ended: March 31, 2011 Check here if Amendment [_]; Amendment Number: ----------- This Amendment (Check only one.): [_] is a restatement. [_] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: The PNC Financial Services Group, Inc. Address: 249 Fifth Avenue Pittsburgh, PA 15222-2707 Form 13F File Number: 28-1235 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing the Report on behalf of Reporting Manager: Name: Joseph C. Guyaux Title: President Phone: (412) 762-2569 Signature, Place, and Date of Signing: /s/ Joseph C. Guyaux Pittsburgh, PA May 6, 2011 -------------------- -------------- ---------------- [Signature] [City, State] [Date] Report Type (Check only one.): [X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) [_] 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) [_] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).) List of Other Managers Reporting for this Manager: Form 13F File Number Name -------------------- ----- None None Page 2 Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 5 Form 13F Information Table Entry Total: 3,256 Form 13F Information Table Value Total: $40,635,534 (thousands) List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. No. Form 13F File Number Name --- -------------------- ------------------------------ 1 28-4750 PNC Bancorp, Inc. 2 28-5284 PNC Bank, National Association 3 28-13605 PNC Capital Advisors, LLC 4 28-13663 PNC Delaware Trust Company 5 28-11439 PNC Equity Securities, LLC FILE NO. 28-1235 PAGE 1 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ DEUTSCHE BANK AG NAMEN AKT D18190898 124,047 2,100 X 28-5284 2100 28,590 484 X X 28-5284 484 AMDOCS LTD ORD G02602103 93,647 3,246 X 28-5284 2716 530 59,373 2,058 X X 28-5284 2058 ARCH CAP GROUP LTD ORD G0450A105 268,706 2,709 X 28-5284 2709 1,024,038 10,324 X X 28-5284 10324 228,831 2,307 X 28-13605 2307 ARGO GROUP INTL HLDGS LTD COM G0464B107 40,639 1,230 X X 28-5284 1230 ASPEN INSURANCE HOLDINGS LTD SHS G05384105 33,844 1,228 X X 28-5284 728 500 94,751 3,438 X 28-13605 3438 ASSURED GUARANTY LTD COM G0585R106 190,720 12,800 X 28-5284 12800 18,312 1,229 X X 28-5284 1229 AXIS CAPITAL HOLDINGS SHS G0692U109 136,712 3,915 X 28-5284 491 3424 63,624 1,822 X X 28-5284 1822 ENERGY XXI (BERMUDA) LTD USD UNRS SHS G10082140 818 24 X X 28-5284 24 ACCENTURE PLC IRELAND SHS CLASS A G1151C101 7,359,384 133,880 X 28-5284 133495 385 4,526,120 82,338 X X 28-5284 81588 100 650 13,743 250 X X 28-13663 250 BROOKFIELD INFRAST PARTNERS LP INT UNIT G16252101 24,131 1,086 X 28-5284 1086 933 42 X X 28-5284 18 24 BUNGE LIMITED COM G16962105 207,732 2,872 X 28-5284 2872 522,006 7,217 X X 28-5284 2317 4900 5,280 73 X 28-13663 73 CENTRAL EUROPEAN MEDIA ENTRP CL A NEW G20045202 274 13 X 28-5284 13 3,812 181 X X 28-5284 181 CHINA YUCHAI INTL LTD COM G21082105 7,333 250 X X 28-5284 250 227,513 7,757 X 28-13605 7757 CONSOLIDATED WATER CO INC ORD G23773107 10,628 975 X 28-5284 975 COLUMN TOTAL 15,315,541 FILE NO. 28-1235 PAGE 2 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ COOPER INDUSTRIES PLC SHS G24140108 29,684,287 457,385 X 28-5284 445215 12170 7,445,458 114,722 X X 28-5284 112621 15 2086 34,945,405 538,450 X 28-13605 501758 36692 7,491,732 115,435 X X 28-13605 109796 440 5199 350,265 5,397 X 28-13663 5397 103,840 1,600 X X 28-13663 1600 CREDICORP LTD COM G2519Y108 10,493 100 X 28-5284 100 COSAN LTD SHS A G25343107 25,800 2,000 X 28-5284 2000 25,800 2,000 X X 28-5284 2000 ENDURANCE SPECIALTY HLDGS LT SHS G30397106 4,882 100 X 28-5284 100 24,215 496 X X 28-5284 496 275,052 5,634 X 28-13605 5634 ENSTAR GROUP LIMITED SHS G3075P101 249,700 2,500 X 28-5284 2500 39,952 400 X X 28-5284 400 ASA LIMITED SHS G3156P103 11,792 372 X 28-5284 372 4,755,000 150,000 X X 28-5284 150000 EVEREST RE GROUP LTD COM G3223R108 53,173 603 X 28-5284 603 57,317 650 X X 28-5284 650 259,249 2,940 X 28-13605 2940 91,884 1,042 X X 28-13605 1042 FABRINET SHS G3323L100 645 32 X X 28-5284 32 FRONTLINE LTD SHS G3682E127 12,385 500 X 28-5284 500 68,662 2,772 X X 28-5284 2772 GENPACT LIMITED SHS G3922B107 17,738 1,225 X 28-5284 1225 GREENLIGHT CAPITAL RE LTD CLASS A G4095J109 541,068 19,180 X 28-5284 19180 240,913 8,540 X X 28-5284 8540 53,881 1,910 X 28-13663 1910 HELEN OF TROY CORP LTD COM G4388N106 14,700 500 X 28-5284 500 HERBALIFE LTD COM USD SHS G4412G101 266,617 3,277 X 28-5284 720 2557 351,801 4,324 X X 28-5284 604 3720 9,112 112 X 28-13663 112 COLUMN TOTAL 87,482,818 FILE NO. 28-1235 PAGE 3 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ INGERSOLL-RAND PLC SHS G47791101 7,407,179 153,326 X 28-5284 152622 704 11,799,718 244,250 X X 28-5284 230064 14 14172 539,091 11,159 X 28-13605 1632 9527 676 14 X X 28-13605 14 14,493 300 X 28-13663 300 82,610 1,710 X X 28-13663 1710 INVESCO LTD SHS G491BT108 3,342,916 130,787 X 28-5284 125484 5303 1,126,531 44,074 X X 28-5284 44040 34 4,585,847 179,415 X 28-13605 100088 79327 298,515 11,679 X X 28-13605 11299 380 43,375 1,697 X 28-13663 1560 137 14,084 551 X X 28-13663 551 LAZARD LTD SHS A G54050102 307,817 7,403 X 28-5284 7403 77,921 1,874 X X 28-5284 1874 MARVELL TECHNOLOGY GROUP LTD ORD G5876H105 1,342,929 86,362 X 28-5284 86362 274,660 17,663 X X 28-5284 16463 300 900 31,100 2,000 X 28-13663 2000 MONTPELIER RE HOLDINGS LTD SHS G62185106 353,400 20,000 X 28-5284 20000 1,129,343 63,913 X 28-13605 63913 6,556 371 X X 28-13605 371 228,400 12,925 X 28-13605 12925 NABORS INDUSTRIES LTD SHS G6359F103 3,193,576 105,121 X 28-5284 104460 661 1,993,262 65,611 X X 28-5284 63631 1980 4,237,706 139,490 X 28-13605 131247 8243 34,694 1,142 X 28-13663 1142 NORDIC AMERICAN TANKER SHIPP COM G65773106 53,406 2,150 X 28-5284 2150 28,566 1,150 X X 28-5284 1150 ONEBEACON INSURANCE GROUP LT CL A G67742109 1,637 121 X X 28-5284 121 PARTNERRE LTD COM G6852T105 29,715 375 X 28-5284 375 43,503 549 X X 28-5284 549 860,863 10,864 X 28-13605 10864 4,279 54 X X 28-13605 54 PLATINUM UNDERWRITER HLDGS L COM G7127P100 2,666 70 X 28-5284 70 952 25 X X 28-5284 25 COLUMN TOTAL 43,491,986 FILE NO. 28-1235 PAGE 4 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ RENAISSANCERE HOLDINGS LTD COM G7496G103 1,380 20 X 28-5284 20 25,940 376 X X 28-5284 376 SEADRILL LIMITED SHS G7945E105 6,009,046 166,594 X 28-5284 161314 5280 2,028,469 56,237 X X 28-5284 47891 8346 4,201,578 116,484 X 28-13605 69677 46807 301,689 8,364 X X 28-13605 8089 275 63,844 1,770 X 28-13663 1550 220 129,852 3,600 X X 28-13663 3600 SEAGATE TECHNOLOGY PLC SHS G7945M107 21,319 1,480 X 28-5284 1480 202,578 14,063 X X 28-5284 14063 SHIP FINANCE INTERNATIONAL L SHS G81075106 24,876 1,200 X X 28-5284 1200 SIGNET JEWELERS LIMITED SHS G81276100 173,173 3,763 X 28-5284 3763 402,353 8,743 X X 28-5284 568 8175 483,854 10,514 X 28-13605 10514 SINA CORP ORD G81477104 112,927 1,055 X 28-5284 1000 55 16,591 155 X X 28-5284 155 UTI WORLDWIDE INC ORD G87210103 11,275 559 X X 28-5284 559 TEXTAINER GROUP HOLDINGS LTD SHS G8766E109 14,864 400 X X 28-5284 300 100 TRANSATLANTIC PETROLEUM LTD SHS G89982105 4,743 1,530 X 28-5284 1530 3,100 1,000 X X 28-5284 1000 VALIDUS HOLDINGS LTD COM SHS G9319H102 42,696 1,281 X X 28-5284 512 769 WARNER CHILCOTT PLC IRELAND SHS A G94368100 4,303 185 X 28-5284 185 169,728 7,297 X X 28-5284 6997 300 GOLAR LNG LTD BERMUDA SHS G9456A100 94,723 3,703 X X 28-5284 3703 WHITE MTNS INS GROUP LTD COM G9618E107 105,618 290 X 28-5284 290 344,533 946 X X 28-5284 51 895 WILLIS GROUP HOLDINGS PUBLIC SHS G96666105 253,985 6,293 X 28-5284 2500 3793 807,402 20,005 X X 28-5284 2075 17930 XOMA LTD SHS G9825R206 558 200 X 28-5284 200 COLUMN TOTAL 16,056,997 FILE NO. 28-1235 PAGE 5 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ XL GROUP PLC SHS G98290102 49,840 2,026 X 28-5284 111 1915 309,222 12,570 X X 28-5284 2236 34 10300 218,177 8,869 X 28-13605 1297 7572 836 34 X X 28-13605 34 3,149 128 X 28-13663 128 13,948 567 X X 28-13663 567 ACE LTD SHS H0023R105 9,172,648 141,772 X 28-5284 140940 832 4,322,154 66,803 X X 28-5284 56283 10520 758,543 11,724 X 28-13605 1712 10012 152,369 2,355 X 28-13663 2278 77 42,055 650 X X 28-13663 650 ALCON INC COM SHS H01301102 5,496,753 33,211 X 28-5284 20096 13115 4,676,651 28,256 X X 28-5284 24666 3590 76,300 461 X 28-13663 81 380 ALLIED WRLD ASSUR COM HLDG A SHS H01531104 20,061 320 X X 28-5284 320 483,841 7,718 X 28-13605 7718 WEATHERFORD INTERNATIONAL LT REG SHS H27013103 1,232,536 54,537 X 28-5284 53404 1133 1,192,941 52,785 X X 28-5284 45520 18 7247 407 18 X X 28-13605 18 22,600 1,000 X 28-13663 1000 FOSTER WHEELER AG COM H27178104 1,642,188 43,652 X 28-5284 42052 1600 1,501,565 39,914 X X 28-5284 26465 6000 7449 35,363 940 X 28-13663 940 GARMIN LTD SHS H2906T109 112,347 3,318 X 28-5284 3318 161,038 4,756 X X 28-5284 1756 3000 LOGITECH INTL S A SHS H50430232 21,339 1,177 X 28-5284 900 277 155,845 8,596 X X 28-5284 721 7875 4,587 253 X 28-13663 253 NOBLE CORPORATION BAAR NAMEN -AKT H5833N103 6,815,947 149,407 X 28-5284 147778 1629 2,539,620 55,669 X X 28-5284 46850 152 8667 5,338,270 117,016 X 28-13605 108095 8921 157,024 3,442 X X 28-13605 3442 9,124 200 X 28-13663 200 37,408 820 X X 28-13663 820 COLUMN TOTAL 46,776,696 FILE NO. 28-1235 PAGE 6 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ TRANSOCEAN LTD REG SHS H8817H100 4,527,180 58,078 X 28-5284 56268 1810 3,934,370 50,473 X X 28-5284 35552 208 14713 9,198 118 X X 28-13605 118 14,031 180 X 28-13663 180 TYCO INTERNATIONAL LTD SHS H89128104 1,685,814 37,655 X 28-5284 34567 3088 2,686,603 60,009 X X 28-5284 59292 281 436 801,965 17,913 X 28-13605 2620 15293 4,835 108 X 28-13663 108 50,903 1,137 X X 28-13663 1137 UBS AG SHS NEW H89231338 163,677 9,068 X 28-5284 5220 3848 193,821 10,738 X X 28-5284 3517 7221 MILLICOM INTL CELLULAR S A SHS NEW L6388F110 28,851 300 X 28-5284 300 CELLCOM ISRAEL LTD SHS M2196U109 9,936 300 X 28-5284 300 82,800 2,500 X X 28-5284 2500 CERAGON NETWORKS LTD ORD M22013102 66,440 5,500 X 28-5284 5500 CHECK POINT SOFTWARE TECH LT ORD M22465104 176,071 3,449 X 28-5284 3242 207 77,698 1,522 X X 28-5284 1522 116,445 2,281 X X 28-13663 2281 ELBIT SYS LTD ORD M3760D101 303,435 5,500 X X 28-5284 5500 EZCHIP SEMICONDUCTOR LIMITED ORD M4146Y108 120,062 4,050 X X 28-5284 2000 2050 MELLANOX TECHNOLOGIES LTD SHS M51363113 1,135 45 X X 28-5284 45 GIVEN IMAGING ORD SHS M52020100 137,970 7,000 X X 28-5284 7000 ORBOTECH LTD ORD M75253100 45,547 3,550 X X 28-5284 3550 ASML HOLDING N V NY REG SHS N07059186 2,740,800 61,591 X 28-5284 6049 55542 558,208 12,544 X X 28-5284 454 12090 66,305 1,490 X 28-13663 1490 CNH GLOBAL N V SHS NEW N20935206 87,390 1,800 X 28-5284 1800 8,545 176 X X 28-5284 176 COLUMN TOTAL 18,700,035 FILE NO. 28-1235 PAGE 7 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CORE LABORATORIES N V COM N22717107 14,455,012 141,480 X 28-5284 138765 2715 2,215,454 21,684 X X 28-5284 21484 200 21,281,091 208,291 X 28-13605 204233 4058 4,333,132 42,411 X X 28-13605 40369 150 1892 58,237 570 X 28-13663 445 125 30,651 300 X X 28-13663 300 NIELSEN HOLDINGS N V COM N63218106 409,650 15,000 X X 28-5284 15000 ORTHOFIX INTL N V COM N6748L102 192,812 5,940 X X 28-5284 5940 QIAGEN N V ORD N72482107 2,393,930 119,398 X 28-5284 1202 118196 516,849 25,778 X X 28-5284 12168 13610 75,208 3,751 X 28-13663 348 3403 SENSATA TECHNOLOGIES HLDG BV SHS N7902X106 3,473 100 X X 28-5284 100 VISTAPRINT N V SHS N93540107 196,909 3,794 X X 28-5284 1044 2750 COPA HOLDINGS SA CL A P31076105 1,690 32 X 28-5284 32 8,448 160 X X 28-5284 160 SINOVAC BIOTECH LTD SHS P8696W104 453 100 X X 28-5284 100 ROYAL CARIBBEAN CRUISES LTD COM V7780T103 59,208 1,435 X 28-5284 1435 47,903 1,161 X X 28-5284 1161 AVAGO TECHNOLOGIES LTD SHS Y0486S104 277,194 8,913 X 28-5284 3546 5367 451,541 14,519 X X 28-5284 1177 13342 7,464 240 X 28-13663 240 DIANA SHIPPING INC COM Y2066G104 5,920 500 X 28-5284 500 781,440 66,000 X X 28-5284 66000 DIANA CONTAINERSHIPS INC COM Y2069P101 194 16 X 28-5284 16 388 32 X X 28-5284 32 DRYSHIPS INC SHS Y2109Q101 8,910 1,800 X 28-5284 1800 2,475 500 X X 28-5284 500 EAGLE BULK SHIPPING INC COM Y2187A101 11,160 3,000 X X 28-5284 3000 COLUMN TOTAL 47,826,796 FILE NO. 28-1235 PAGE 8 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ FLEXTRONICS INTL LTD ORD Y2573F102 84,740 11,344 X 28-5284 9974 1370 60,813 8,141 X X 28-5284 8141 GENCO SHIPPING & TRADING LTD SHS Y2685T107 32,310 3,000 X X 28-5284 3000 GENERAL MARITIME CORP NEW SHS Y2693R101 2,329 1,136 X X 28-5284 1136 NAVIOS MARITIME HOLDINGS INC COM Y62196103 3,352 588 X 28-5284 588 NAVIOS MARITIME PARTNERS L P UNIT LPI Y62267102 4,066 200 X 28-5284 200 113,848 5,600 X X 28-5284 5600 SEASPAN CORP SHS Y75638109 4,357 224 X 28-5284 224 126,425 6,500 X X 28-5284 5500 1000 TEEKAY LNG PARTNERS L P PRTNRSP UNITS Y8564M105 623,200 15,200 X 28-5284 15200 1,141,850 27,850 X X 28-5284 25850 2000 TEEKAY CORPORATION COM Y8564W103 28,842 781 X X 28-5284 781 TEEKAY OFFSHORE PARTNERS L P PARTNERSHIP UN Y8565J101 130,662 4,284 X X 28-5284 4284 VERIGY LTD SHS Y93691106 2,931 208 X 28-5284 208 51,372 3,646 X X 28-5284 340 84 3222 3,410 242 X X 28-13605 242 AAON INC COM PAR $0.004 000360206 42,770 1,300 X X 28-5284 1300 AAR CORP COM 000361105 20,707 747 X 28-5284 377 370 2,883 104 X X 28-5284 104 ABB LTD SPONSORED ADR 000375204 4,693,223 194,015 X 28-5284 137070 56945 4,434,946 183,338 X X 28-5284 141913 41425 73,780 3,050 X 28-13663 1500 1550 79,005 3,266 X X 28-13663 2252 1014 ACCO BRANDS CORP COM 00081T108 9,292 974 X 28-5284 974 6,831 716 X X 28-5284 666 50 ACNB CORP COM 000868109 100,832 6,302 X 28-5284 4871 1431 13,056 816 X X 28-5284 211 605 ABM INDS INC COM 000957100 11,172 440 X 28-5284 440 COLUMN TOTAL 11,903,004 FILE NO. 28-1235 PAGE 9 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ AFC ENTERPRISES INC COM 00104Q107 116,894 7,726 X 28-13605 7726 AFLAC INC COM 001055102 2,125,767 40,276 X 28-5284 32375 7901 3,139,038 59,474 X X 28-5284 55065 39 4370 894,568 16,949 X 28-13605 2475 14474 2,058 39 X X 28-13605 39 18,209 345 X 28-13663 85 260 14,515 275 X X 28-13663 275 AGCO CORP COM 001084102 101,035 1,838 X X 28-5284 1838 AGIC EQUITY & CONV INCOME FD COM 00119P102 55,844 2,886 X 28-5284 2886 AGIC CONV & INCOME FD COM 001190107 21,900 2,000 X 28-5284 2000 AGIC CONV & INCOME FD II COM 001191105 24,848 2,470 X 28-5284 2470 20,120 2,000 X X 28-5284 2000 AGL RES INC COM 001204106 135,815 3,409 X 28-5284 3317 92 383,261 9,620 X X 28-5284 7420 2200 17,410 437 X X 28-13663 437 A H BELO CORP COM CL A 001282102 284 34 X 28-5284 34 AES CORP COM 00130H105 215,592 16,584 X 28-5284 11597 4987 600,366 46,182 X X 28-5284 46151 31 289,432 22,264 X 28-13605 3252 19012 403 31 X X 28-13605 31 AK STL HLDG CORP COM 001547108 29,067 1,842 X 28-5284 1544 298 28,593 1,812 X X 28-5284 1812 35,032 2,220 X 28-13605 325 1895 ALPS ETF TR ALERIAN MLP 00162Q866 52,352 3,200 X X 28-5284 3200 AMB PROPERTY CORP COM 00163T109 5,144 143 X 28-5284 143 41,977 1,167 X X 28-5284 1167 AMN HEALTHCARE SERVICES INC COM 001744101 28,578 3,300 X X 28-5284 3300 AMR CORP COM 001765106 15,711 2,432 X X 28-5284 2432 COLUMN TOTAL 8,413,813 FILE NO. 28-1235 PAGE 10 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ AOL INC COM 00184X105 223,833 11,461 X 28-5284 10988 473 104,232 5,337 X X 28-5284 5197 140 977 50 X X 28-13605 50 937 48 X X 28-13663 48 APAC CUSTOMER SERVICES INC COM 00185E106 1,760,263 292,889 X 28-13605 292889 9,430 1,569 X X 28-13605 1569 311,478 51,825 X 28-13605 51825 AT&T INC COM 00206R102 165,474,966 5,405,912 X 28-5284 5320654 85258 122,035,979 3,986,801 X X 28-5284 3825377 11031 150393 34,607,850 1,130,606 X 28-13605 885898 244708 5,168,162 168,839 X X 28-13605 160510 609 7720 726,100 23,721 X 28-13663 21434 2287 1,763,503 57,612 X X 28-13663 55798 1814 ATMI INC COM 00207R101 5,856 310 X 28-5284 310 171,899 9,100 X X 28-5284 9100 ATP OIL & GAS CORP COM 00208J108 1,147,920 63,386 X 28-13605 63386 6,918 382 X X 28-13605 382 254,119 14,032 X 28-13605 14032 ARCA BIOPHARMA INC COM 00211Y100 383 150 X X 28-5284 150 AU OPTRONICS CORP SPONSORED ADR 002255107 325 37 X 28-5284 37 44,137 5,027 X X 28-5284 5027 AVX CORP NEW COM 002444107 25,750 1,727 X X 28-5284 327 1400 AARONS INC COM PAR $0.50 002535300 474,587 18,714 X 28-5284 786 17928 81,076 3,197 X X 28-5284 622 2575 906,037 35,727 X 28-13605 35727 5,402 213 X X 28-13605 213 19,958 787 X 28-13663 787 190,490 7,511 X 28-13605 7511 ABBOTT LABS COM 002824100 127,729,143 2,604,060 X 28-5284 2576803 27257 106,260,252 2,166,366 X X 28-5284 2012893 9370 144103 2,891,694 58,954 X 28-13605 12759 46195 95,746 1,952 X X 28-13605 1952 678,901 13,841 X 28-13663 13169 672 2,205,435 44,963 X X 28-13663 44769 194 COLUMN TOTAL 575,383,738 FILE NO. 28-1235 PAGE 11 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ABERCROMBIE & FITCH CO CL A 002896207 114,348 1,948 X 28-5284 1456 492 152,150 2,592 X X 28-5284 2581 11 244,544 4,166 X 28-13605 1509 2657 2,935 50 X X 28-13605 50 ABERDEEN ASIA PACIFIC INCOM COM 003009107 196,202 28,312 X 28-5284 28312 27,720 4,000 X X 28-5284 4000 ABERDEEN ISRAEL FUND INC COM 00301L109 81,747 4,650 X 28-5284 4650 ABERDEEN CHILE FD INC COM 00301W105 151,723 7,150 X X 28-5284 7150 64,318 3,031 X X 28-13663 3031 ABERDEEN GLOBAL INCOME FD IN COM 003013109 6,472 508 X 28-5284 508 ABINGTON BANCORP INC COM 00350L109 176,112 14,400 X 28-5284 14400 1,223 100 X X 28-5284 100 ABIOMED INC COM 003654100 43,590 3,000 X X 28-5284 3000 ABRAXAS PETE CORP COM 003830106 5,840 1,000 X 28-5284 1000 ACACIA RESH CORP ACACIA TCH COM 003881307 206,203 6,003 X 28-13605 6003 ACADIA RLTY TR COM SH BEN INT 004239109 19 1 X 28-5284 1 ACI WORLDWIDE INC COM 004498101 575,312 17,540 X 28-5284 17540 ACME PACKET INC COM 004764106 339,686 4,787 X 28-5284 7 4780 7,309 103 X X 28-5284 113 10- 234,594 3,306 X 28-13605 3306 16,676 235 X 28-13663 235 ACME UTD CORP COM 004816104 463,245 47,955 X 28-5284 47955 ACTIONS SEMICONDUCTOR CO LTD ADR 00507E107 22,131 8,888 X 28-5284 8888 ACTIVISION BLIZZARD INC COM 00507V109 76,790 7,000 X 28-5284 7000 32,789 2,989 X X 28-5284 2989 ACTUANT CORP SDCV 2.000%11 00508XAB0 147,250 1,000 X 28-5284 1000 COLUMN TOTAL 3,390,928 FILE NO. 28-1235 PAGE 12 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ACTUANT CORP CL A NEW 00508X203 438,596 15,124 X 28-5284 1755 13369 501,555 17,295 X X 28-5284 4274 13021 267,235 9,215 X 28-13605 9215 ACUITY BRANDS INC COM 00508Y102 314,618 5,379 X 28-5284 5379 73,229 1,252 X X 28-5284 72 1180 ACXIOM CORP COM 005125109 14,350 1,000 X 28-5284 1000 166,460 11,600 X X 28-5284 11600 ADAMS EXPRESS CO COM 006212104 17,055 1,500 X 28-5284 1500 269,469 23,700 X X 28-5284 23700 ADOBE SYS INC COM 00724F101 1,026,236 30,948 X 28-5284 22107 8841 1,071,002 32,298 X X 28-5284 25630 16 6652 598,405 18,046 X 28-13605 2635 15411 531 16 X X 28-13605 16 ADTRAN INC COM 00738A106 45,942 1,082 X 28-5284 832 250 425,449 10,020 X X 28-5284 750 9270 645,944 15,213 X 28-13605 15213 ADVANCE AMER CASH ADVANCE CT COM 00739W107 147,123 27,759 X 28-13605 27759 ADVANCE AUTO PARTS INC COM 00751Y106 4,331 66 X 28-5284 66 52,824 805 X X 28-5284 705 100 ADVANCED BATTERY TECHNOLOG I COM 00752H102 13,580 7,000 X X 28-5284 7000 ADVOCAT INC COM 007586100 9,063 1,250 X 28-5284 1250 ADVISORY BRD CO COM 00762W107 616,301 11,967 X 28-5284 11967 27,089 526 X 28-13663 526 ADVENT CLAY GBL CONV SEC INC COM BENE INTER 007639107 9,977 1,016 X 28-5284 1016 ADVENT CLAYMORE CV SECS & IN COM 00764C109 19,810 1,000 X 28-5284 1000 25,812 1,303 X X 28-5284 1303 ADVENTRX PHARMACEUTICALS INC COM NEW 00764X202 3,343 1,592 X X 28-5284 1592 ADVANTAGE OIL & GAS LTD COM 00765F101 13,455 1,500 X 28-5284 1500 COLUMN TOTAL 6,818,784 FILE NO. 28-1235 PAGE 13 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ AECOM TECHNOLOGY CORP DELAWA COM 00766T100 543,924 19,615 X 28-5284 19615 145,250 5,238 X X 28-5284 4948 290 AEROFLEX HLDG CORP COM 007767106 801 44 X X 28-5284 44 AEROPOSTALE COM 007865108 41,733 1,716 X 28-5284 1716 22,326 918 X X 28-5284 918 ADVANCED MICRO DEVICES INC COM 007903107 32,370 3,764 X 28-5284 3475 289 295,040 34,307 X X 28-5284 34307 172,679 20,079 X 28-13605 2934 17145 AEGON N V NY REGISTRY SH 007924103 822,795 109,706 X 28-5284 109706 115,883 15,451 X X 28-5284 14102 1001 348 ADVANCED ENERGY INDS COM 007973100 7,668 469 X 28-5284 149 320 ADVENT SOFTWARE INC COM 007974108 2,582 90 X X 28-5284 90 304,860 10,626 X 28-13605 10626 AEROVIRONMENT INC COM 008073108 247,937 7,090 X 28-5284 7090 96,133 2,749 X X 28-5284 2749 11,016 315 X 28-13663 315 AES TR III PFD CV 6.75% 00808N202 115,315 2,350 X 28-5284 2350 79,052 1,611 X X 28-5284 1611 AETNA INC NEW COM 00817Y108 661,276 17,667 X 28-5284 15077 2590 2,135,569 57,055 X X 28-5284 56421 434 200 534,500 14,280 X 28-13605 2086 12194 16,245 434 X X 28-13605 434 4,155 111 X 28-13663 111 AFFILIATED MANAGERS GROUP COM 008252108 68,794 629 X 28-5284 629 330,079 3,018 X X 28-5284 3018 382,248 3,495 X 28-13605 3495 123,588 1,130 X X 28-13605 1130 AFFYMETRIX INC COM 00826T108 52,100 10,000 X X 28-5284 10000 AGFEED INDUSTRIES INC COM 00846L101 955 500 X 28-5284 500 COLUMN TOTAL 7,366,873 FILE NO. 28-1235 PAGE 14 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ AGILENT TECHNOLOGIES INC COM 00846U101 1,710,193 38,191 X 28-5284 37638 553 3,552,980 79,343 X X 28-5284 73771 707 4865 530,061 11,837 X 28-13605 1729 10108 31,659 707 X X 28-13605 707 3,717 83 X 28-13663 83 AGILYSYS INC COM 00847J105 34,658 6,038 X 28-5284 6038 45,920 8,000 X X 28-5284 8000 AGNICO EAGLE MINES LTD COM 008474108 234,547 3,535 X 28-5284 3535 651,889 9,825 X X 28-5284 5568 4257 AGRIA CORP SPONSORED ADR 00850H103 1,410 1,000 X 28-5284 1000 AGRIUM INC COM 008916108 72,424 785 X 28-5284 683 102 419,968 4,552 X X 28-5284 157 4395 AIR PRODS & CHEMS INC COM 009158106 24,034,503 266,517 X 28-5284 261530 4987 20,155,681 223,505 X X 28-5284 209496 2875 11134 682,843 7,572 X 28-13605 1106 6466 69,799 774 X 28-13663 730 44 177,294 1,966 X X 28-13663 1790 176 AIR TRANSPORT SERVICES GRP I COM 00922R105 14,365 1,700 X X 28-5284 1700 AIRGAS INC COM 009363102 521,796 7,856 X 28-5284 7497 359 380,454 5,728 X X 28-5284 5728 175,681 2,645 X 28-13605 386 2259 1,727 26 X 28-13663 26 AKAMAI TECHNOLOGIES INC COM 00971T101 589,456 15,512 X 28-5284 14123 1389 263,720 6,940 X X 28-5284 6827 13 100 250,724 6,598 X 28-13605 963 5635 494 13 X X 28-13605 13 ALAMO GROUP INC COM 011311107 362,395 13,202 X 28-13605 13202 ALASKA AIR GROUP INC COM 011659109 3,171 50 X 28-5284 50 19,026 300 X X 28-5284 300 346,337 5,461 X 28-13605 5461 ALASKA COMMUNICATIONS SYS GR COM 01167P101 41,469 3,900 X X 28-5284 3900 COLUMN TOTAL 55,380,361 FILE NO. 28-1235 PAGE 15 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ALBANY INTL CORP CL A 012348108 4,856 195 X X 28-5284 195 ALBEMARLE CORP COM 012653101 298,850 5,000 X 28-5284 5000 145,600 2,436 X X 28-5284 2336 100 ALBERTO CULVER CO NEW COM 013078100 160,410 4,304 X 28-5284 4304 70,999 1,905 X X 28-5284 1905 ALCOA INC NOTE 5.250% 3 013817AT8 1,125,000 4,000 X X 28-5284 4000 ALCOA INC COM 013817101 3,984,997 225,651 X 28-5284 218524 7127 3,505,916 198,523 X X 28-5284 190169 601 7753 679,751 38,491 X 28-13605 5628 32863 1,854 105 X X 28-13605 105 3,974 225 X X 28-13663 225 ALCATEL-LUCENT SPONSORED ADR 013904305 35,395 6,092 X 28-5284 4799 1293 30,485 5,247 X X 28-5284 5150 97 ALEXANDER & BALDWIN INC COM 014482103 10,043 220 X 28-5284 220 213,322 4,673 X X 28-5284 4673 ALERE INC COM 01449J105 28,181 720 X 28-5284 300 420 151,589 3,873 X X 28-5284 3873 ALEXANDRIA REAL ESTATE EQ IN COM 015271109 6,238 80 X 28-5284 80 29,161 374 X X 28-5284 374 335,193 4,299 X 28-13605 4299 ALEXION PHARMACEUTICALS INC COM 015351109 608,658 6,168 X 28-5284 3653 2515 104,502 1,059 X X 28-5284 774 285 ALIGN TECHNOLOGY INC COM 016255101 193,495 9,448 X 28-5284 9448 901 44 X X 28-5284 44 ALIMERA SCIENCES INC COM 016259103 115,479 14,805 X 28-5284 100 14705 ALKERMES INC COM 01642T108 3,108 240 X 28-5284 240 6,216 480 X X 28-5284 80 400 ALLEGHANY CORP DEL COM 017175100 37,401 113 X 28-5284 113 39,795,711 120,236 X X 28-5284 81699 38537 COLUMN TOTAL 51,687,285 FILE NO. 28-1235 PAGE 16 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ALLEGHENY TECHNOLOGIES INC NOTE 4.250% 6 01741RAD4 703,500 4,000 X X 28-5284 4000 ALLEGHENY TECHNOLOGIES INC COM 01741R102 1,957,447 28,905 X 28-5284 28557 348 2,325,166 34,335 X X 28-5284 33745 230 360 232,821 3,438 X 28-13605 502 2936 20,993 310 X 28-13663 310 47,404 700 X X 28-13663 513 187 ALLEGIANT TRAVEL CO COM 01748X102 1,350,925 30,836 X 28-13605 30836 8,017 183 X X 28-13605 183 265,131 6,052 X 28-13605 6052 ALLERGAN INC NOTE 1.500% 4 018490AL6 335,250 3,000 X 28-5284 3000 1,117,500 10,000 X X 28-5284 10000 ALLERGAN INC COM 018490102 46,819,722 659,247 X 28-5284 644596 14651 17,060,495 240,221 X X 28-5284 230572 1617 8032 22,113,355 311,368 X 28-13605 296430 14938 4,733,199 66,646 X X 28-13605 62948 272 3426 345,512 4,865 X 28-13663 4797 68 288,128 4,057 X X 28-13663 4057 ALLETE INC COM NEW 018522300 61,806 1,586 X 28-5284 1586 50,622 1,299 X X 28-5284 1299 ALLIANCE DATA SYSTEMS CORP COM 018581108 161,817 1,884 X 28-5284 1884 39,424 459 X X 28-5284 459 ALLIANCE HOLDINGS GP LP COM UNITS LP 01861G100 463,403 8,820 X X 28-5284 8820 ALLIANCE RES PARTNER L P UT LTD PART 01877R108 232,076 2,850 X 28-5284 2850 114,002 1,400 X X 28-5284 750 650 123,204 1,513 X 28-13605 1513 ALLIANCEBERNSTEIN GBL HGH IN COM 01879R106 325,103 21,819 X 28-5284 21819 509,982 34,227 X X 28-5284 34227 ALLIANT ENERGY CORP COM 018802108 65,870 1,692 X 28-5284 1692 227,974 5,856 X X 28-5284 5856 ALLIANT TECHSYSTEMS INC COM 018804104 65,794 931 X 28-5284 931 302,750 4,284 X X 28-5284 284 4000 ALLIANCEBERNSTEIN INCOME FUN COM 01881E101 220,895 28,725 X 28-5284 28725 COLUMN TOTAL 102,689,287 FILE NO. 28-1235 PAGE 17 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ALLIANCEBERNSTEIN HOLDING LP UNIT LTD PARTN 01881G106 19,620 900 X 28-5284 900 252,880 11,600 X X 28-5284 11600 ALLIED IRISH BKS P L C SPON ADR ORD 019228808 5,683 2,368 X 28-5284 2242 126 ALLOS THERAPEUTICS INC COM 019777101 60,988 19,300 X X 28-5284 19300 ALLSCRIPTS HEALTHCARE SOLUTN COM 01988P108 11,964 570 X 28-5284 570 203,351 9,688 X X 28-5284 9688 ALLSTATE CORP COM 020002101 5,005,318 157,499 X 28-5284 152021 5478 10,218,795 321,548 X X 28-5284 307190 1719 12639 3,585,483 112,822 X 28-13605 96778 16044 16,621 523 X X 28-13605 523 5,943 187 X 28-13663 187 152,163 4,788 X X 28-13663 4788 ALMOST FAMILY INC COM 020409108 1,091,447 28,997 X 28-13605 28997 6,549 174 X X 28-13605 174 407,829 10,835 X 28-13663 10835 215,891 5,736 X 28-13605 5736 ALPHA NATURAL RESOURCES INC COM 02076X102 279,039 4,700 X 28-5284 4700 1,547,063 26,058 X X 28-5284 3787 22271 ALPHA PRO TECH LTD COM 020772109 1,380 1,000 X X 28-5284 1000 ALPINE GLOBAL DYNAMIC DIVD F COM 02082E106 134,406 17,685 X X 28-5284 17685 ALPINE GLOBAL PREMIER PPTYS COM SBI 02083A103 25,853 3,688 X 28-5284 3688 ALPINE TOTAL DYNAMIC DIVID F COM SBI 021060108 6,150 1,000 X 28-5284 1000 ALTAIR NANOTECHNOLOGIES INC COM NEW 021373204 1,580 1,000 X 28-5284 1000 ALTERA CORP COM 021441100 2,218,784 50,404 X 28-5284 6086 44318 1,392,485 31,633 X X 28-5284 5163 26470 490,999 11,154 X 28-13605 1630 9524 40,190 913 X 28-13663 913 ALTRA HOLDINGS INC COM 02208R106 1,252 53 X 28-5284 53 80,308 3,400 X X 28-5284 3400 COLUMN TOTAL 27,480,014 FILE NO. 28-1235 PAGE 18 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ALTRIA GROUP INC COM 02209S103 36,104,157 1,387,021 X 28-5284 1359024 27997 97,678,720 3,752,544 X X 28-5284 3546911 2463 203170 1,948,996 74,875 X 28-13605 10728 64147 13,015 500 X X 28-13605 500 42,117 1,618 X 28-13663 1200 418 389,955 14,981 X X 28-13663 13487 1494 ALUMINA LTD SPONSORED ADR 022205108 46,935 4,597 X 28-5284 1479 3118 2,011 197 X X 28-5284 197 AMARIN CORP PLC SPONS ADR NEW 023111206 3,650 500 X 28-5284 500 AMAZON COM INC COM 023135106 19,061,357 105,820 X 28-5284 98300 7520 6,168,372 34,244 X X 28-5284 28993 101 5150 2,284,589 12,683 X 28-13605 1879 10804 78,176 434 X X 28-13605 434 299,736 1,664 X 28-13663 1079 585 31,883 177 X X 28-13663 170 7 AMCOL INTL CORP COM 02341W103 23,387 650 X 28-5284 650 AMEDISYS INC COM 023436108 17,710 506 X 28-5284 506 1,050 30 X X 28-5284 30 AMERCO COM 023586100 36,860 380 X 28-5284 380 99,910 1,030 X X 28-5284 1030 81,577 841 X 28-13605 841 AMEREN CORP COM 023608102 297,542 10,600 X 28-5284 9567 1033 408,250 14,544 X X 28-5284 14529 15 251,648 8,965 X 28-13605 1309 7656 421 15 X X 28-13605 15 2,414 86 X 28-13663 86 11,172 398 X X 28-13663 398 AMERICA MOVIL SAB DE CV SPON ADR L SHS 02364W105 1,093,558 18,822 X 28-5284 18586 236 799,863 13,767 X X 28-5284 12017 1750 78,435 1,350 X X 28-13663 1350 AMERICA MOVIL SAB DE CV SPON ADR A SHS 02364W204 138,360 2,400 X 28-5284 2400 AMERICAN AXLE & MFG HLDGS IN COM 024061103 6,899 548 X 28-5284 548 COLUMN TOTAL 167,502,725 FILE NO. 28-1235 PAGE 19 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ AMERICAN CAMPUS CMNTYS INC COM 024835100 23,628 716 X 28-5284 716 200,673 6,081 X 28-13605 6081 AMERICAN CAPITAL AGENCY CORP COM 02503X105 20,398 700 X 28-5284 700 35,114 1,205 X X 28-5284 1205 AMERICAN CAP LTD COM 02503Y103 32,336 3,263 X 28-5284 3261 2 38,926 3,928 X X 28-5284 3928 AMERICAN EAGLE OUTFITTERS NE COM 02553E106 186,787 11,755 X 28-5284 4335 7420 49,450 3,112 X X 28-5284 1412 1700 AMERICAN ELEC PWR INC COM 025537101 13,982,276 397,902 X 28-5284 393416 4486 8,004,646 227,793 X X 28-5284 209664 568 17561 592,144 16,851 X 28-13605 2563 14288 65,255 1,857 X X 28-13605 1857 98,743 2,810 X 28-13663 2548 262 58,157 1,655 X X 28-13663 1655 AMERICAN EQTY INVT LIFE HLD COM 025676206 572,465 43,633 X 28-13605 43633 AMERICAN EXPRESS CO COM 025816109 39,301,988 869,513 X 28-5284 842849 26664 32,925,533 728,441 X X 28-5284 616548 1400 110493 17,535,837 387,961 X 28-13605 350163 37798 3,280,119 72,569 X X 28-13605 69108 258 3203 161,952 3,583 X 28-13663 3419 164 69,156 1,530 X X 28-13663 1496 34 AMERICAN FINL GROUP INC OHIO COM 025932104 56,102 1,602 X 28-5284 1602 125,582 3,586 X X 28-5284 3586 AMERICAN GREETINGS CORP CL A 026375105 23,600 1,000 X 28-5284 1000 AMERICAN INTL GROUP INC *W EXP 01/19/2 026874156 9,961 895 X 28-5284 895 7,424 667 X X 28-5284 667 21,392 1,922 X 28-13605 274 1648 AMERICAN INTL GROUP INC COM NEW 026874784 69,402 1,975 X 28-5284 1827 148 50,075 1,425 X X 28-5284 1413 12 124,396 3,540 X 28-13605 517 3023 879 25 X 28-13663 25 6,431 183 X X 28-13663 183 COLUMN TOTAL 117,730,827 FILE NO. 28-1235 PAGE 20 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ AMERICAN MED SYS HLDGS INC COM 02744M108 10,820 500 X 28-5284 500 47,608 2,200 X X 28-5284 2200 AMERICAN NATL INS CO COM 028591105 2,533 32 X X 28-5284 32 AMERICAN PUBLIC EDUCATION IN COM 02913V103 15,411 381 X 28-5284 81 300 509,346 12,592 X X 28-5284 5160 7432 AMERICAN SCIENCE & ENGR INC COM 029429107 924 10 X 28-5284 10 64,652 700 X X 28-5284 700 98,733 1,069 X 28-13605 1069 AMERICAN STS WTR CO COM 029899101 16,137 450 X 28-5284 300 150 114,752 3,200 X X 28-5284 3200 AMERICAN TOWER CORP CL A 029912201 10,235,331 197,517 X 28-5284 179015 18502 5,136,191 99,116 X X 28-5284 78050 69 20997 735,481 14,193 X 28-13605 2072 12121 725 14 X X 28-13605 14 267,806 5,168 X 28-13663 2717 2451 3,887 75 X X 28-13663 75 AMERICAN SUPERCONDUCTOR CORP COM 030111108 654,081 26,300 X X 28-5284 18400 7900 AMERICAN WTR WKS CO INC NEW COM 030420103 3,585,491 127,825 X 28-5284 126112 1713 1,454,308 51,847 X X 28-5284 43616 8231 5,978,156 213,125 X 28-13605 127181 85944 423,555 15,100 X X 28-13605 14610 490 144,317 5,145 X X 28-13663 5145 AMERON INTL INC COM 030710107 62,113 890 X 28-5284 890 190,527 2,730 X X 28-5284 2730 AMERISOURCEBERGEN CORP COM 03073E105 30,876,620 780,501 X 28-5284 767109 13392 7,396,850 186,978 X X 28-5284 176433 155 10390 34,963,365 883,806 X 28-13605 809510 74296 6,517,194 164,742 X X 28-13605 156760 561 7421 255,043 6,447 X 28-13663 6447 196,811 4,975 X X 28-13663 4975 AMERIGROUP CORP COM 03073T102 17,669 275 X 28-5284 275 6,746 105 X X 28-5284 105 157,927 2,458 X 28-13605 2458 COLUMN TOTAL 110,141,110 FILE NO. 28-1235 PAGE 21 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ AMERISERV FINL INC COM 03074A102 2,370 1,000 X 28-5284 1000 AMERIPRISE FINL INC COM 03076C106 27,291,949 446,823 X 28-5284 435456 11367 11,876,762 194,446 X X 28-5284 182487 351 11608 36,795,814 602,420 X 28-13605 539125 63295 6,706,523 109,799 X X 28-13605 104398 380 5021 94,796 1,552 X 28-13663 1384 168 24,432 400 X X 28-13663 400 AMERIGAS PARTNERS L P UNIT L P INT 030975106 834,658 17,367 X 28-5284 17367 297,972 6,200 X X 28-5284 6200 163,356 3,399 X 28-13605 3399 AMETEK INC NEW COM 031100100 1,701,849 38,793 X 28-5284 38793 8,779,001 200,114 X X 28-5284 200114 315,864 7,200 X 28-13605 7200 AMGEN INC NOTE 0.375% 2 031162AQ3 1,291,875 13,000 X 28-5284 13000 596,250 6,000 X X 28-5284 6000 AMGEN INC COM 031162100 27,879,948 521,608 X 28-5284 516245 5363 17,096,036 319,851 X X 28-5284 296624 1196 22031 2,348,646 43,941 X 28-13605 16525 27416 70,447 1,318 X X 28-13605 1318 216,900 4,058 X 28-13663 3756 302 278,742 5,215 X X 28-13663 5154 61 AMKOR TECHNOLOGY INC COM 031652100 6,740 1,000 X 28-5284 1000 293,190 43,500 X X 28-5284 43500 AMPAL AMERN ISRAEL CORP CL A 032015109 39 22 X 28-5284 22 AMPCO-PITTSBURGH CORP COM 032037103 27,580 1,000 X X 28-5284 1000 AMPHENOL CORP NEW CL A 032095101 7,569,837 139,177 X 28-5284 137318 1859 6,776,450 124,590 X X 28-5284 123785 10 795 402,160 7,394 X 28-13605 3311 4083 544 10 X X 28-13605 10 8,159 150 X 28-13663 150 247,148 4,544 X X 28-13663 4544 AMSURG CORP COM 03232P405 44,520 1,750 X 28-5284 1750 195,888 7,700 X 28-13605 7700 COLUMN TOTAL 160,236,445 FILE NO. 28-1235 PAGE 22 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ AMTECH SYS INC COM PAR $0.01N 032332504 1,994 79 X 28-5284 79 145,559 5,767 X 28-13605 5767 AMYLIN PHARMACEUTICALS INC COM 032346108 5,685 500 X 28-5284 500 153,495 13,500 X X 28-5284 100 13400 AMTRUST FINANCIAL SERVICES I COM 032359309 2,641,634 138,523 X 28-13605 138523 154,334 8,093 X X 28-13605 8093 453,237 23,767 X 28-13605 23767 AMYRIS INC COM 03236M101 62,759 2,199 X 28-5284 2199 ANADARKO PETE CORP COM 032511107 5,006,541 61,115 X 28-5284 57939 3176 8,742,502 106,720 X X 28-5284 102716 730 3274 1,388,954 16,955 X 28-13605 2479 14476 2,458 30 X X 28-13605 30 7,619 93 X 28-13663 93 153,272 1,871 X X 28-13663 1721 150 ANADIGICS INC COM 032515108 35,760 8,000 X X 28-5284 8000 ANALOG DEVICES INC COM 032654105 412,033 10,463 X 28-5284 8688 1775 328,941 8,353 X X 28-5284 8325 28 332,525 8,444 X 28-13605 1234 7210 1,103 28 X X 28-13605 28 ANALOGIC CORP COM PAR $0.05 032657207 364,521 6,446 X 28-5284 6446 56,550 1,000 X X 28-5284 1000 342,297 6,053 X 28-13605 6053 15,608 276 X 28-13663 276 ANCESTRY COM INC COM 032803108 1,489 42 X X 28-5284 42 ANGLOGOLD ASHANTI LTD SPONSORED ADR 035128206 175,929 3,669 X 28-5284 1859 1810 132,917 2,772 X X 28-5284 772 2000 ANHEUSER BUSCH INBEV SA/NV SPONSORED ADR 03524A108 55,226 966 X 28-5284 353 613 702,619 12,290 X X 28-5284 9973 2317 ANIKA THERAPEUTICS INC COM 035255108 136,192 15,200 X 28-5284 15200 29,568 3,300 X X 28-5284 3300 ANIXTER INTL INC NOTE 1.000% 2 035290AJ4 251,000 2,000 X 28-5284 2000 COLUMN TOTAL 22,294,321 FILE NO. 28-1235 PAGE 23 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ANIXTER INTL INC COM 035290105 65,906 943 X 28-5284 693 250 13,838 198 X X 28-5284 198 414,727 5,934 X 28-13605 5934 ANNALY CAP MGMT INC COM 035710409 843,550 48,341 X 28-5284 44091 4250 2,679,797 153,570 X X 28-5284 153770 200- 8,202 470 X 28-13663 470 ANSYS INC COM 03662Q105 326,441 6,024 X 28-5284 5700 324 1,321,748 24,391 X X 28-5284 12400 11991 AON CORP COM 037389103 3,964,639 74,861 X 28-5284 56571 18290 4,695,169 88,655 X X 28-5284 30646 9 58000 604,432 11,413 X 28-13605 1667 9746 477 9 X X 28-13605 9 3,336 63 X 28-13663 63 8,103 153 X X 28-13663 153 A123 SYS INC COM 03739T108 318 50 X 28-5284 50 APACHE CORP COM 037411105 57,425,571 438,631 X 28-5284 424030 14601 24,921,277 190,355 X X 28-5284 174552 362 15441 28,612,697 218,551 X 28-13605 189012 29539 4,686,805 35,799 X X 28-13605 34249 125 1425 694,792 5,307 X 28-13663 4684 623 251,497 1,921 X X 28-13663 1833 88 APACHE CORP PFD CONV SER D 037411808 318,870 4,500 X X 28-13663 4500 APARTMENT INVT & MGMT CO CL A 03748R101 44,369 1,742 X 28-5284 17 1725 22,566 886 X X 28-5284 886 103,459 4,062 X 28-13605 594 3468 APOGEE ENTERPRISES INC COM 037598109 3,429 260 X 28-5284 260 APOLLO GROUP INC CL A 037604105 114,703 2,750 X 28-5284 2423 327 146,486 3,512 X X 28-5284 3404 8 100 268,863 6,446 X 28-13605 1907 4539 2,002 48 X X 28-13605 48 6,257 150 X X 28-13663 150 APOLLO INVT CORP COM 03761U106 187,852 15,570 X 28-5284 15570 24,130 2,000 X X 28-5284 2000 COLUMN TOTAL 132,786,308 FILE NO. 28-1235 PAGE 24 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ APPLE INC COM 037833100 201,008,959 576,770 X 28-5284 556697 20073 99,430,726 285,304 X X 28-5284 276007 466 8831 95,077,513 272,813 X 28-13605 239812 33001 17,674,235 50,714 X X 28-13605 47943 179 2592 2,116,141 6,072 X 28-13663 5121 951 1,986,844 5,701 X X 28-13663 4254 1447 APPLIED INDL TECHNOLOGIES IN COM 03820C105 12,905 388 X 28-5284 56 332 180,103 5,415 X X 28-5284 5415 177,176 5,327 X 28-13605 5327 APPLIED MICRO CIRCUITS CORP COM NEW 03822W406 3,789 365 X 28-5284 365 30,092 2,899 X X 28-5284 99 2800 APPLIED MATLS INC COM 038222105 3,404,473 217,956 X 28-5284 197017 20939 2,516,632 161,116 X X 28-5284 137905 61 23150 714,225 45,725 X 28-13605 6684 39041 953 61 X X 28-13605 61 37,488 2,400 X X 28-13663 2400 APTARGROUP INC COM 038336103 37,598 750 X 28-5284 750 122,869 2,451 X X 28-5284 2451 150,390 3,000 X 28-13605 3000 AQUA AMERICA INC COM 03836W103 1,585,453 69,264 X 28-5284 69264 2,525,660 110,339 X X 28-5284 104431 5908 133,060 5,813 X 28-13605 5813 ARBITRON INC COM 03875Q108 9,607 240 X 28-5284 240 ARCH CHEMICALS INC COM 03937R102 19,755 475 X 28-5284 255 220 202,127 4,860 X X 28-5284 4860 ARCELORMITTAL SA LUXEMBOURG NY REGISTRY SH 03938L104 30,221 836 X 28-5284 729 107 211,116 5,840 X X 28-5284 1540 4300 ARCH COAL INC COM 039380100 495,045 13,736 X 28-5284 12916 820 486,071 13,487 X X 28-5284 1987 11500 56,331 1,563 X 28-13605 1563 2,126 59 X X 28-13605 59 ARCHER DANIELS MIDLAND CO NOTE 0.875% 2 039483AW2 222,500 2,000 X 28-5284 2000 COLUMN TOTAL 430,662,183 FILE NO. 28-1235 PAGE 25 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ARCHER DANIELS MIDLAND CO COM 039483102 5,021,018 139,434 X 28-5284 133643 5791 2,634,744 73,167 X X 28-5284 60175 3041 9951 6,714,821 186,471 X 28-13605 101819 84652 424,630 11,792 X X 28-13605 11407 385 20,850 579 X 28-13663 420 159 61,577 1,710 X X 28-13663 1710 ARCHER DANIELS MIDLAND CO UNIT 99/99/999 039483201 47,408 1,050 X 28-5284 1050 203,085 4,498 X X 28-5284 4498 288,960 6,400 X X 28-13663 6400 ARCTIC CAT INC COM 039670104 1,244 80 X 28-5284 80 23,325 1,500 X X 28-5284 1500 ARES CAP CORP COM 04010L103 294,556 17,380 X 28-5284 1668 15712 27,032 1,595 X X 28-5284 1595 90,672 5,350 X 28-13605 5350 ARIBA INC COM NEW 04033V203 1,157,892 33,916 X 28-5284 33916 580 17 X X 28-5284 17 133,351 3,906 X 28-13605 3906 ARKANSAS BEST CORP DEL COM 040790107 6,221 240 X 28-5284 240 2,592 100 X X 28-5284 100 ARLINGTON ASSET INVT CORP CL A NEW 041356205 22,526 740 X 28-5284 740 346,468 11,382 X 28-13605 11382 ARM HLDGS PLC SPONSORED ADR 042068106 167,499 5,946 X 28-5284 5597 349 21,747 772 X X 28-5284 772 14,592 518 X 28-13663 518 ARMSTRONG WORLD INDS INC NEW COM 04247X102 319,263 6,900 X 28-5284 200 6700 6,200 134 X X 28-5284 134 ARQULE INC COM 04269E107 1,571 220 X 28-5284 220 ARRIS GROUP INC COM 04269Q100 24,359 1,912 X 28-5284 1912 17,339 1,361 X X 28-5284 1361 ARROW ELECTRS INC COM 042735100 5,654 135 X 28-5284 135 38,781 926 X X 28-5284 826 100 COLUMN TOTAL 18,140,557 FILE NO. 28-1235 PAGE 26 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ARROWHEAD RESH CORP COM 042797100 750 1,000 X 28-5284 1000 ARTESIAN RESOURCES CORP CL A 043113208 48,725 2,500 X 28-5284 2500 43,853 2,250 X X 28-5284 2250 17,541 900 X X 28-13663 900 ARTHROCARE CORP COM 043136100 311,562 9,345 X X 28-5284 20 9325 ARUBA NETWORKS INC COM 043176106 282,023 8,334 X X 28-5284 8334 ASCENT MEDIA CORP COM SER A 043632108 59,304 1,214 X 28-5284 544 670 50,364 1,031 X X 28-5284 401 630 ASHFORD HOSPITALITY TR INC COM SHS 044103109 584,887 53,075 X 28-13605 53075 ASHLAND INC NEW COM 044209104 156,587 2,711 X 28-5284 2711 59,262 1,026 X X 28-5284 1026 ASSISTED LIVING CONCPT NEV N CL A NEW 04544X300 71,626 1,830 X 28-5284 1830 219,575 5,610 X X 28-5284 5610 ASSOCIATED BANC CORP COM 045487105 310,989 20,942 X 28-5284 10342 10600 380,012 25,590 X X 28-5284 25590 ASSOCIATED ESTATES RLTY CORP COM 045604105 15,880 1,000 X 28-5284 1000 165,231 10,405 X X 28-5284 10405 ASSURANT INC COM 04621X108 39,819 1,034 X 28-5284 204 830 30,461 791 X X 28-5284 791 1,132,117 29,398 X 28-13605 26491 2907 94,966 2,466 X X 28-13605 2466 ASTEC INDS INC COM 046224101 7,085 190 X 28-5284 190 9,323 250 X X 28-5284 250 ASTORIA FINL CORP COM 046265104 10,907 759 X 28-5284 759 3,319 231 X X 28-5284 231 ASTRAZENECA PLC SPONSORED ADR 046353108 225,850 4,897 X 28-5284 3072 1825 748,574 16,231 X X 28-5284 14181 500 1550 142,142 3,082 X X 28-13663 3082 ASTRONICS CORP COM 046433108 343,369 13,642 X 28-13605 13642 COLUMN TOTAL 5,566,103 FILE NO. 28-1235 PAGE 27 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ATHENAHEALTH INC COM 04685W103 611,015 13,539 X 28-5284 400 13139 26,085 578 X 28-13663 578 ATHEROS COMMUNICATIONS INC COM 04743P108 25,054 561 X X 28-5284 561 ATLANTIC PWR CORP COM NEW 04878Q863 18,156 1,200 X 28-5284 1200 136,927 9,050 X X 28-5284 9050 ATLANTIC TELE NETWORK INC COM NEW 049079205 1,356,877 36,485 X 28-13605 36485 51,545 1,386 X X 28-13605 1386 255,940 6,882 X 28-13605 6882 ATLAS AIR WORLDWIDE HLDGS IN COM NEW 049164205 6,205 89 X 28-5284 89 83,664 1,200 X X 28-5284 1200 234,259 3,360 X 28-13605 3360 ATLAS ENERGY LP COM UNITS LP 04930A104 39,609 1,773 X 28-5284 1773 6,836 306 X X 28-5284 306 ATLAS PIPELINE PARTNERS LP UNIT L P INT 049392103 27,600 800 X 28-5284 800 95,393 2,765 X 28-13605 2765 ATMEL CORP COM 049513104 83,729 6,143 X 28-5284 6143 968,861 71,083 X X 28-5284 71083 ATMOS ENERGY CORP COM 049560105 619,017 18,153 X 28-5284 18153 615,130 18,039 X X 28-5284 16039 2000 19,710 578 X X 28-13663 578 ATRION CORP COM 049904105 79,558 456 X 28-13605 456 ATWOOD OCEANICS INC COM 050095108 443,221 9,546 X 28-5284 612 8934 20,568 443 X X 28-5284 443 1,528,197 32,914 X 28-13605 32914 134,368 2,894 X X 28-13605 2894 18,201 392 X 28-13663 392 240,182 5,173 X 28-13605 5173 AUDIOVOX CORP CL A 050757103 1,040 130 X 28-5284 130 AURIZON MINES LTD COM 05155P106 1,687 240 X 28-5284 240 98,420 14,000 X X 28-5284 14000 COLUMN TOTAL 7,847,054 FILE NO. 28-1235 PAGE 28 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ AUTODESK INC COM 052769106 442,379 10,029 X 28-5284 9105 924 1,094,634 24,816 X X 28-5284 19082 5734 699,408 15,856 X 28-13605 8943 6913 110,275 2,500 X X 28-13605 2500 3,352 76 X 28-13663 76 AUTOLIV INC COM 052800109 861,439 11,605 X 28-5284 10655 950 840,877 11,328 X X 28-5284 6153 5175 8,536 115 X 28-13663 115 111,345 1,500 X X 28-13663 1500 AUTOMATIC DATA PROCESSING IN COM 053015103 38,946,342 759,040 X 28-5284 752044 200 6796 47,664,373 928,949 X X 28-5284 858845 8123 61981 885,662 17,261 X 28-13605 2521 14740 1,180 23 X X 28-13605 23 141,410 2,756 X 28-13663 2530 226 218,068 4,250 X X 28-13663 4250 AUTONATION INC COM 05329W102 15,563 440 X 28-5284 21 419 117,393 3,319 X X 28-5284 3312 7 76,682 2,168 X 28-13605 317 1851 248 7 X X 28-13605 7 2,900 82 X 28-13663 82 AUTOZONE INC COM 053332102 1,876,348 6,859 X 28-5284 6606 253 1,397,071 5,107 X X 28-5284 4384 3 720 258,514 945 X 28-13605 138 807 821 3 X X 28-13605 3 6,839 25 X 28-13663 20 5 AUXILIUM PHARMACEUTICALS INC COM 05334D107 1,245 58 X X 28-5284 58 AVALONBAY CMNTYS INC COM 053484101 1,489,833 12,407 X 28-5284 11884 523 1,834,102 15,274 X X 28-5284 14837 7 430 4,368,630 36,381 X 28-13605 20476 15905 288,432 2,402 X X 28-13605 2322 80 12,008 100 X 28-13663 100 AVERY DENNISON CORP COM 053611109 663,765 15,819 X 28-5284 15383 436 685,878 16,346 X X 28-5284 16337 9 3,418,355 81,467 X 28-13605 78282 3185 378 9 X X 28-13605 9 COLUMN TOTAL 108,544,285 FILE NO. 28-1235 PAGE 29 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ AVIAT NETWORKS INC COM 05366Y102 5 1 X 28-5284 1 1,685 326 X X 28-5284 326 AVID TECHNOLOGY INC COM 05367P100 6,601 296 X 28-5284 296 AVIS BUDGET GROUP COM 053774105 1,433 80 X 28-5284 80 315,216 17,600 X X 28-5284 17600 AVISTA CORP COM 05379B107 10,871 470 X 28-5284 470 AVNET INC COM 053807103 124,803 3,661 X 28-5284 521 3140 443,136 12,999 X X 28-5284 3149 9850 AVIVA PLC ADR 05382A104 53,416 3,783 X 28-5284 3783 537 38 X X 28-5284 38 AVON PRODS INC COM 054303102 611,320 22,608 X 28-5284 18178 4430 615,782 22,773 X X 28-5284 21969 4 800 414,929 15,345 X 28-13605 2241 13104 108 4 X X 28-13605 4 10,410 385 X X 28-13663 385 AXCELIS TECHNOLOGIES INC COM 054540109 795 300 X 28-5284 300 BB&T CORP COM 054937107 2,170,334 79,065 X 28-5284 74073 4992 892,427 32,511 X X 28-5284 31403 12 1096 647,134 23,575 X 28-13605 3444 20131 329 12 X X 28-13605 12 100,357 3,656 X 28-13663 3500 156 11,611 423 X X 28-13663 423 B & G FOODS INC NEW COM 05508R106 9,385 500 X 28-5284 500 44,110 2,350 X X 28-5284 2350 123,112 6,559 X 28-13605 6559 BCE INC COM NEW 05534B760 3,573,639 98,339 X 28-5284 93170 5169 3,814,392 104,964 X X 28-5284 95446 9518 4,188,875 115,269 X 28-13605 69032 46237 302,494 8,324 X X 28-13605 8049 275 169,199 4,656 X 28-13663 4500 156 9,994 275 X X 28-13663 275 COLUMN TOTAL 18,668,439 FILE NO. 28-1235 PAGE 30 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BHP BILLITON PLC SPONSORED ADR 05545E209 2,337,932 29,371 X 28-5284 1720 27651 269,446 3,385 X X 28-5284 50 3335 64,954 816 X 28-13663 816 BJS WHOLESALE CLUB INC COM 05548J106 22,213 455 X 28-5284 455 17,868 366 X X 28-5284 366 344,474 7,056 X 28-13605 7056 BOK FINL CORP COM NEW 05561Q201 21,137 409 X 28-5284 409 14,005 271 X X 28-5284 271 BP PLC SPONSORED ADR 055622104 33,274,983 753,851 X 28-5284 749803 4048 54,826,603 1,242,107 X X 28-5284 1117858 500 123749 221,671 5,022 X 28-13663 5022 839,057 19,009 X X 28-13663 19009 BP PRUDHOE BAY RTY TR UNIT BEN INT 055630107 912,549 7,616 X 28-5284 7166 450 294,637 2,459 X X 28-5284 1959 500 372,401 3,108 X 28-13605 3108 BPZ RESOURCES INC COM 055639108 2,915 550 X 28-5284 550 BRE PROPERTIES INC CL A 05564E106 60,957 1,292 X 28-5284 1292 256,376 5,434 X X 28-5284 5434 190,702 4,042 X 28-13605 4042 BRT RLTY TR SH BEN INT NEW 055645303 6,916 1,069 X 28-5284 1069 BT GROUP PLC ADR 05577E101 3,008 100 X X 28-5284 100 BMC SOFTWARE INC COM 055921100 165,933 3,336 X 28-5284 2654 682 98,336 1,977 X X 28-5284 1966 11 423,735 8,519 X 28-13605 3378 5141 547 11 X X 28-13605 11 B2B INTERNET HOLDRS TR DEPOSTRY RCPT 056033103 304 234 X X 28-5284 234 BABCOCK & WILCOX CO NEW COM 05615F102 22,598 677 X 28-5284 677 45,263 1,356 X X 28-5284 1356 1,125,807 33,727 X 28-13605 33727 141,865 4,250 X 28-13663 4250 COLUMN TOTAL 96,379,192 FILE NO. 28-1235 PAGE 31 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BADGER METER INC COM 056525108 82,420 2,000 X 28-5284 2000 1,158,001 28,100 X X 28-5284 28100 BAIDU INC SPON ADR REP A 056752108 1,603,833 11,638 X 28-5284 9358 2280 518,166 3,760 X X 28-5284 2895 865 98,396 714 X 28-13663 714 BAKER MICHAEL CORP COM 057149106 5,814 200 X 28-5284 200 218,025 7,500 X X 28-5284 7500 BAKER HUGHES INC COM 057224107 2,321,489 31,615 X 28-5284 28980 2635 2,776,755 37,815 X X 28-5284 30503 82 7230 1,084,855 14,774 X 28-13605 2157 12617 1,175 16 X X 28-13605 16 27,096 369 X 28-13663 286 83 111,467 1,518 X X 28-13663 1518 BALCHEM CORP COM 057665200 900 24 X 28-5284 24 1,064,743 28,378 X 28-13605 28378 5,703 152 X X 28-13605 152 208,235 5,550 X 28-13605 5550 BALL CORP COM 058498106 2,989,352 83,385 X 28-5284 80651 2734 2,787,768 77,762 X X 28-5284 75796 16 1950 220,478 6,150 X 28-13605 896 5254 574 16 X X 28-13605 16 114,720 3,200 X X 28-13663 3200 BALLARD PWR SYS INC NEW COM 058586108 233 100 X 28-5284 100 1,398 600 X X 28-5284 600 BALLY TECHNOLOGIES INC COM 05874B107 11,696 309 X 28-5284 309 11,998 317 X X 28-5284 317 BANCO BILBAO VIZCAYA ARGENTA SPONSORED ADR 05946K101 40,908 3,409 X 28-5284 3409 51,648 4,304 X X 28-5284 4304 BANCO BRADESCO S A SP ADR PFD NEW 059460303 140,955 6,793 X X 28-5284 6793 BANCO MACRO SA SPON ADR B 05961W105 81,181 2,028 X 28-13605 2028 BANCO SANTANDER SA ADR 05964H105 1,268,931 108,363 X 28-5284 108363 915,043 78,142 X X 28-5284 32246 45896 COLUMN TOTAL 19,923,956 FILE NO. 28-1235 PAGE 32 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BANCO SANTANDER BRASIL S A ADS REP 1 UNIT 05967A107 72,959 5,951 X 28-5284 5657 294 BANCORPSOUTH INC COM 059692103 118,440 7,666 X 28-5284 2506 5160 13,426 869 X X 28-5284 869 BANK OF AMERICA CORPORATION COM 060505104 33,397,235 2,505,419 X 28-5284 2409695 95724 24,214,265 1,816,524 X X 28-5284 1751329 6070 59125 26,288,186 1,972,107 X 28-13605 1508800 463307 4,564,259 342,405 X X 28-13605 327486 1217 13702 91,764 6,884 X 28-13663 5145 1739 162,946 12,224 X X 28-13663 9700 2524 BANK OF AMERICA CORPORATION *W EXP 01/16/2 060505146 5,369 700 X 28-5284 700 BANK OF AMERICA CORPORATION *W EXP 10/28/2 060505153 174,384 69,200 X X 28-5284 69200 BANK OF AMERICA CORPORATION 7.25%CNV PFD L 060505682 198,154 196 X 28-5284 196 425,627 421 X X 28-5284 421 BANK HAWAII CORP COM 062540109 174,591 3,651 X 28-5284 1638 2013 397,815 8,319 X X 28-5284 8319 BANK KY FINL CORP COM 062896105 9,225 450 X 28-5284 250 200 BANK MONTREAL QUE COM 063671101 146,205 2,250 X 28-5284 2250 17,870 275 X X 28-5284 275 BANK OF THE OZARKS INC COM 063904106 540,081 12,356 X 28-5284 560 11796 2,509,435 57,411 X 28-13605 57411 144,243 3,300 X X 28-13605 3300 22,729 520 X 28-13663 520 433,079 9,908 X 28-13605 9908 BANK OF NEW YORK MELLON CORP COM 064058100 12,450,622 416,827 X 28-5284 384965 31862 6,830,433 228,672 X X 28-5284 203886 4945 19841 3,133,124 104,892 X 28-13605 66095 38797 716,074 23,973 X X 28-13605 23762 74 137 33,514 1,122 X 28-13663 861 261 55,110 1,845 X X 28-13663 1662 183 BANK NOVA SCOTIA HALIFAX COM 064149107 270,484 4,406 X 28-5284 4406 799,605 13,025 X X 28-5284 12525 500 122,780 2,000 X X 28-13663 2000 COLUMN TOTAL 118,534,033 FILE NO. 28-1235 PAGE 33 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BANKUNITED INC COM 06652K103 226,809 7,900 X X 28-5284 7900 BANNER CORP COM 06652V109 7,156 3,032 X 28-13663 3032 BARCLAYS BK PLC DJUBS CMDT ETN 06738C778 29,997,078 584,169 X 28-5284 579427 4742 13,469,670 262,311 X X 28-5284 259596 2715 1,412,741 27,512 X 28-13663 27512 411,981 8,023 X X 28-13663 8023 BARCLAYS BK PLC IPSP CROIL ETN 06738C786 377,654 13,392 X 28-5284 13392 423,000 15,000 X X 28-5284 15000 BARCLAYS PLC ADR 06738E204 52,933 2,918 X 28-5284 2918 4,825 266 X X 28-5284 266 BARD C R INC COM 067383109 6,268,324 63,087 X 28-5284 62300 787 6,619,562 66,622 X X 28-5284 57799 116 8707 296,888 2,988 X 28-13605 436 2552 596 6 X X 28-13605 6 11,228 113 X 28-13663 100 13 BARCLAYS BK PLC ETN DJUBS COPR 06739F101 172,748 3,036 X 28-5284 3036 BARCLAYS BK PLC ETN DJUBS NCKL 06739F119 3,850 100 X 28-5284 100 BARCLAYS BK PLC IPMS INDIA ETN 06739F291 32,365 445 X 28-5284 445 BARCLAYS BK PLC ADR 2 PREF 2 06739F390 53,020 2,200 X 28-5284 2200 54,225 2,250 X X 28-5284 2250 BARCLAYS BANK PLC ETN DJUBS AGRI 06739H206 485,588 7,400 X X 28-5284 7400 BARCLAYS BANK PLC ETN DJUBS GRNS 06739H305 51,884 950 X X 28-5284 950 BARCLAYS BANK PLC ADR PFD SR 5 06739H362 70,983 2,700 X 28-5284 2700 130,530 4,965 X X 28-5284 4965 525,800 20,000 X 28-13605 20000 BARCLAYS BANK PLC ADS7.75%PFD S4 06739H511 188,888 7,344 X 28-5284 7344 20,576 800 X X 28-5284 800 BARCLAYS BANK PLC SP ADR 7.1%PF3 06739H776 65,572 2,600 X 28-5284 2600 COLUMN TOTAL 61,436,474 FILE NO. 28-1235 PAGE 34 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BARCLAYS BK PLC IPTH S&P VIX N 06740C261 7,343 250 X 28-5284 250 115,277 3,925 X X 28-5284 3925 BARNES GROUP INC COM 067806109 66,816 3,200 X 28-5284 2800 400 5,304 254 X X 28-5284 254 BARRICK GOLD CORP COM 067901108 3,686,700 71,021 X 28-5284 68421 2600 5,335,985 102,793 X X 28-5284 98421 72 4300 20,764 400 X 28-13663 400 21,802 420 X X 28-13663 420 BARRETT BILL CORP COM 06846N104 512,245 12,835 X 28-5284 268 12567 21,990 551 X 28-13663 551 BASIC ENERGY SVCS INC NEW COM 06985P100 268,569 10,528 X 28-13605 10528 BAXTER INTL INC COM 071813109 20,922,660 389,114 X 28-5284 374902 14212 16,613,640 308,976 X X 28-5284 286562 14 22400 3,438,054 63,940 X 28-13605 46979 16961 48,232 897 X X 28-13605 897 27,369 509 X 28-13663 400 109 285,035 5,301 X X 28-13663 5301 BAYTEX ENERGY CORP COM 07317Q105 137,193 2,350 X 28-5284 2300 50 153,248 2,625 X X 28-5284 2625 BE AEROSPACE INC COM 073302101 35,906,618 1,010,600 X 28-5284 986910 23690 365,923 10,299 X X 28-5284 639 9660 2,509,946 70,643 X 28-13605 70643 14,248 401 X X 28-13605 401 64,309 1,810 X 28-13663 1810 473,595 13,329 X 28-13605 13329 BEACON POWER CORP COM NEW 073677205 58,016 29,600 X X 28-5284 29600 BEACON ROOFING SUPPLY INC COM 073685109 16,376 800 X 28-5284 800 272,517 13,313 X X 28-5284 6438 6875 BECKMAN COULTER INC NOTE 2.500%12 075811AD1 356,250 3,000 X 28-5284 3000 475,000 4,000 X X 28-5284 4000 BECKMAN COULTER INC COM 075811109 3,253,021 39,160 X 28-5284 39160 833,940 10,039 X X 28-5284 6989 3050 COLUMN TOTAL 96,287,985 FILE NO. 28-1235 PAGE 35 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BECTON DICKINSON & CO COM 075887109 23,419,745 294,144 X 28-5284 292011 2133 15,432,347 193,825 X X 28-5284 177971 209 15645 1,822,183 22,886 X 28-13605 15692 7194 477,720 6,000 X X 28-13605 5947 19 34 262,826 3,301 X 28-13663 3096 205 298,575 3,750 X X 28-13663 3583 167 BED BATH & BEYOND INC COM 075896100 1,028,537 21,308 X 28-5284 19198 2110 641,798 13,296 X X 28-5284 13291 5 402,861 8,346 X 28-13605 1218 7128 241 5 X X 28-13605 5 86,886 1,800 X X 28-13663 1800 BEL FUSE INC CL B 077347300 2,641 120 X 28-5284 120 BELDEN INC COM 077454106 1,164 31 X 28-5284 31 201,268 5,360 X 28-13605 5360 BEMIS INC COM 081437105 1,233,000 37,580 X 28-5284 37513 67 2,151,122 65,563 X X 28-5284 65563 103,483 3,154 X 28-13605 461 2693 15,125 461 X 28-13663 414 47 BENCHMARK ELECTRS INC COM 08160H101 11,572 610 X 28-5284 610 BENEFICIAL MUTUAL BANCORP IN COM 08173R104 1,237,754 143,591 X 28-5284 143591 BERKLEY W R CORP COM 084423102 1,439,787 44,700 X 28-5284 500 44200 1,390,602 43,173 X X 28-5284 6083 37090 BERKSHIRE HATHAWAY INC DEL CL A 084670108 0 82 X 28-5284 76 6 0 2,367 X X 28-5284 2041 288 38 0 12 X X 28-13663 12 BERKSHIRE HATHAWAY INC DEL CL B NEW 084670702 39,772,254 475,574 X 28-5284 460622 14952 51,126,448 611,341 X X 28-5284 573401 2925 35015 5,070,069 60,625 X 28-13605 8994 51631 85,386 1,021 X 28-13663 750 271 703,663 8,414 X X 28-13663 7649 765 BERKSHIRE HILLS BANCORP INC COM 084680107 58,324 2,800 X X 28-5284 2800 COLUMN TOTAL 148,477,381 FILE NO. 28-1235 PAGE 36 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BERRY PETE CO CL A 085789105 75,675 1,500 X 28-5284 1500 93,333 1,850 X X 28-5284 700 1150 BEST BUY INC SDCV 2.250% 1 086516AF8 307,875 3,000 X 28-5284 3000 BEST BUY INC COM 086516101 1,809,130 62,992 X 28-5284 58126 4866 1,112,498 38,736 X X 28-5284 29667 9 9060 559,379 19,477 X 28-13605 7474 12003 52,242 1,819 X X 28-13605 1819 2,240 78 X 28-13663 78 BHP BILLITON LTD SPONSORED ADR 088606108 6,317,054 65,885 X 28-5284 63696 2189 8,776,088 91,532 X X 28-5284 84847 6685 50,625 528 X 28-13663 80 448 BIG LOTS INC COM 089302103 23,409 539 X 28-5284 354 185 48,034 1,106 X X 28-5284 1106 113,917 2,623 X 28-13605 383 2240 1,650 38 X 28-13663 38 BIO-REFERENCE LABS INC COM $.01 NEW 09057G602 1,303,270 58,078 X 28-13605 58078 7,854 350 X X 28-13605 350 279,917 12,474 X 28-13605 12474 BIO RAD LABS INC CL A 090572207 961 8 X 28-5284 8 375,918 3,129 X X 28-5284 3129 BIODELIVERY SCIENCES INTL IN COM 09060J106 2,118 600 X X 28-5284 600 BIOMARIN PHARMACEUTICAL INC COM 09061G101 6,584 262 X 28-5284 262 20,280 807 X X 28-5284 807 BIOGEN IDEC INC COM 09062X103 846,595 11,523 X 28-5284 10591 932 367,277 4,999 X X 28-5284 4428 1 570 602,381 8,199 X 28-13605 1197 7002 73 1 X X 28-13605 1 BIOMED REALTY TRUST INC COM 09063H107 39,181 2,060 X 28-5284 2060 BITSTREAM INC CL A 091736108 5,997 937 X 28-5284 937 BJS RESTAURANTS INC COM 09180C106 389,210 9,896 X 28-5284 352 9544 16,479 419 X 28-13663 419 COLUMN TOTAL 23,607,244 FILE NO. 28-1235 PAGE 37 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BLACK BOX CORP DEL COM 091826107 5,624 160 X 28-5284 160 21,442 610 X X 28-5284 10 600 182,569 5,194 X 28-13605 5194 BLACKBOARD INC COM 091935502 319,637 8,820 X 28-5284 183 8637 13,807 381 X 28-13663 381 BLACKROCK FLOATING RATE INCO COM 091941104 53,676 3,600 X X 28-5284 3600 BLACK HILLS CORP COM 092113109 132,824 3,972 X 28-5284 3972 76,912 2,300 X X 28-5284 1800 500 BLACKBAUD INC COM 09227Q100 1,280 47 X 28-5284 47 BLACKROCK INVT QLTY MUN TR COM 09247B109 213,279 19,389 X X 28-5284 19389 BLACKROCK INVT QUALITY MUN T COM 09247D105 65,950 5,000 X 28-5284 5000 BLACKROCK INC DBCV 2.625% 2 09247XAB7 203,625 1,000 X 28-5284 1000 BLACKROCK INC COM 09247X101 29,755,711 148,031 X 28-5284 123316 24715 1,301,741 6,476 X X 28-5284 5103 1373 6,671,009,325 33,187,450 X 28-4750 33187450 BLACKROCK INCOME OPP TRUST I COM 092475102 4,660 500 X 28-5284 500 13,980 1,500 X X 28-5284 1500 BLACKROCK MUNICIPL INC QLTY COM 092479104 95,256 7,333 X 28-5284 7333 19,082 1,469 X X 28-5284 1469 BLACKROCK MUN INCOME TR SH BEN INT 09248F109 92,550 7,500 X 28-5284 7500 55,530 4,500 X X 28-5284 4500 BLACKROCK N J MUN INCOME TR SH BEN INT 09248J101 9,900 750 X 28-5284 750 BLACKROCK N Y MUN INCOME TR SH BEN INT 09248L106 16,934 1,220 X X 28-5284 1220 BLACKROCK PA STRATEGIC MUN T COM 09248R103 116,314 9,087 X 28-5284 9087 BLACKROCK BUILD AMER BD TR SHS 09248X100 28,967 1,660 X X 28-5284 1660 BLACKROCK NJ MUNICIPAL BOND COM 09249A109 52,536 4,035 X 28-5284 4035 34,789 2,672 X X 28-5284 2672 COLUMN TOTAL 6,703,897,900 FILE NO. 28-1235 PAGE 38 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BLACKROCK CORE BD TR SHS BEN INT 09249E101 74,896 6,200 X X 28-5284 6200 BLACKROCK MUNI INCOME TR II COM 09249N101 133,768 9,979 X 28-5284 9979 13,311 993 X X 28-5284 993 BLACKROCK NY MUN INCOME TR I COM 09249R102 9,153 675 X 28-5284 675 BLACKROCK CREDIT ALL IN TR I COM SHS 09249V103 36,855 3,500 X X 28-5284 3500 BLACKROCK LTD DURATION INC T COM SHS 09249W101 17,320 1,000 X X 28-5284 1000 BLACKROCK MUN 2020 TERM TR COM SHS 09249X109 44,439 3,050 X 28-5284 3050 BLACKROCK LONG-TERM MUNI ADV COM 09250B103 20,460 2,000 X 28-5284 2000 BLACKROCK S&P QLTY RK EQ MD SHS BEN INT 09250D109 4,164 300 X 28-5284 300 BLACKROCK DIVID ACHIEVRS TM COM 09250N107 17,728 1,750 X 28-5284 1750 BLACKROCK ENERGY & RES TR COM 09250U101 128,651 4,105 X 28-5284 4105 1,160,708 37,036 X X 28-5284 37036 BLACKROCK GLOBAL OPP EQTY TR COM 092501105 15,124 814 X 28-5284 814 262,015 14,102 X X 28-5284 14102 BLACKROCK CREDIT ALL INC TR COM 092508100 38,614 3,186 X 28-5284 3186 4,848 400 X X 28-5284 400 BLACKROCK ENHANCED DIV ACHV COM 09251A104 15,645 1,750 X 28-5284 1750 56,322 6,300 X X 28-5284 6300 BLACKROCK INTL GRWTH & INC T COM BENE INTER 092524107 55,382 5,419 X 28-5284 5419 230,972 22,600 X X 28-5284 22600 BLACKROCK KELSO CAPITAL CORP COM 092533108 1,502,122 148,431 X 148431 BLACKROCK MUNIVEST FD INC COM 09253R105 4,610 500 X 28-5284 500 BLACKSTONE GROUP L P COM UNIT LTD 09253U108 398,724 22,300 X 28-5284 22300 21,635 1,210 X X 28-5284 210 1000 BLACKROCK MUNIYIELD FD INC COM 09253W104 98,371 7,475 X 28-5284 7475 206,836 15,717 X X 28-5284 15717 BLACKROCK MUNI INTER DR FD I COM 09253X102 247,268 17,905 X 28-5284 17905 COLUMN TOTAL 4,819,941 FILE NO. 28-1235 PAGE 39 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BLACKROCK MUNIHOLDNGS QLTY I COM 09254A101 9,696 800 X 28-5284 800 BLACKROCK REAL ASSET EQUITY COM 09254B109 225,360 14,400 X 28-5284 14400 54,384 3,475 X X 28-5284 3475 BLACKROCK MUNIYIELD QLTY FD COM 09254E103 73,746 6,120 X 28-5284 6120 50,200 4,166 X X 28-5284 4166 BLACKROCK MUNIYIELD QUALITY COM 09254F100 78,393 5,966 X X 28-5284 5966 BLACKROCK MUNIYIELD QUALITY COM 09254G108 49,588 4,400 X 28-5284 4400 169,050 15,000 X X 28-5284 15000 BLACKROCK MUNIASSETS FD INC COM 09254J102 59,408 5,262 X 28-5284 5262 12,329 1,092 X X 28-5284 1092 BLACKROCK MUNIYIELD ARIZ FD COM 09254K109 52,106 4,364 X X 28-5284 4364 BLACKROCK MUNIHLDNGS CALI QL COM 09254L107 50,690 4,078 X 28-5284 4078 BLACKROCK MUNIYIELD CALI QLT COM 09254N103 27,989 2,259 X 28-5284 2259 BLACKROCK MUNIHLDS INVSTM QL COM 09254P108 119,980 9,337 X X 28-5284 9337 BLACKROCK MUNIHLDGS NJ QLTY COM 09254X101 71,524 5,275 X 28-5284 5275 BLACKROCK MUNIYIELD N J FD I COM 09254Y109 32,451 2,451 X 28-5284 2451 BLACKROCK ECOSOLUTIONS INVT COM SH 092546100 25,960 2,187 X 28-5284 2187 BLACKROCK MUNIYIELD NJ QLTY COM 09255A100 50,543 3,876 X 28-5284 3876 BLACKROCK MUNIYIELD PA QLTY COM 09255G107 165,794 11,988 X 28-5284 11988 675,485 48,842 X X 28-5284 48842 BLACKROCK CREDIT ALL INC TR COM 09255H105 19,660 2,000 X X 28-5284 2000 BLACKROCK CORPOR HIGH YLD FD COM 09255L106 29,956 4,178 X X 28-5284 4178 BLACKROCK CORPOR HI YLD FD V COM 09255N102 183,427 15,440 X 28-5284 15440 87,389 7,356 X X 28-5284 7356 BLACKROCK DEFINED OPPRTY CR COM 09255Q105 20,317 1,359 X 28-5284 1359 COLUMN TOTAL 2,395,425 FILE NO. 28-1235 PAGE 40 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BLACKROCK DEBT STRAT FD INC COM 09255R103 55,062 13,800 X 28-5284 13800 1,999 501 X X 28-5284 501 BLACKROCK SR HIGH INCOME FD COM 09255T109 11,481 2,780 X 28-5284 2780 BLACKROCK ENH CAP & INC FD I COM 09256A109 23,975 1,593 X 28-5284 1593 120,400 8,000 X X 28-5284 8000 BLOCK H & R INC COM 093671105 515,441 30,791 X 28-5284 25065 5726 562,347 33,593 X X 28-5284 33543 50 182,968 10,930 X 28-13605 1596 9334 85,876 5,130 X 28-13663 5000 130 BLUE COAT SYSTEMS INC COM NEW 09534T508 396,436 14,078 X 28-5284 14078 17,431 619 X 28-13663 619 BLUEGREEN CORP COM 096231105 81,053 19,721 X 28-13605 19721 BOARDWALK PIPELINE PARTNERS UT LTD PARTNER 096627104 9,167,009 280,680 X 28-5284 280680 2,453,844 75,133 X X 28-5284 70133 5000 BOB EVANS FARMS INC COM 096761101 14,866 456 X 28-5284 456 3,130 96 X X 28-5284 96 BOEING CO COM 097023105 9,613,709 130,038 X 28-5284 118287 11751 16,393,608 221,745 X X 28-5284 187271 387 34087 1,929,055 26,093 X 28-13605 3814 22279 1,626 22 X X 28-13605 22 298,677 4,040 X 28-13663 3000 1040 1,109 15 X X 28-13663 15 BOISE INC COM 09746Y105 276,357 30,170 X 28-13605 30170 BOOZ ALLEN HAMILTON HLDG COR CL A 099502106 1,891 105 X X 28-5284 105 BORGWARNER INC NOTE 3.500% 4 099724AF3 978,000 4,000 X X 28-5284 4000 BORGWARNER INC COM 099724106 8,745,260 109,741 X 28-5284 97346 12395 1,470,838 18,457 X X 28-5284 11021 7436 28,394,583 356,313 X 28-13605 326674 29639 5,169,012 64,864 X X 28-13605 61673 225 2966 109,574 1,375 X 28-13663 730 645 COLUMN TOTAL 87,076,617 FILE NO. 28-1235 PAGE 41 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BOSTON BEER INC CL A 100557107 62,519 675 X 28-5284 675 BOSTON PRIVATE FINL HLDGS IN COM 101119105 4,313 610 X 28-5284 610 BOSTON PPTYS LTD PARTNERSHIP NOTE 3.750% 5 10112RAG9 457,000 4,000 X X 28-5284 4000 BOSTON PROPERTIES INC COM 101121101 2,103,963 22,182 X 28-5284 21761 421 4,652,582 49,052 X X 28-5284 48549 3 500 475,578 5,014 X 28-13605 732 4282 285 3 X X 28-13605 3 2,846 30 X 28-13663 30 BOSTON SCIENTIFIC CORP COM 101137107 92,974 12,931 X 28-5284 9004 3927 287,542 39,992 X X 28-5284 39761 31 200 379,229 52,744 X 28-13605 7703 45041 223 31 X X 28-13605 31 3,890 541 X 28-13663 541 BOULDER GROWTH & INCOME FD I COM 101507101 40,199 6,100 X X 28-5284 6100 BOYD GAMING CORP COM 103304101 1,640 175 X 28-5284 175 4,704 502 X X 28-5284 502 BRADY CORP CL A 104674106 310,860 8,710 X 28-5284 8260 450 141,261 3,958 X X 28-5284 58 3900 BRANDYWINE RLTY TR SH BEN INT NEW 105368203 7,114 586 X 28-5284 586 44,930 3,701 X X 28-5284 901 2800 BRASIL TELECOM SA SPONS ADR PFD 10553M101 5,672 210 X X 28-5284 210 BREITBURN ENERGY PARTNERS LP COM UT LTD PTN 106776107 10,865 500 X 28-5284 500 23,903 1,100 X X 28-5284 1100 292,116 13,443 X 28-13605 13443 BRIGGS & STRATTON CORP COM 109043109 48,765 2,153 X 28-5284 1673 480 1,012,455 44,700 X X 28-5284 44700 BRIGHAM EXPLORATION CO COM 109178103 238,101 6,404 X 28-5284 177 6227 41,456 1,115 X X 28-5284 15 1100 BRIGHTPOINT INC COM NEW 109473405 889 82 X X 28-5284 82 141,588 13,058 X 28-13605 13058 COLUMN TOTAL 10,889,462 FILE NO. 28-1235 PAGE 42 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BRINKER INTL INC COM 109641100 69,322 2,740 X 28-5284 740 2000 19,936 788 X X 28-5284 788 214,418 8,475 X 28-13605 8475 BRINKS CO COM 109696104 228,459 6,900 X 28-5284 6900 1,987 60 X X 28-5284 60 BRISTOL MYERS SQUIBB CO COM 110122108 78,174,733 2,957,803 X 28-5284 2906066 51737 84,379,889 3,192,580 X X 28-5284 3095796 7100 89684 7,905,266 299,102 X 28-13605 187666 111436 1,299,854 49,181 X X 28-13605 48517 112 552 636,144 24,069 X 28-13663 23282 787 627,713 23,750 X X 28-13663 23420 330 BRISTOW GROUP INC COM 110394103 10,311 218 X 28-5284 218 BRITISH AMERN TOB PLC SPONSORED ADR 110448107 127,883 1,579 X 28-5284 1224 355 430,705 5,318 X X 28-5284 1318 4000 BROADCOM CORP CL A 111320107 14,686,771 372,950 X 28-5284 369456 3494 5,138,499 130,485 X X 28-5284 117047 193 13245 659,457 16,746 X 28-13605 2540 14206 69,624 1,768 X X 28-13605 1768 193,238 4,907 X 28-13663 4531 376 308,975 7,846 X X 28-13663 7846 BROADSOFT INC COM 11133B409 2,571 54 X X 28-5284 54 BROADRIDGE FINL SOLUTIONS IN COM 11133T103 616,578 27,174 X 28-5284 14174 13000 980,299 43,204 X X 28-5284 38604 1775 2825 BROCADE COMMUNICATIONS SYS I COM NEW 111621306 75,909 12,343 X 28-5284 12343 142,409 23,156 X X 28-5284 2956 20200 BROOKDALE SR LIVING INC COM 112463104 38,752 1,384 X X 28-5284 584 800 BROOKFIELD ASSET MGMT INC CL A LTD VT SH 112585104 180,672 5,566 X 28-5284 5566 4,215,970 129,882 X X 28-5284 82532 47350 BROOKFIELD PPTYS CORP COM 112900105 33,668 1,900 X X 28-5284 1900 BROOKLINE BANCORP INC DEL COM 11373M107 30,537 2,900 X 28-5284 2900 27,378 2,600 X X 28-5284 2600 COLUMN TOTAL 201,527,927 FILE NO. 28-1235 PAGE 43 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BROOKS AUTOMATION INC COM 114340102 43,936 3,200 X X 28-5284 3200 BROWN & BROWN INC COM 115236101 16,254 630 X 28-5284 630 138,107 5,353 X X 28-5284 5353 BROWN FORMAN CORP CL A 115637100 3,137,563 46,161 X 28-5284 46161 249,482,118 3,670,474 X X 28-5284 109300 3561174 68,130,477 1,002,361 X X 28-13663 1002361 BROWN FORMAN CORP CL B 115637209 8,949,417 131,031 X 28-5284 114673 16358 48,052,328 703,548 X X 28-5284 703547 1 300,793 4,404 X 28-13605 644 3760 68 1 X X 28-13605 1 8,879 130 X 28-13663 125 5 BROWN SHOE INC NEW COM 115736100 4,668 382 X 28-5284 382 1,833 150 X X 28-5284 150 BRUKER CORP COM 116794108 793,488 38,057 X 28-5284 373 37684 280,245 13,441 X X 28-5284 581 12860 66,303 3,180 X 28-13663 3180 BRUNSWICK CORP COM 117043109 12,715 500 X 28-5284 500 4,705 185 X X 28-5284 185 BRYN MAWR BK CORP COM 117665109 188,689 9,173 X 28-5284 9173 238,612 11,600 X X 28-5284 6500 5100 BUCKEYE PARTNERS L P UNIT LTD PARTN 118230101 4,292,127 67,550 X 28-5284 67550 1,031,508 16,234 X X 28-5284 16234 BUCKEYE TECHNOLOGIES INC COM 118255108 9,531 350 X 28-5284 350 196,056 7,200 X 28-13605 7200 BUCKLE INC COM 118440106 21,412 530 X X 28-5284 530 1,013,192 25,079 X 28-13605 25079 86,133 2,132 X X 28-13605 2132 163,580 4,049 X 28-13605 4049 BUCYRUS INTL INC NEW COM 118759109 542,939 5,937 X 28-5284 5937 120,623 1,319 X X 28-5284 1319 18,290 200 X 28-13663 200 COLUMN TOTAL 387,346,658 FILE NO. 28-1235 PAGE 44 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ BUFFALO WILD WINGS INC COM 119848109 20,738 381 X 28-5284 381 CBIZ INC COM 124805102 1,081,500 150,000 X 28-5284 150000 CBL & ASSOC PPTYS INC COM 124830100 6,062 348 X 28-5284 348 CBS CORP NEW CL A 124857103 27,933 1,112 X 28-5284 1045 67 12,861 512 X X 28-5284 437 75 CBS CORP NEW CL B 124857202 415,839 16,607 X 28-5284 12810 3797 1,335,008 53,315 X X 28-5284 42369 1000 9946 602,462 24,060 X 28-13605 3514 20546 25,040 1,000 X X 28-13605 1000 3,756 150 X 28-13663 150 22,536 900 X X 28-13663 900 CB RICHARD ELLIS GROUP INC CL A 12497T101 51,851 1,942 X 28-5284 1348 594 148,586 5,565 X X 28-5284 5565 330,573 12,381 X 28-13605 1808 10573 2,376 89 X 28-13663 89 CBOE HLDGS INC COM 12503M108 2,868 99 X X 28-5284 99 C D I CORP COM 125071100 1,775 120 X 28-5284 120 CEC ENTMT INC COM 125137109 7,169 190 X 28-5284 190 6,603 175 X X 28-5284 175 CFS BANCORP INC COM 12525D102 10,044 1,800 X X 28-5284 1800 CF INDS HLDGS INC COM 125269100 94,522 691 X 28-5284 466 225 166,473 1,217 X X 28-5284 1114 3 100 346,215 2,531 X 28-13605 369 2162 410 3 X X 28-13605 3 CH ENERGY GROUP INC COM 12541M102 84,907 1,680 X 28-5284 1550 130 7,581 150 X X 28-5284 150 COLUMN TOTAL 4,815,688 FILE NO. 28-1235 PAGE 45 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ C H ROBINSON WORLDWIDE INC COM NEW 12541W209 521,060 7,029 X 28-5284 4444 2585 1,914,259 25,823 X X 28-5284 25577 1 245 427,656 5,769 X 28-13605 842 4927 74 1 X X 28-13605 1 2,817 38 X 28-13663 38 1,927 26 X X 28-13663 26 CIGNA CORP COM 125509109 4,890,106 110,436 X 28-5284 108366 2070 8,339,430 188,334 X X 28-5284 188207 27 100 437,929 9,890 X 28-13605 1445 8445 1,196 27 X X 28-13605 27 CIT GROUP INC COM NEW 125581801 176,965 4,159 X 28-5284 1319 2840 733,605 17,241 X X 28-5284 861 16380 CLECO CORP NEW COM 12561W105 153,619 4,480 X 28-5284 548 3932 91,760 2,676 X X 28-5284 2676 304,770 8,888 X 28-13605 8888 CKX INC COM 12562M106 8,440 2,000 X 28-5284 2000 CME GROUP INC COM 12572Q105 437,851 1,452 X 28-5284 820 632 367,589 1,219 X X 28-5284 1100 4 115 708,341 2,349 X 28-13605 344 2005 1,206 4 X X 28-13605 4 CMS ENERGY CORP COM 125896100 48,589 2,474 X 28-5284 1802 672 421,023 21,437 X X 28-5284 2143 13 19281 425,383 21,659 X 28-13605 13666 7993 255 13 X X 28-13605 13 17,990 916 X X 28-13663 916 CNA FINL CORP COM 126117100 1,330 45 X 28-5284 45 5,260 178 X X 28-5284 178 CNB FINL CORP PA COM 126128107 156,708 10,800 X X 28-5284 10800 CNOOC LTD SPONSORED ADR 126132109 150,306 594 X 28-5284 473 121 411,443 1,626 X X 28-5284 1386 240 CPFL ENERGIA S A SPONSORED ADR 126153105 70,802 810 X 28-5284 810 319,047 3,650 X X 28-5284 3650 COLUMN TOTAL 21,548,736 FILE NO. 28-1235 PAGE 46 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CNO FINL GROUP INC COM 12621E103 201,801 26,871 X 28-5284 26871 269,038 35,824 X 28-13605 35824 CRH PLC ADR 12626K203 10,403 448 X 28-5284 448 37,152 1,600 X X 28-5284 1600 CSX CORP COM 126408103 30,100,735 382,961 X 28-5284 373255 9706 15,858,886 201,767 X X 28-5284 186335 120 15312 12,041,206 153,196 X 28-13605 117147 36049 1,237,007 15,738 X X 28-13605 15598 140 287,204 3,654 X 28-13663 2253 1401 67,046 853 X X 28-13663 853 CTS CORP COM 126501105 13,716 1,270 X 28-5284 1000 270 CVB FINL CORP COM 126600105 781,156 83,905 X 28-13605 83905 4,590 493 X X 28-13605 493 161,963 17,396 X 28-13605 17396 CVR ENERGY INC COM 12662P108 363,033 15,675 X 28-13605 15675 CVS CAREMARK CORPORATION COM 126650100 20,522,914 597,987 X 28-5284 569086 28901 14,821,572 431,864 X X 28-5284 384405 68 47391 7,616,741 221,933 X 28-13605 182819 39114 119,571 3,484 X X 28-13605 3484 214,294 6,244 X 28-13663 4313 1931 46,778 1,363 X X 28-13663 1200 163 CA INC COM 12673P105 329,356 13,621 X 28-5284 12491 1130 182,003 7,527 X X 28-5284 7486 41 317,459 13,129 X 28-13605 1918 11211 991 41 X X 28-13605 41 CABLEVISION SYS CORP CL A NY CABLVS 12686C109 203,507 5,880 X 28-5284 5880 103,207 2,982 X X 28-5284 2982 292,697 8,457 X 28-13605 1235 7222 CABOT CORP COM 127055101 190,946 4,125 X 28-5284 4125 31,246 675 X X 28-5284 611 64 205,018 4,429 X 28-13605 4429 CABOT MICROELECTRONICS CORP COM 12709P103 9,823 188 X 28-5284 188 1,045 20 X X 28-5284 20 COLUMN TOTAL 106,644,104 FILE NO. 28-1235 PAGE 47 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CABOT OIL & GAS CORP COM 127097103 284,555 5,372 X 28-5284 2176 3196 593,953 11,213 X X 28-5284 1833 9380 91,426 1,726 X 28-13605 252 1474 CACI INTL INC NOTE 2.125% 5 127190AD8 250,500 2,000 X 28-5284 2000 CACI INTL INC CL A 127190304 235,101 3,834 X 28-5284 3834 20,358 332 X X 28-5284 166 166 170,163 2,775 X 28-13605 2775 CADENCE DESIGN SYSTEM INC COM 127387108 268,018 27,489 X X 28-5284 2389 25100 CAL DIVE INTL INC DEL COM 12802T101 572 82 X X 28-5284 82 CAL MAINE FOODS INC COM NEW 128030202 23,600 800 X 28-5284 800 CALAMOS GBL DYN INCOME FUND COM 12811L107 10,581 1,219 X 28-5284 1219 CALAMOS CONV & HIGH INCOME F COM SHS 12811P108 66,154 4,850 X 28-5284 4850 10,039 736 X X 28-5284 736 CALAMOS ASSET MGMT INC CL A 12811R104 236,258 14,241 X 28-13605 14241 CALAMOS CONV OPP AND INC FD SH BEN INT 128117108 24,048 1,800 X X 28-5284 1800 CALAMOS STRATEGIC TOTL RETN COM SH BEN INT 128125101 75,894 7,800 X 28-5284 7800 CALGON CARBON CORP COM 129603106 1,715 108 X 28-5284 108 4,768,764 300,300 X X 28-5284 300 300000 CALIFORNIA WTR SVC GROUP COM 130788102 148,680 4,000 X 28-5284 4000 37,170 1,000 X X 28-5284 1000 CALLAWAY GOLF CO COM 131193104 682 100 X 28-5284 100 CALPINE CORP COM NEW 131347304 664,525 41,873 X 28-5284 4983 36890 359,630 22,661 X X 28-5284 3741 18920 2,175,967 137,112 X 28-13605 137112 50,467 3,180 X 28-13663 3180 CALUMET SPECIALTY PRODS PTNR UT LTD PARTNER 131476103 21,250 1,000 X 28-5284 1000 CAMAC ENERGY INC COM 131745101 15,360 10,240 X 28-5284 10240 COLUMN TOTAL 10,605,430 FILE NO. 28-1235 PAGE 48 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CAMDEN NATL CORP COM 133034108 34,240 1,000 X X 28-5284 1000 CAMDEN PPTY TR SH BEN INT 133131102 110,629 1,947 X 28-5284 1947 25,626 451 X X 28-5284 451 CAMECO CORP COM 13321L108 296,885 9,883 X 28-5284 7204 2679 703,236 23,410 X X 28-5284 22960 450 CAMERON INTERNATIONAL CORP NOTE 2.500% 6 13342BAB1 645,500 4,000 X X 28-5284 4000 CAMERON INTERNATIONAL CORP COM 13342B105 656,365 11,495 X 28-5284 11137 358 384,169 6,728 X X 28-5284 4900 28 1800 486,092 8,513 X 28-13605 1243 7270 1,599 28 X X 28-13605 28 CAMPBELL SOUP CO COM 134429109 3,526,745 106,516 X 28-5284 103180 3336 158,795,394 4,795,995 X X 28-5284 96661 1248885 3450449 244,915 7,397 X 28-13605 1736 5661 1,060 32 X X 28-13605 32 1,225 37 X 28-13663 37 CDN IMPERIAL BK OF COMMERCE COM 136069101 17,274 200 X 28-5284 200 11,228 130 X X 28-5284 130 CANADIAN NATL RY CO COM 136375102 532,987 7,081 X 28-5284 6983 98 3,433,291 45,613 X X 28-5284 24413 21200 7,452 99 X 28-13663 99 CANADIAN NAT RES LTD COM 136385101 1,352,306 27,358 X 28-5284 10596 16762 2,371,553 47,978 X X 28-5284 41478 6500 97,179 1,966 X X 28-13663 1966 CANADIAN PAC RY LTD COM 13645T100 90,076 1,400 X 28-5284 1400 605,118 9,405 X X 28-5284 1185 8220 CANADIAN SOLAR INC COM 136635109 36,344 3,222 X 28-5284 3222 11,280 1,000 X X 28-5284 1000 CANO PETE INC COM 137801106 5,260 10,000 X X 28-5284 10000 CANON INC ADR 138006309 98,795 2,279 X 28-5284 1606 673 374,544 8,640 X X 28-5284 1615 7025 9,450 218 X 28-13663 218 COLUMN TOTAL 174,967,817 FILE NO. 28-1235 PAGE 49 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CANTEL MEDICAL CORP COM 138098108 4,790 186 X 28-5284 186 CAPELLA EDUCATION COMPANY COM 139594105 13,941 280 X X 28-5284 280 CAPLEASE INC COM 140288101 8,220 1,500 X 28-5284 1500 CAPITAL ONE FINL CORP COM 14040H105 20,800,887 400,325 X 28-5284 387620 12705 5,186,180 99,811 X X 28-5284 91671 28 8112 32,227,670 620,240 X 28-13605 540035 80205 5,825,340 112,112 X X 28-13605 106151 414 5547 140,240 2,699 X 28-13663 1652 1047 310,773 5,981 X X 28-13663 5981 CAPITALSOURCE INC COM 14055X102 7,040 1,000 X 28-5284 1000 15,488 2,200 X X 28-5284 2200 110,838 15,744 X 28-13605 15744 CAPITOL FED FINL INC COM 14057J101 52,034 4,617 X 28-5284 4617 3,482 309 X X 28-5284 309 CAPSTONE TURBINE CORP COM 14067D102 181 100 X 28-5284 100 CAPSTEAD MTG CORP COM NO PAR 14067E506 6,390 500 X 28-5284 500 CARBO CERAMICS INC COM 140781105 40,219 285 X 28-5284 120 165 134,911 956 X 28-13605 956 CARDINAL HEALTH INC COM 14149Y108 1,046,882 25,453 X 28-5284 20880 4573 1,375,963 33,454 X X 28-5284 22620 22 10812 494,671 12,027 X 28-13605 1757 10270 905 22 X X 28-13605 22 4,072 99 X 28-13663 99 CAREER EDUCATION CORP COM 141665109 11,905 524 X X 28-5284 524 CAREFUSION CORP COM 14170T101 114,238 4,051 X 28-5284 3353 698 195,849 6,945 X X 28-5284 4928 11 2006 220,355 7,814 X 28-13605 1141 6673 310 11 X X 28-13605 11 3,440 122 X 28-13663 122 CARLISLE COS INC COM 142339100 599,598 13,459 X 28-5284 13459 333,234 7,480 X X 28-5284 6360 1120 COLUMN TOTAL 69,290,046 FILE NO. 28-1235 PAGE 50 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CARMAX INC COM 143130102 36,851 1,148 X 28-5284 1112 36 875,367 27,270 X X 28-5284 27270 250,669 7,809 X 28-13605 1141 6668 1,637 51 X 28-13663 51 CARNIVAL CORP PAIRED CTF 143658300 1,229,169 32,043 X 28-5284 25586 6457 1,296,146 33,789 X X 28-5284 26699 15 7075 601,715 15,686 X 28-13605 2291 13395 575 15 X X 28-13605 15 7,825 204 X 28-13663 124 80 47,029 1,226 X X 28-13663 1226 CARPENTER TECHNOLOGY CORP COM 144285103 4,082,734 95,592 X 28-5284 19000 76592 9,595,271 224,661 X X 28-5284 209861 14800 CARRIZO OIL & CO INC COM 144577103 14,772 400 X X 28-5284 400 CASCADE CORP COM 147195101 1,025 23 X 28-5284 23 CASEYS GEN STORES INC COM 147528103 66,690 1,710 X 28-5284 1710 173,550 4,450 X X 28-5284 100 4350 CASH AMER INTL INC COM 14754D100 33,064 718 X 28-5284 458 260 2,072 45 X X 28-5284 45 655,245 14,229 X 28-13605 14229 CASTLE A M & CO COM 148411101 3,021 160 X 28-5284 160 CATALYST HEALTH SOLUTIONS IN COM 14888B103 50,393 901 X 28-5284 901 220,924 3,950 X X 28-5284 3950 2,720,323 48,638 X 28-13605 48638 12,976 232 X X 28-13605 232 457,796 8,185 X 28-13605 8185 CATERPILLAR INC DEL COM 149123101 25,436,460 228,437 X 28-5284 206511 21926 24,193,794 217,277 X X 28-5284 208964 123 8190 9,399,610 84,415 X 28-13605 65008 19407 1,005,268 9,028 X X 28-13605 9028 67,589 607 X 28-13663 500 107 1,892,727 16,998 X X 28-13663 16970 28 CATO CORP NEW CL A 149205106 6,983 285 X 28-5284 285 CAVCO INDS INC DEL COM 149568107 45,160 1,000 X 28-5284 1000 COLUMN TOTAL 84,484,430 FILE NO. 28-1235 PAGE 51 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CAVIUM NETWORKS INC COM 14965A101 223,751 4,980 X X 28-5284 530 4450 CBEYOND INC COM 149847105 358,782 30,744 X 28-5284 30744 15,731 1,348 X 28-13663 1348 CEDAR FAIR L P DEPOSITRY UNIT 150185106 96,000 5,000 X 28-5284 5000 105,984 5,520 X X 28-5284 5520 CEDAR SHOPPING CTRS INC COM NEW 150602209 6,633 1,100 X X 28-5284 1100 CELANESE CORP DEL COM SER A 150870103 31,130,791 701,618 X 28-5284 692509 9109 6,748,810 152,103 X X 28-5284 149558 150 2395 27,523,598 620,320 X 28-13605 607746 12574 5,690,009 128,240 X X 28-13605 121763 486 5991 146,155 3,294 X 28-13663 3294 37,271 840 X X 28-13663 840 CELL THERAPEUTICS INC COM NO PAR 150934503 100,812 271,000 X 28-5284 271000 CELERA CORP COM 15100E106 8,110 1,000 X 28-5284 1000 CELGENE CORP COM 151020104 8,412,168 146,108 X 28-5284 143393 2715 4,171,309 72,450 X X 28-5284 63051 2 9397 4,455,384 77,384 X 28-13605 62992 14392 555,426 9,647 X X 28-13605 9647 63,333 1,100 X 28-13663 1076 24 46,290 804 X X 28-13663 804 CELGENE CORP RIGHT 12/31/20 151020112 268 109 X X 28-5284 109 CEMEX SAB DE CV SPON ADR NEW 151290889 22,477 2,517 X 28-5284 2517 4,108 460 X X 28-5284 460 CENTENE CORP DEL COM 15135B101 10,092 306 X 28-5284 306 CENOVUS ENERGY INC COM 15135U109 150,274 3,816 X 28-5284 3670 146 660,600 16,775 X X 28-5284 3850 12925 CENTERPOINT ENERGY INC COM 15189T107 364,914 20,781 X 28-5284 20036 745 354,378 20,181 X X 28-5284 20181 260,836 14,854 X 28-13605 2168 12686 4,232 241 X 28-13663 241 18,614 1,060 X X 28-13663 1060 COLUMN TOTAL 91,747,140 FILE NO. 28-1235 PAGE 52 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CENTERSTATE BANKS INC COM 15201P109 2,100 300 X 28-5284 300 CENTRAIS ELETRICAS BRASILEIR SPON ADR PFD B 15234Q108 39,260 2,030 X 28-5284 2030 CENTRAIS ELETRICAS BRASILEIR SPONSORED ADR 15234Q207 26,476 1,707 X 28-5284 843 864 776 50 X X 28-5284 50 CENTRAL EUROPEAN DIST CORP COM 153435102 284 25 X 28-5284 25 CENTRAL EUROPE & RUSSIA FD I COM 153436100 27,135 599 X 28-5284 599 CENTRAL FD CDA LTD CL A 153501101 1,624,174 72,605 X 28-5284 72605 123,035 5,500 X X 28-5284 5500 CENTRAL SECS CORP COM 155123102 35,145 1,500 X X 28-5284 1500 CENTRAL VT PUB SVC CORP COM 155771108 14,207 610 X 28-5284 500 110 4,658 200 X X 28-5284 200 CENTRAL VA BANKSHARES INC COM 155792104 1,551 1,000 X 28-5284 1000 CENTURY ALUM CO COM 156431108 32,316 1,730 X 28-5284 1730 CEPHEID COM 15670R107 56,040 2,000 X 28-5284 2000 CENVEO INC COM 15670S105 19,590 3,000 X 28-5284 3000 CENTURYLINK INC COM 156700106 21,860,244 526,119 X 28-5284 508881 17238 10,087,426 242,778 X X 28-5284 235366 312 7100 21,629,808 520,573 X 28-13605 461745 58828 4,060,972 97,737 X X 28-13605 92490 366 4881 45,539 1,096 X 28-13663 1042 54 53,766 1,294 X X 28-13663 500 794 CEPHALON INC COM 156708109 304,168 3,998 X 28-5284 3715 283 217,893 2,864 X X 28-5284 2864 315,580 4,148 X 28-13605 605 3543 CERNER CORP COM 156782104 141,891 1,276 X 28-5284 1265 11 94,631 851 X X 28-5284 851 272,662 2,452 X 28-13605 359 2093 CEVA INC COM 157210105 115,687 4,328 X 28-13605 4328 COLUMN TOTAL 61,207,014 FILE NO. 28-1235 PAGE 53 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CHARLES RIV LABS INTL INC COM 159864107 9,595 250 X 28-5284 250 15,429 402 X X 28-5284 402 107,848 2,810 X 28-13605 2810 CHARMING SHOPPES INC COM 161133103 298 70 X 28-5284 70 639 150 X X 28-5284 150 CHART INDS INC COM PAR $0.01 16115Q308 3,137 57 X 28-5284 57 CHARTER COMMUNICATIONS INC D CL A NEW 16117M305 253 5 X 28-5284 5 CHECKPOINT SYS INC COM 162825103 16,523 735 X 28-5284 375 360 22,637 1,007 X X 28-5284 1007 CHEESECAKE FACTORY INC COM 163072101 4,814 160 X 28-5284 160 131,012 4,354 X X 28-5284 54 4300 473,887 15,749 X 28-13605 15749 CHEMED CORP NEW COM 16359R103 96,718 1,452 X X 28-5284 1452 144,544 2,170 X 28-13605 2170 CHEMTURA CORP COM NEW 163893209 516 30 X X 28-5284 27 3 CHENIERE ENERGY PARTNERS LP COM UNIT 16411Q101 116,373 6,096 X 28-13605 6096 CHEROKEE INC DEL NEW COM 16444H102 9,493 550 X 28-5284 550 CHESAPEAKE ENERGY CORP NOTE 2.750%11 165167BW6 172,000 2,000 X 28-5284 2000 CHESAPEAKE ENERGY CORP NOTE 2.250%12 165167CB1 149,500 2,000 X 28-5284 2000 CHESAPEAKE ENERGY CORP COM 165167107 2,411,194 71,933 X 28-5284 65829 6104 3,801,570 113,412 X X 28-5284 112483 29 900 4,809,483 143,481 X 28-13605 74470 69011 283,479 8,457 X X 28-13605 8182 275 67,844 2,024 X X 28-13663 1500 524 CHESAPEAKE UTILS CORP COM 165303108 45,782 1,100 X 28-5284 1100 282,766 6,794 X X 28-5284 5594 1200 COLUMN TOTAL 13,177,334 FILE NO. 28-1235 PAGE 54 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CHEVRON CORP NEW COM 166764100 310,159,385 2,885,472 X 28-5284 2834663 50809 228,983,045 2,130,273 X X 28-5284 1879844 5584 244845 89,157,688 829,451 X 28-13605 689242 140209 14,810,510 137,785 X X 28-13605 131548 492 5745 1,760,041 16,374 X 28-13663 15669 705 2,656,723 24,716 X X 28-13663 24200 516 CHICAGO BRIDGE & IRON CO N V N Y REGISTRY S 167250109 366,143 9,005 X 28-5284 700 8305 49,849 1,226 X X 28-5284 726 500 14,841 365 X 28-13663 365 CHICOS FAS INC COM 168615102 65,784 4,418 X 28-5284 4418 71,621 4,810 X X 28-5284 4810 CHILDRENS PL RETAIL STORES I COM 168905107 1,046 21 X X 28-5284 21 CHIMERA INVT CORP COM 16934Q109 39,093 9,872 X X 28-5284 9872 CHINA EASTN AIRLS LTD SPON ADR CL H 16937R104 20,229 1,063 X 28-5284 1063 CHINA FD INC COM 169373107 98,312 3,123 X X 28-5284 2990 133 CHINA LIFE INS CO LTD SPON ADR REP H 16939P106 1,080,364 19,275 X 28-5284 100 19175 225,097 4,016 X X 28-5284 56 3960 31,949 570 X 28-13663 570 CHINA MOBILE LIMITED SPONSORED ADR 16941M109 259,139 5,603 X 28-5284 5490 113 267,094 5,775 X X 28-5284 2850 2925 CHINA PETE & CHEM CORP SPON ADR H SHS 16941R108 20,418 203 X X 28-5284 203 CHINA SEC & SURVE TECH INC COM 16942J105 463 100 X X 28-5284 100 CHINA TELECOM CORP LTD SPON ADR H SHS 169426103 12,749 209 X 28-5284 209 CHINA NEPSTAR CHAIN DRUGSTOR SPONSORED ADR 16943C109 10,560 3,000 X X 28-5284 3000 CHINA GREEN AGRICULTURE INC COM 16943W105 6,900 1,000 X X 28-5284 1000 CHINA UNICOM (HONG KONG) LTD SPONSORED ADR 16945R104 125,446 7,557 X 28-5284 7557 16,749 1,009 X X 28-5284 1009 CHINACAST EDU CORP COM 16946T109 3,143 500 X X 28-5284 500 COLUMN TOTAL 650,314,381 FILE NO. 28-1235 PAGE 55 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CHINA HYDROELECTRIC CORP SPONSORED ADR 16949D101 7,260 1,000 X X 28-5284 1000 CHINA INFORMATION TECHNOLOGY COM 16950L109 1,909 707 X 28-5284 108 599 1,620 600 X X 28-5284 600 CHIPOTLE MEXICAN GRILL INC COM 169656105 2,175,964 7,989 X 28-5284 7964 25 747,928 2,746 X X 28-5284 2636 110 3,095,485 11,365 X 28-13605 11257 108 447,776 1,644 X X 28-13605 1644 19,066 70 X 28-13663 70 13,619 50 X X 28-13663 50 CHOICE HOTELS INTL INC COM 169905106 65,618 1,689 X X 28-5284 1689 CHIQUITA BRANDS INTL INC COM 170032809 153,400 10,000 X 28-5284 10000 CHRISTOPHER & BANKS CORP COM 171046105 1,912 295 X 28-5284 295 CHUBB CORP COM 171232101 90,591,533 1,477,598 X 28-5284 1461452 16146 46,258,456 754,501 X X 28-5284 731846 118 22537 34,329,247 559,929 X 28-13605 503565 56364 5,946,518 96,991 X X 28-13605 91791 349 4851 563,623 9,193 X 28-13663 8967 226 566,504 9,240 X X 28-13663 9240 CHURCH & DWIGHT INC COM 171340102 2,236,753 28,192 X 28-5284 25542 2650 13,530,168 170,534 X X 28-5284 156984 13550 119,803 1,510 X 28-13605 1510 16,661,400 210,000 X 28-11439 210000 CHURCHILL DOWNS INC COM 171484108 2,373,219 57,186 X 28-5284 57186 302,162 7,281 X X 28-5284 7281 CIBER INC COM 17163B102 2,546 380 X 28-5284 380 CIENA CORP COM NEW 171779309 3,580 138 X 28-5284 15 123 39,948 1,540 X X 28-5284 1525 15 389 15 X X 28-13605 15 CIMAREX ENERGY CO COM 171798101 1,075,650 9,334 X 28-5284 9334 352,173 3,056 X X 28-5284 2206 850 COLUMN TOTAL 221,685,229 FILE NO. 28-1235 PAGE 56 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) 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 COM 171871106 17,688 6,600 X 28-5284 6600 86 32 X X 28-5284 32 CINCINNATI BELL INC NEW PFD CV DEP1/20 171871403 39,400 1,000 X 28-5284 1000 127,262 3,230 X X 28-5284 3230 CINCINNATI FINL CORP COM 172062101 11,805,253 360,026 X 28-5284 202279 157747 2,074,689 63,272 X X 28-5284 63182 9 81 211,955 6,464 X 28-13605 1664 4800 1,574 48 X X 28-13605 48 CINEMARK HOLDINGS INC COM 17243V102 3,870 200 X 28-5284 200 8,708 450 X X 28-5284 450 CIRCOR INTL INC COM 17273K109 51,722 1,100 X X 28-5284 500 600 CISCO SYS INC COM 17275R102 85,304,837 4,974,043 X 28-5284 4866944 107099 57,892,312 3,375,645 X X 28-5284 3202213 21173 152259 11,398,044 664,609 X 28-13605 494375 170234 640,655 37,356 X X 28-13605 37356 508,686 29,661 X 28-13663 25889 3772 426,572 24,873 X X 28-13663 21521 3352 CIRRUS LOGIC INC COM 172755100 6,961 331 X 28-5284 115 216 12,450 592 X X 28-5284 592 CINTAS CORP COM 172908105 1,262,805 41,707 X 28-5284 28670 13037 628,814 20,768 X X 28-5284 18622 6 2140 129,650 4,282 X 28-13605 625 3657 182 6 X X 28-13605 6 CITIZENS & NORTHN CORP COM 172922106 121,419 7,223 X 28-5284 7223 420,250 25,000 X X 28-5284 25000 186,188 11,076 X 28-13605 11076 CITIGROUP INC COM 172967101 25,986,846 5,879,377 X 28-5284 5603462 275915 6,597,323 1,492,607 X X 28-5284 1440443 8080 44084 33,781,614 7,642,899 X 28-13605 5946823 1696076 5,363,966 1,213,567 X X 28-13605 1149961 4329 59277 166,921 37,765 X 28-13663 14525 23240 53,053 12,003 X X 28-13663 8600 3403 CITIGROUP INC *W EXP 10/28/2 172967234 5,700 30,000 X X 28-5284 30000 COLUMN TOTAL 245,237,455 FILE NO. 28-1235 PAGE 57 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CITIZENS REPUBLIC BANCORP IN COM 174420109 29,350 32,977 X 28-5284 32977 CITRIX SYS INC COM 177376100 1,166,986 15,886 X 28-5284 4284 11602 444,874 6,056 X X 28-5284 2542 17 3497 497,985 6,779 X 28-13605 990 5789 1,249 17 X X 28-13605 17 1,763 24 X 28-13663 24 16,602 226 X X 28-13663 226 CITY HLDG CO COM 177835105 228,284 6,456 X 28-13605 6456 CITY NATL CORP COM 178566105 307,271 5,386 X 28-5284 5386 70,742 1,240 X X 28-5284 345 895 CLARCOR INC COM 179895107 289,349 6,440 X 28-5284 6000 440 600,040 13,355 X X 28-5284 7475 5880 CLAYMORE EXCHANGE-TRADED FD GUGG BRIC ETF 18383M100 42,678 900 X X 28-5284 300 600 CLAYMORE EXCHANGE-TRADED FD GUG MULTI ASSE 18383M506 11,326 533 X 28-5284 533 CLAYMORE EXCHANGE-TRADED FD GUGG SOLAR ETF 18383M621 247,280 28,100 X 28-5284 28100 17,600 2,000 X X 28-5284 2000 CLAYMORE EXCHANGE TRD FD TR GUGG CHN TECH 18383Q135 251,916 8,400 X X 28-5284 8400 CLAYMORE EXCHANGE TRD FD TR GUGG CHN SML C 18383Q853 23,352 800 X 28-5284 800 CLEAN HARBORS INC COM 184496107 32,755 332 X 28-5284 332 21,409 217 X X 28-5284 217 CLEAN ENERGY FUELS CORP COM 184499101 7,371 450 X 28-5284 450 CLEAR CHANNEL OUTDOOR HLDGS CL A 18451C109 4,860 334 X 28-5284 334 3,929 270 X X 28-5284 270 96,452 6,629 X 28-13605 6629 CLEARWIRE CORP NEW CL A 18538Q105 559 100 X 28-5284 100 5,674 1,015 X X 28-5284 1015 CLEARWATER PAPER CORP COM 18538R103 129,996 1,597 X 28-13605 1597 COLUMN TOTAL 4,551,652 FILE NO. 28-1235 PAGE 58 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CLIFFS NATURAL RESOURCES INC COM 18683K101 1,533,954 15,608 X 28-5284 14926 682 1,074,594 10,934 X X 28-5284 10784 150 495,724 5,044 X 28-13605 728 4316 13,857 141 X 28-13663 100 41 CLINICAL DATA INC NEW COM 18725U109 15,150 500 X 28-5284 500 CLOROX CO DEL COM 189054109 17,911,854 255,628 X 28-5284 251238 4390 9,610,451 137,155 X X 28-5284 131041 80 6034 344,394 4,915 X 28-13605 718 4197 350 5 X X 28-13605 5 224,925 3,210 X 28-13663 3170 40 266,616 3,805 X X 28-13663 3805 CLOUD PEAK ENERGY INC COM 18911Q102 5,980 277 X 28-5284 277 CLOUGH GLOBAL OPPORTUNITIES SH BEN INT 18914E106 14,543 1,050 X 28-5284 1050 COACH INC COM 189754104 30,800,238 591,857 X 28-5284 564706 27151 9,934,072 190,893 X X 28-5284 187003 154 3736 27,884,125 535,821 X 28-13605 516138 19683 5,764,211 110,765 X X 28-13605 105087 416 5262 261,033 5,016 X 28-13663 5016 174,386 3,351 X X 28-13663 3351 COBALT INTL ENERGY INC COM 19075F106 8,220 489 X X 28-5284 489 COCA COLA HELLENIC BTTLG CO SPONSORED ADR 1912EP104 2,575 95 X 28-5284 95 6,046 223 X X 28-5284 223 COCA COLA CO COM 191216100 167,283,541 2,521,609 X 28-5284 2446850 74759 130,401,022 1,965,647 X X 28-5284 1739842 6516 219289 40,982,994 617,772 X 28-13605 497342 120430 6,761,174 101,917 X X 28-13605 97097 321 4499 1,028,270 15,500 X 28-13663 15125 375 2,887,979 43,533 X X 28-13663 42914 619 COCA COLA ENTERPRISES INC NE COM 19122T109 217,827 7,979 X 28-5284 4296 3683 182,200 6,674 X X 28-5284 3750 54 2870 371,471 13,607 X 28-13605 1782 11825 1,474 54 X X 28-13605 54 6,770 248 X 28-13663 248 10,347 379 X X 28-13663 379 COLUMN TOTAL 456,482,367 FILE NO. 28-1235 PAGE 59 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ COCA COLA FEMSA S A B DE C V SPON ADR REP L 191241108 8,315 108 X X 28-5284 108 CODORUS VY BANCORP INC COM 192025104 38,143 3,522 X 28-5284 2199 1323 COEUR D ALENE MINES CORP IDA COM NEW 192108504 21,459 617 X 28-5284 617 3,478 100 X X 28-5284 100 COGENT COMM GROUP INC COM NEW 19239V302 326,097 22,884 X 28-13605 22884 COGNEX CORP COM 192422103 12,910 457 X 28-5284 77 380 COGNIZANT TECHNOLOGY SOLUTIO CL A 192446102 6,234,507 76,591 X 28-5284 64206 12385 2,085,631 25,622 X X 28-5284 17180 16 8426 857,712 10,537 X 28-13605 1539 8998 1,302 16 X X 28-13605 16 70,492 866 X 28-13663 800 66 113,879 1,399 X X 28-13663 1380 19 COHEN & STEERS INC COM 19247A100 33,390 1,125 X X 28-5284 1125 COHEN & STEERS QUALITY RLTY COM 19247L106 131,160 13,116 X 28-5284 13116 30,070 3,007 X X 28-5284 3007 COHEN & STEERS REIT & PFD IN COM 19247X100 83,655 5,500 X 28-5284 5500 COHERENT INC COM 192479103 15,050 259 X 28-5284 259 195,366 3,362 X 28-13605 3362 COHEN & STEERS INFRASTRUCTUR COM 19248A109 18,744 1,062 X 28-5284 1062 45,060 2,553 X X 28-5284 2553 COHEN & STEERS GLOBAL INC BL COM 19248M103 12,746 1,135 X X 28-5284 1135 COHU INC COM 192576106 3,226 210 X 28-5284 210 35,328 2,300 X X 28-5284 2300 COINSTAR INC COM 19259P300 206,640 4,500 X 28-5284 4500 4,592 100 X X 28-5284 100 1,556,091 33,887 X 28-13605 33887 9,230 201 X X 28-13605 201 307,667 6,700 X 28-13605 6700 COLDWATER CREEK INC COM 193068103 272 103 X 28-5284 103 COLUMN TOTAL 12,462,212 FILE NO. 28-1235 PAGE 60 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ COLFAX CORP COM 194014106 401,510 17,495 X 28-5284 17495 238,680 10,400 X X 28-5284 10400 17,442 760 X 28-13663 760 COLGATE PALMOLIVE CO COM 194162103 56,277,041 696,843 X 28-5284 691523 5320 41,799,195 517,573 X X 28-5284 494742 3476 19355 1,401,994 17,360 X 28-13605 2538 14822 2,100 26 X X 28-13605 26 452,418 5,602 X 28-13663 5348 254 403,558 4,997 X X 28-13663 4997 COLLECTIVE BRANDS INC COM 19421W100 5,697 264 X 28-5284 264 13,272 615 X X 28-5284 615 COLONIAL PPTYS TR COM SH BEN INT 195872106 577,558 30,003 X 28-5284 1000 29003 23,889 1,241 X 28-13663 1241 COLONY FINL INC COM 19624R106 18,830 1,000 X 28-5284 1000 COLUMBIA SPORTSWEAR CO COM 198516106 535 9 X 28-5284 9 80,455 1,354 X X 28-5284 1354 COLUMBUS MCKINNON CORP N Y COM 199333105 36,920 2,000 X X 28-5284 2000 COMCAST CORP NEW CL A 20030N101 12,734,409 515,146 X 28-5284 482090 33056 8,149,047 329,654 X X 28-5284 320658 3784 5212 8,957,218 362,347 X 28-13605 171816 190531 486,193 19,668 X X 28-13605 19054 614 115,962 4,691 X 28-13663 3280 1411 112,204 4,539 X X 28-13663 3961 578 COMCAST CORP NEW CL A SPL 20030N200 15,852,317 682,701 X 28-5284 589723 92978 3,748,172 161,420 X X 28-5284 85780 4950 70690 COMERICA INC COM 200340107 247,566 6,742 X 28-5284 5553 1189 88,532 2,411 X X 28-5284 2395 16 230,124 6,267 X 28-13605 915 5352 588 16 X X 28-13605 16 COMMERCE BANCSHARES INC COM 200525103 2,237,505 55,329 X X 28-5284 1667 53662 COMMERCEFIRST BANCORP INC COM 200845105 21,150 2,500 X X 28-5284 2500 COLUMN TOTAL 154,732,081 FILE NO. 28-1235 PAGE 61 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ COMMERCIAL METALS CO COM 201723103 7,478 433 X 28-5284 433 289,290 16,751 X X 28-5284 16751 COMMERICAL NATL FINL CORP PA COM 202217105 11,160 600 X 28-5284 600 COMMONWEALTH REIT COM SH BEN INT 203233101 75,053 2,890 X 28-5284 390 2500 287,150 11,057 X X 28-5284 2992 8065 COMMUNITY BK SYS INC COM 203607106 147,270 6,068 X 28-5284 6068 27,716 1,142 X X 28-5284 1000 142 327,499 13,494 X 28-13605 13494 COMMUNITY HEALTH SYS INC NEW COM 203668108 39,430 986 X 28-5284 873 113 38,790 970 X X 28-5284 970 COMMUNITY PARTNERS BANCORP COM 204018105 9,744 2,100 X 28-5284 2100 COMMUNITY TR BANCORP INC COM 204149108 10,100 365 X 28-5284 365 CGG VERITAS SPONSORED ADR 204386106 161,118 4,452 X X 28-5284 4452 COMPANHIA SIDERURGICA NACION SPONSORED ADR 20440W105 53,312 3,200 X X 28-5284 3200 COMPANHIA ENERGETICA DE MINA SP ADR N-V PFD 204409601 21,197 1,100 X X 28-5284 1100 COMPANHIA PARANAENSE ENERG C SPON ADR PFD 20441B407 342,901 12,339 X 28-13605 12339 COMPANHIA DE BEBIDAS DAS AME SPON ADR PFD 20441W203 9,824 347 X 28-5284 347 20,525 725 X X 28-5284 350 375 COMPANIA DE MINAS BUENAVENTU SPONSORED ADR 204448104 8,594 200 X 28-5284 200 4,297 100 X X 28-5284 100 COMPASS MINERALS INTL INC COM 20451N101 321,837 3,441 X 28-5284 1241 2200 58,176 622 X X 28-5284 622 1,353,753 14,474 X 28-13605 14474 8,231 88 X X 28-13605 88 277,703 2,969 X 28-13605 2969 COMPASS DIVERSIFIED HOLDINGS SH BEN INT 20451Q104 28,006 1,900 X 28-5284 1900 14,740 1,000 X X 28-5284 1000 COLUMN TOTAL 3,954,894 FILE NO. 28-1235 PAGE 62 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ COMPLETE PRODUCTION SERVICES COM 20453E109 23,603 742 X 28-5284 742 10,370 326 X X 28-5284 326 331,142 10,410 X 28-13605 10410 COMPUCREDIT HLDGS CORP COM 20478T107 242,557 37,145 X 28-13605 37145 COMPUTER PROGRAMS & SYS INC COM 205306103 1,671 26 X 28-5284 26 347,755 5,410 X 28-13605 5410 COMPUTER SCIENCES CORP COM 205363104 191,704 3,934 X 28-5284 3304 630 217,190 4,457 X X 28-5284 4448 9 303,588 6,230 X 28-13605 805 5425 439 9 X X 28-13605 9 975 20 X X 28-13663 20 COMPX INTERNATIONAL INC CL A 20563P101 788 50 X 28-5284 50 COMPUWARE CORP COM 205638109 7,046 610 X 28-5284 11 599 19,589 1,696 X X 28-5284 1685 11 286,498 24,805 X 28-13605 18142 6663 127 11 X X 28-13605 11 COMSCORE INC COM 20564W105 856 29 X X 28-5284 29 COMSTOCK RES INC COM NEW 205768203 599,277 19,369 X 28-5284 292 19077 9,715 314 X X 28-5284 314 25,866 836 X 28-13663 836 COMTECH TELECOMMUNICATIONS C COM NEW 205826209 5,498 202 X 28-5284 202 CONAGRA FOODS INC COM 205887102 1,117,105 47,036 X 28-5284 36604 10432 2,033,024 85,601 X X 28-5284 84347 4 1250 366,201 15,419 X 28-13605 2252 13167 95 4 X X 28-13605 4 2,375 100 X X 28-13663 100 CON-WAY INC COM 205944101 14,105 359 X X 28-5284 359 CONCHO RES INC COM 20605P101 48,285 450 X 28-5284 450 98,287 916 X X 28-5284 916 CONCUR TECHNOLOGIES INC COM 206708109 75,967 1,370 X 28-5284 1370 1,054 19 X X 28-5284 19 COLUMN TOTAL 6,382,752 FILE NO. 28-1235 PAGE 63 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CONEXANT SYSTEMS INC COM NEW 207142308 8,174 3,420 X 28-5284 3420 210 88 X X 28-5284 88 CONMED CORP COM 207410101 7,358 280 X 28-5284 280 13,140 500 X X 28-5284 500 CONOCOPHILLIPS COM 20825C104 102,750,272 1,286,630 X 28-5284 1255997 30633 51,031,259 639,009 X X 28-5284 602006 758 36245 9,619,377 120,453 X 28-13605 77715 42738 1,333,662 16,700 X X 28-13605 16554 51 95 2,437,727 30,525 X 28-13663 28635 1890 10,813,683 135,408 X X 28-13663 135248 160 CONSOL ENERGY INC COM 20854P109 724,380 13,507 X 28-5284 12089 1418 807,882 15,064 X X 28-5284 14520 9 535 303,439 5,658 X 28-13605 827 4831 483 9 X X 28-13605 9 3,486 65 X 28-13663 65 CONSOLIDATED COMM HLDGS INC COM 209034107 334,842 17,906 X 28-5284 17906 5,236 280 X X 28-5284 280 CONSOLIDATED EDISON INC COM 209115104 17,467,512 344,391 X 28-5284 325188 19203 13,222,146 260,689 X X 28-5284 250664 583 9442 1,866,293 36,796 X 28-13605 27313 9483 530,480 10,459 X X 28-13605 10367 33 59 158,956 3,134 X 28-13663 2957 177 408,144 8,047 X X 28-13663 7799 248 CONSOLIDATED GRAPHICS INC COM 209341106 107,020 1,959 X 28-5284 1959 173,177 3,170 X 28-13605 3170 CONSTELLATION BRANDS INC CL A 21036P108 43,947 2,167 X 28-5284 2151 16 32,205 1,588 X X 28-5284 1588 392,398 19,349 X 28-13605 11710 7639 CONSTELLATION BRANDS INC CL B 21036P207 18,099 896 X 28-5284 896 CONSTELLATION ENERGY GROUP I COM 210371100 2,149,309 69,043 X 28-5284 67183 1860 2,399,718 77,087 X X 28-5284 74050 1487 1550 218,595 7,022 X 28-13605 1026 5996 2,304 74 X X 28-13605 74 8,903 286 X X 28-13663 286 COLUMN TOTAL 219,393,816 FILE NO. 28-1235 PAGE 64 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CONSUMER PORTFOLIO SVCS INC COM 210502100 34,350 30,000 X X 28-5284 30000 CONTANGO OIL & GAS COMPANY COM NEW 21075N204 394,934 6,245 X 28-5284 180 6065 145,389 2,299 X X 28-5284 2299 2,006,226 31,724 X 28-13605 31724 81,453 1,288 X X 28-13605 1288 16,948 268 X 28-13663 268 381,590 6,034 X 28-13605 6034 CONTINENTAL RESOURCES INC COM 212015101 3,859 54 X 28-5284 54 17,296 242 X X 28-5284 242 CONTINUCARE CORP COM 212172100 535 100 X 28-5284 100 CONVERGYS CORP COM 212485106 1,875,718 130,621 X 28-5284 19146 111475 386,858 26,940 X X 28-5284 26040 900 229,760 16,000 X 28-13605 16000 COOPER COS INC COM NEW 216648402 55,560 800 X 28-5284 400 400 35,697 514 X X 28-5284 514 COOPER TIRE & RUBR CO COM 216831107 391,400 15,200 X 28-5284 15200 COPANO ENERGY L L C COM UNITS 217202100 24,920 700 X 28-5284 700 53,400 1,500 X X 28-5284 1500 COPART INC COM 217204106 55,072 1,271 X 28-5284 1271 25,088 579 X X 28-5284 579 CORE MARK HOLDING CO INC COM 218681104 208,942 6,322 X 28-13605 6322 CORELOGIC INC COM 21871D103 488,900 26,427 X X 28-5284 4777 21650 CORN PRODS INTL INC COM 219023108 1,312,393 25,326 X 28-5284 25326 1,338,096 25,822 X X 28-5284 22897 2925 1,119,260 21,599 X 28-13605 21599 6,633 128 X X 28-13605 128 241,845 4,667 X 28-13605 4667 CORNING INC COM 219350105 14,145,640 685,683 X 28-5284 665078 20605 8,707,944 422,101 X X 28-5284 401071 94 20936 11,440,676 554,565 X 28-13605 412012 142553 1,375,835 66,691 X X 28-13605 65982 56 653 185,608 8,997 X 28-13663 8339 658 171,848 8,330 X X 28-13663 7522 808 COLUMN TOTAL 46,959,673 FILE NO. 28-1235 PAGE 65 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CORPORATE EXECUTIVE BRD CO COM 21988R102 558,842 13,843 X 28-5284 13843 24,585 609 X 28-13663 609 CORPORATE OFFICE PPTYS TR SH BEN INT 22002T108 253,233 7,007 X 28-5284 7007 79,725 2,206 X X 28-5284 2206 45,175 1,250 X 28-13663 1250 14,456 400 X X 28-13663 400 CORRECTIONS CORP AMER NEW COM NEW 22025Y407 207,864 8,519 X 28-5284 432 8087 19,105 783 X X 28-5284 783 COSTCO WHSL CORP NEW COM 22160K105 6,057,992 82,624 X 28-5284 63841 18783 4,689,327 63,957 X X 28-5284 58624 1013 4320 1,124,582 15,338 X 28-13605 2242 13096 953 13 X X 28-13605 13 64,228 876 X 28-13663 876 103,455 1,411 X X 28-13663 1411 COTT CORP QUE COM 22163N106 13,986 1,665 X 28-5284 1665 672,000 80,000 X X 28-5284 80000 COUSINS PPTYS INC COM 222795106 10,129 1,213 X X 28-5284 1213 COVANCE INC COM 222816100 1,390,435 25,410 X 28-5284 6963 18447 357,486 6,533 X X 28-5284 3733 2800 59,481 1,087 X X 28-13663 1087 COVANTA HLDG CORP COM 22282E102 14,911 873 X X 28-5284 873 COVENTRY HEALTH CARE INC COM 222862104 213,175 6,691 X 28-5284 1676 5015 417,939 13,118 X X 28-5284 1403 9 11706 216,075 6,782 X 28-13605 2245 4537 1,880 59 X X 28-13605 59 2,708 85 X 28-13663 85 CRACKER BARREL OLD CTRY STOR COM 22410J106 59,705 1,215 X 28-5284 1215 108,108 2,200 X X 28-5284 2200 285,847 5,817 X 28-13605 5817 CRANE CO COM 224399105 137,396 2,837 X 28-5284 2837 242,005 4,997 X X 28-5284 4597 400 CREDIT SUISSE ASSET MGMT INC COM 224916106 84,410 23,000 X 28-5284 23000 COLUMN TOTAL 17,531,198 FILE NO. 28-1235 PAGE 66 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CREDIT ACCEP CORP MICH COM 225310101 206,565 2,911 X 28-13605 2911 CREDIT SUISSE GROUP SPONSORED ADR 225401108 1,889,019 44,364 X 28-5284 844 43520 360,993 8,478 X X 28-5284 878 7600 53,651 1,260 X 28-13663 1260 CREE INC COM 225447101 713,772 15,463 X 28-5284 12298 3165 411,655 8,918 X X 28-5284 8513 405 4,616 100 X 28-13663 100 CROCS INC COM 227046109 19,267 1,080 X 28-5284 1080 177,954 9,975 X 28-13605 9975 CROSSTEX ENERGY INC COM 22765Y104 89,487 9,000 X 28-5284 9000 CROWN CASTLE INTL CORP COM 228227104 91,865 2,159 X 28-5284 2159 113,991 2,679 X X 28-5284 2679 CROWN HOLDINGS INC COM 228368106 354,203 9,181 X 28-5284 9181 212,614 5,511 X X 28-5284 3261 2250 CRYOLIFE INC COM 228903100 1,281 210 X 28-5284 210 CRYSTALLEX INTL CORP COM 22942F101 150 1,000 X 28-5284 1000 CTRIP COM INTL LTD AMERICAN DEP S 22943F100 9,128 220 X 28-5284 220 CUBIC CORP COM 229669106 17,250 300 X X 28-5284 300 CUBIST PHARMACEUTICALS INC COM 229678107 16,406 650 X 28-5284 650 530 21 X X 28-5284 21 CULLEN FROST BANKERS INC COM 229899109 11,300,323 191,466 X 28-5284 191466 206,983 3,507 X X 28-5284 3207 300 236,080 4,000 X X 28-13663 4000 CUMMINS INC COM 231021106 37,121,607 338,639 X 28-5284 328543 10096 9,630,884 87,857 X X 28-5284 81120 898 5839 27,169,317 247,850 X 28-13605 222793 25057 4,869,869 44,425 X X 28-13605 42356 145 1924 349,359 3,187 X 28-13663 2480 707 190,958 1,742 X X 28-13663 1710 32 COLUMN TOTAL 95,819,777 FILE NO. 28-1235 PAGE 67 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ CUMULUS MEDIA INC CL A 231082108 868 200 X 28-5284 200 CURIS INC COM 231269101 150,150 46,200 X 28-5284 46200 CURRENCYSHARES AUSTRALIAN DL AUSTRALIAN DOL 23129U101 72,667 700 X 28-5284 700 1,038 10 X X 28-5284 10 CURRENCYSHARES SWISS FRANC T SWISS FRANC SH 23129V109 28,048 260 X 28-5284 260 CURRENCYSHARES CDN DLR TR CDN DOLLAR SHS 23129X105 51,295 500 X X 28-5284 500 CURRENCYSHS JAPANESE YEN TR JAPANESE YEN 23130A102 47,504 400 X X 28-5284 400 CURTISS WRIGHT CORP COM 231561101 54,326 1,546 X 28-5284 1156 390 24,598 700 X X 28-5284 700 1,301,902 37,049 X 28-13605 37049 7,907 225 X X 28-13605 225 265,710 7,561 X 28-13605 7561 CYBERDEFENDER CORP COM 23248L107 16,160 8,000 X 28-5284 8000 CYMER INC COM 232572107 14,711 260 X 28-5284 260 CYPRESS SEMICONDUCTOR CORP COM 232806109 156,319 8,066 X X 28-5284 8066 CYPRESS SHARPRIDGE INVTS INC COM 23281A307 25,360 2,000 X X 28-5284 2000 CYTEC INDS INC COM 232820100 1,903 35 X 28-5284 35 47,846 880 X X 28-5284 781 99 DCA TOTAL RETURN FD COM 233066109 49,950 13,320 X X 28-5284 13320 DCP MIDSTREAM PARTNERS LP COM UT LTD PTN 23311P100 1,166,805 28,810 X 28-5284 28810 78,975 1,950 X X 28-5284 1950 40,500 1,000 X 28-13663 1000 20,250 500 X X 28-13663 500 DCT INDUSTRIAL TRUST INC COM 233153105 68,443 12,332 X 28-5284 12332 83 15 X X 28-5284 15 DNP SELECT INCOME FD COM 23325P104 122,636 12,909 X 28-5284 12909 30,400 3,200 X X 28-5284 3200 DG FASTCHANNEL INC COM 23326R109 10,462 325 X X 28-5284 325 COLUMN TOTAL 3,856,816 FILE NO. 28-1235 PAGE 68 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ DPL INC COM 233293109 2,431,897 88,723 X 28-5284 87783 940 1,090,479 39,784 X X 28-5284 39267 517 D R HORTON INC COM 23331A109 27,809 2,387 X 28-5284 1281 1106 37,373 3,208 X X 28-5284 3179 29 114,077 9,792 X 28-13605 1430 8362 338 29 X X 28-13605 29 DST SYS INC DEL COM 233326107 33,013 625 X 28-5284 515 110 15,001 284 X X 28-5284 284 DTE ENERGY CO COM 233331107 257,138 5,252 X 28-5284 4521 731 215,228 4,396 X X 28-5284 4373 23 294,886 6,023 X 28-13605 879 5144 1,126 23 X X 28-13605 23 2,105 43 X 28-13663 43 17,675 361 X X 28-13663 361 DSW INC CL A 23334L102 3,996 100 X 28-5284 100 11,988 300 X X 28-5284 300 249,550 6,245 X 28-13605 6245 DTS INC COM 23335C101 12,404 266 X 28-5284 266 DWS MULTI MKT INCOME TR SHS 23338L108 10,610 1,000 X 28-5284 1000 14,058 1,325 X X 28-5284 1325 DWS GLOBAL HIGH INCOME FD COM 23338W104 19,475 2,500 X 28-5284 2500 DWS HIGH INCOME OPPORT FD IN COM NEW 23339M204 31,307 2,137 X 28-5284 2137 DAKTRONICS INC COM 234264109 87,183 8,110 X 28-5284 4150 3960 327,069 30,425 X X 28-5284 30425 DANA HLDG CORP COM 235825205 75,647 4,350 X 28-5284 3400 950 2,417 139 X X 28-5284 139 DANAHER CORP DEL COM 235851102 6,227,273 119,986 X 28-5284 90323 29663 4,359,600 84,000 X X 28-5284 64800 19200 1,522,902 29,343 X 28-13605 13000 16343 177,498 3,420 X X 28-13605 3420 4,775 92 X 28-13663 92 63,733 1,228 X X 28-13663 1228 COLUMN TOTAL 17,739,630 FILE NO. 28-1235 PAGE 69 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ DARDEN RESTAURANTS INC COM 237194105 6,645,373 135,261 X 28-5284 133034 2227 723,046 14,717 X X 28-5284 12611 534 1572 239,165 4,868 X 28-13605 725 4143 26,235 534 X X 28-13605 534 DARLING INTL INC COM 237266101 169,070 11,000 X 28-5284 11000 DAVITA INC COM 23918K108 878,786 10,277 X 28-5284 1771 8506 90,042 1,053 X X 28-5284 1051 2 299,371 3,501 X 28-13605 511 2990 171 2 X X 28-13605 2 2,651 31 X 28-13663 31 DAWSON GEOPHYSICAL CO COM 239359102 8,776 200 X 28-5284 200 DAXOR CORP COM 239467103 4,100 400 X 28-5284 400 DAYSTAR TECHNOLOGIES INC COM NEW 23962Q308 99 112 X X 28-5284 112 DEALERTRACK HLDGS INC COM 242309102 11,460 500 X 28-5284 500 294,682 12,857 X X 28-5284 6550 6307 DEAN FOODS CO NEW COM 242370104 11,550 1,155 X 28-5284 1105 50 13,070 1,307 X X 28-5284 1307 68,720 6,872 X 28-13605 1005 5867 DECKERS OUTDOOR CORP COM 243537107 30,153 350 X 28-5284 289 61 6,461 75 X X 28-5284 75 107,860 1,252 X 28-13605 1252 DEERE & CO COM 244199105 44,677,723 461,118 X 28-5284 450390 10728 15,123,269 156,087 X X 28-5284 143187 1270 11630 24,545,241 253,331 X 28-13605 235741 17590 4,948,366 51,072 X X 28-13605 48153 215 2704 194,458 2,007 X 28-13663 1831 176 281,659 2,907 X X 28-13663 2725 182 DELAWARE INVTS DIV & INCOME COM 245915103 13,268 1,628 X 28-5284 1628 DELL INC COM 24702R101 1,666,067 114,822 X 28-5284 103760 11062 1,824,284 125,726 X X 28-5284 124003 298 1425 894,701 61,661 X 28-13605 9006 52655 1,393 96 X X 28-13605 96 COLUMN TOTAL 103,801,270 FILE NO. 28-1235 PAGE 70 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ DELPHI FINL GROUP INC CL A 247131105 26,318 857 X 28-5284 347 510 20,637 672 X X 28-5284 372 300 398,370 12,972 X 28-13605 12972 DELTA AIR LINES INC DEL COM NEW 247361702 53,871 5,497 X 28-5284 5496 1 11,721 1,196 X X 28-5284 196 1000 DELTA NAT GAS INC COM 247748106 6,330 200 X 28-5284 200 11,077 350 X X 28-5284 350 DELTIC TIMBER CORP COM 247850100 6,684 100 X 28-5284 100 DENBURY RES INC COM NEW 247916208 270,328 11,079 X 28-5284 1032 10047 736,758 30,195 X X 28-5284 12458 665 17072 332,523 13,628 X 28-13605 1992 11636 2,977 122 X 28-13663 122 DELUXE CORP COM 248019101 214,204 8,071 X 28-5284 7905 166 DEMANDTEC INC COM NEW 24802R506 313,787 23,844 X 28-5284 23844 13,765 1,046 X 28-13663 1046 DENDREON CORP COM 24823Q107 640,240 17,105 X 28-5284 600 16505 301,162 8,046 X X 28-5284 886 7160 58,017 1,550 X 28-13663 1550 DENTSPLY INTL INC NEW COM 249030107 282,715 7,643 X 28-5284 7378 265 587,179 15,874 X X 28-5284 15874 179,217 4,845 X 28-13605 707 4138 DESCARTES SYS GROUP INC COM 249906108 66,600 10,000 X 28-5284 10000 DESTINATION MATERNITY CORP COM 25065D100 2,014,149 87,306 X 28-5284 87306 DEUTSCHE BK AG LDN BRH PS GOLD DL ETN 25154H749 73,202 1,700 X 28-5284 1700 DEVELOPERS DIVERSIFIED RLTY COM 251591103 19,012 1,358 X X 28-5284 1358 COLUMN TOTAL 6,640,843 FILE NO. 28-1235 PAGE 71 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ DEVON ENERGY CORP NEW COM 25179M103 11,400,954 124,234 X 28-5284 122009 2225 6,297,900 68,627 X X 28-5284 64833 28 3766 3,255,724 35,477 X 28-13605 21824 13653 724,249 7,892 X X 28-13605 7821 26 45 84,337 919 X 28-13663 618 301 636,792 6,939 X X 28-13663 1939 5000 DEVRY INC DEL COM 251893103 8,261 150 X 28-5284 150 335,156 6,086 X X 28-5284 1486 1000 3600 120,658 2,191 X 28-13605 321 1870 DIAGEO P L C SPON ADR NEW 25243Q205 4,147,664 54,417 X 28-5284 24783 29634 2,590,260 33,984 X X 28-5284 22134 11850 65,549 860 X 28-13663 860 381,100 5,000 X X 28-13663 5000 DIAMOND FOODS INC COM 252603105 315,270 5,650 X X 28-5284 5650 DIAMOND OFFSHORE DRILLING IN COM 25271C102 465,812 5,995 X 28-5284 5652 343 950,426 12,232 X X 28-5284 9766 1 2465 284,693 3,664 X 28-13605 1515 2149 3,419 44 X X 28-13605 44 DIAMONDROCK HOSPITALITY CO COM 252784301 62,619 5,606 X X 28-5284 5606 DICKS SPORTING GOODS INC COM 253393102 2,792,563 69,849 X 28-5284 69849 292,574 7,318 X X 28-5284 7318 213,293 5,335 X 28-13605 5335 DIEBOLD INC COM 253651103 114,359 3,225 X 28-5284 3223 2 204,143 5,757 X X 28-5284 5757 DIGI INTL INC COM 253798102 2,112 200 X 28-5284 200 DIGITAL RLTY TR INC COM 253868103 89,594 1,541 X 28-5284 1541 86,629 1,490 X X 28-5284 1490 DIGITAL RIV INC COM 25388B104 21,784 582 X 28-5284 582 261,636 6,990 X X 28-5284 40 6950 DIME CMNTY BANCSHARES COM 253922108 3,395 230 X 28-5284 230 23,616 1,600 X X 28-5284 1600 127,438 8,634 X 28-13605 8634 COLUMN TOTAL 36,363,979 FILE NO. 28-1235 PAGE 72 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ DILLARDS INC CL A 254067101 278,714 6,947 X 28-13605 6947 DIODES INC COM 254543101 2,793 82 X 28-5284 82 DIONEX CORP COM 254546104 53,123 450 X 28-5284 300 150 714,203 6,050 X X 28-5284 5000 1050 DIREXION SHS ETF TR DLY FIN BEAR N 25459W144 30,165 750 X 28-5284 750 DIREXION SHS ETF TR DLY FIN BULL N 25459W516 30,280 1,000 X 28-5284 1000 DIREXION SHS ETF TR 20YR TRES BEAR 25459W532 240,897 5,510 X 28-5284 5510 DIREXION SHS ETF TR DLY ENRGY BULL 25459W888 4,489 50 X X 28-5284 50 DISCOVERY LABORATORIES INC N COM NEW 254668403 1,850 1,000 X 28-5284 1000 1,269 686 X X 28-5284 686 DISNEY WALT CO COM DISNEY 254687106 45,386,137 1,053,287 X 28-5284 1023253 30034 46,406,896 1,076,976 X X 28-5284 1014597 365 62014 8,254,924 191,574 X 28-13605 97597 93977 873,090 20,262 X X 28-13605 19933 45 284 286,376 6,646 X 28-13663 3357 3289 392,679 9,113 X X 28-13663 8923 190 DISCOVERY COMMUNICATNS NEW COM SER A 25470F104 3,152,060 78,999 X 28-5284 78615 384 4,832,768 121,122 X X 28-5284 114989 6133 402,591 10,090 X 28-13605 1473 8617 23,980 601 X 28-13663 505 96 DISCOVERY COMMUNICATNS NEW COM SER C 25470F302 1,020,738 28,990 X 28-5284 1040 27950 1,704,058 48,397 X X 28-5284 35777 12620 DISH NETWORK CORP CL A 25470M109 109,230 4,484 X 28-5284 3923 561 96,636 3,967 X X 28-5284 3967 398,773 16,370 X 28-13605 16370 145,916 5,990 X X 28-13605 5990 COLUMN TOTAL 114,844,635 FILE NO. 28-1235 PAGE 73 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ DISCOVER FINL SVCS COM 254709108 1,245,509 51,638 X 28-5284 39613 12025 2,290,749 94,973 X X 28-5284 75460 218 19295 6,212,395 257,562 X 28-13605 173346 84216 402,683 16,695 X X 28-13605 16300 395 2,002 83 X 28-13663 83 50,097 2,077 X X 28-13663 2077 DIRECTV COM CL A 25490A101 838,094 17,908 X 28-5284 11009 6899 891,025 19,039 X X 28-5284 16549 145 2345 1,298,934 27,755 X 28-13605 4058 23697 6,786 145 X X 28-13605 145 109,746 2,345 X 28-13663 2345 11,560 247 X X 28-13663 247 DR REDDYS LABS LTD ADR 256135203 153,713 4,121 X 28-5284 4121 17,718 475 X X 28-5284 475 22,380 600 X 28-13663 600 DOLBY LABORATORIES INC COM 25659T107 8,728,476 177,372 X 28-5284 176062 1310 2,671,955 54,297 X X 28-5284 52687 1610 2,953 60 X 28-13605 60 47,537 966 X X 28-13605 966 135,475 2,753 X 28-13663 2753 17,224 350 X X 28-13663 350 DOLLAR GEN CORP NEW COM 256677105 815 26 X 28-5284 26 482,163 15,380 X X 28-5284 861 14519 DOLLAR TREE INC COM 256746108 32,384,872 583,301 X 28-5284 574018 9283 8,776,157 158,072 X X 28-5284 154227 300 3545 24,085,076 433,809 X 28-13605 395643 38166 4,709,317 84,822 X X 28-13605 80251 323 4248 249,840 4,500 X 28-13663 4500 180,384 3,249 X X 28-13663 3249 DOMINION RES INC VA NEW COM 25746U109 57,313,223 1,282,175 X 28-5284 1271011 11164 45,846,734 1,025,654 X X 28-5284 933713 2890 89051 2,208,359 49,404 X 28-13605 30472 18932 516,866 11,563 X X 28-13605 11466 34 63 103,346 2,312 X 28-13663 2028 284 707,154 15,820 X X 28-13663 15820 COLUMN TOTAL 202,721,317 FILE NO. 28-1235 PAGE 74 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ DOMTAR CORP COM NEW 257559203 16,888 184 X 28-5284 184 53,416 582 X X 28-5284 282 300 DONALDSON INC COM 257651109 2,038,812 33,265 X 28-5284 33265 1,875,413 30,599 X X 28-5284 30599 DONEGAL GROUP INC CL A 257701201 58,668 4,388 X 28-5284 4388 DONEGAL GROUP INC CL B 257701300 10,318 616 X 28-5284 616 DONNELLEY R R & SONS CO COM 257867101 286,884 15,163 X 28-5284 10213 4950 409,410 21,639 X X 28-5284 19729 10 1900 139,176 7,356 X 28-13605 1074 6282 189 10 X X 28-13605 10 25,712 1,359 X X 28-13663 1359 DORAL FINL CORP COM NEW 25811P886 11 10 X 28-5284 10 DORCHESTER MINERALS LP COM UNIT 25820R105 29,240 1,000 X X 28-5284 1000 DORMAN PRODUCTS INC COM 258278100 25,254 600 X X 28-5284 600 460,633 10,944 X 28-13605 10944 2,652 63 X X 28-13605 63 97,914 2,326 X 28-13605 2326 DOT HILL SYS CORP COM 25848T109 56,600 20,000 X 28-5284 20000 DOUGLAS EMMETT INC COM 25960P109 15,656 835 X X 28-5284 835 DOVER CORP COM 260003108 27,455,193 417,633 X 28-5284 407227 10406 13,867,524 210,945 X X 28-5284 200765 1097 9083 30,121,148 458,186 X 28-13605 443409 14777 6,143,272 93,448 X X 28-13605 88800 343 4305 124,314 1,891 X 28-13663 1701 190 41,088 625 X X 28-13663 625 DOW CHEM CO COM 260543103 17,076,364 452,354 X 28-5284 419670 32684 19,124,452 506,608 X X 28-5284 477714 1549 27345 1,579,838 41,850 X 28-13605 6104 35746 1,963 52 X X 28-13605 52 363,382 9,626 X 28-13663 6000 3626 122,688 3,250 X X 28-13663 3250 DOW 30 PREMIUM & DIV INC FD COM 260582101 3,728 250 X 28-5284 250 COLUMN TOTAL 121,627,800 FILE NO. 28-1235 PAGE 75 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ DR PEPPER SNAPPLE GROUP INC COM 26138E109 157,596 4,241 X 28-5284 2318 1923 269,336 7,248 X X 28-5284 7248 299,807 8,068 X 28-13605 1179 6889 DRDGOLD LIMITED SPON ADR NEW 26152H301 5,364 1,012 X 28-5284 1012 DREAMWORKS ANIMATION SKG INC CL A 26153C103 12,764 457 X 28-5284 457 10,921 391 X X 28-5284 391 DRESSER-RAND GROUP INC COM 261608103 129,600 2,417 X 28-5284 817 1600 297,645 5,551 X X 28-5284 4251 1300 DREW INDS INC COM NEW 26168L205 75,922 3,400 X X 28-5284 3400 DREYFUS STRATEGIC MUNS INC COM 261932107 58,797 7,313 X 28-5284 7313 989 123 X X 28-5284 123 DREYFUS STRATEGIC MUN BD FD COM 26202F107 32,424 4,200 X X 28-5284 4200 DRIL-QUIP INC COM 262037104 164,857 2,086 X 28-5284 356 1730 711 9 X X 28-5284 9 DU PONT E I DE NEMOURS & CO COM 263534109 100,348,889 1,825,521 X 28-5284 1792660 32861 88,917,163 1,617,558 X X 28-5284 1564230 150 53178 30,819,590 560,662 X 28-13605 491687 68975 6,151,583 111,908 X X 28-13605 106630 422 4856 7,172,925 130,488 X 28-13663 128504 1984 9,675,325 176,011 X X 28-13663 176011 DUCOMMUN INC DEL COM 264147109 28,393 1,188 X X 28-5284 1188 275,806 11,540 X 28-13605 11540 DUFF & PHELPS UTIL CORP BD T COM 26432K108 9,891 900 X X 28-5284 900 DUFF & PHELPS CORP NEW CL A 26433B107 3,643 228 X 28-5284 228 22,372 1,400 X X 28-5284 1400 DUKE ENERGY CORP NEW COM 26441C105 8,344,898 459,774 X 28-5284 442244 17530 9,329,971 514,048 X X 28-5284 472330 1921 39797 872,815 48,089 X 28-13605 7030 41059 91 5 X X 28-13605 5 7,206 397 X 28-13663 200 197 47,190 2,600 X X 28-13663 584 2016 COLUMN TOTAL 263,544,484 FILE NO. 28-1235 PAGE 76 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ DUKE REALTY CORP COM NEW 264411505 298,441 21,302 X 28-5284 20102 1200 647,472 46,215 X X 28-5284 44715 1500 5,604 400 X 28-13663 400 DUN & BRADSTREET CORP DEL NE COM 26483E100 763,484 9,515 X 28-5284 8910 605 586,956 7,315 X X 28-5284 6802 138 375 8,425 105 X 28-13605 15 90 11,073 138 X X 28-13605 138 1,043 13 X 28-13663 13 DUNCAN ENERGY PARTNERS LP COM UNITS 265026104 121,500 3,000 X X 28-5284 2000 1000 DUOYUAN GLOBAL WTR INC SPONSORED ADR 266043108 1,387 230 X 28-5284 230 DUPONT FABROS TECHNOLOGY INC COM 26613Q106 1,916 79 X 28-5284 79 DYNAVAX TECHNOLOGIES CORP COM 268158102 13,800 5,000 X 28-5284 5000 DYNEGY INC DEL COM 26817G300 387 68 X 28-5284 68 ECA MARCELLUS TR I COM UNIT 26827L109 50,176 1,600 X X 28-5284 1600 EGA EMERGING GLOBAL SHS TR DJ FINL TITANS 268461506 5,412 220 X 28-5284 220 EGA EMERGING GLOBAL SHS TR DJ MKT MET&MIN 268461852 69,120 3,000 X X 28-5284 3000 E HOUSE CHINA HLDGS LTD ADR 26852W103 1,175 100 X X 28-5284 100 E M C CORP MASS NOTE 1.750%12 268648AK8 331,000 2,000 X X 28-5284 2000 E M C CORP MASS NOTE 1.750%12 268648AM4 1,364,000 8,000 X 28-5284 8000 341,000 2,000 X X 28-5284 2000 E M C CORP MASS COM 268648102 47,395,258 1,784,460 X 28-5284 1729338 55122 17,916,765 674,577 X X 28-5284 650055 3780 20742 39,141,658 1,473,707 X 28-13605 1289217 184490 6,865,069 258,474 X X 28-13605 245917 873 11684 203,157 7,649 X 28-13663 7002 647 194,764 7,333 X X 28-13663 6500 833 EMS TECHNOLOGIES INC COM 26873N108 45,580 2,319 X 28-5284 2319 COLUMN TOTAL 116,385,622 FILE NO. 28-1235 PAGE 77 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ENI S P A SPONSORED ADR 26874R108 549,028 11,175 X 28-5284 11175 55,910 1,138 X X 28-5284 238 900 38,665 787 X 28-13663 787 EOG RES INC COM 26875P101 14,354,998 121,129 X 28-5284 120238 891 10,315,466 87,043 X X 28-5284 85259 1784 1,017,408 8,585 X 28-13605 1256 7329 23,702 200 X 28-13663 200 11,851 100 X X 28-13663 100 EQT CORP COM 26884L109 76,094,406 1,524,938 X 28-5284 395257 1129681 33,883,996 679,038 X X 28-5284 665677 469 12892 258,831 5,187 X 28-13605 759 4428 549 11 X X 28-13605 11 9,980 200 X 28-13663 200 24,950 500 X X 28-13663 500 ETFS PLATINUM TR SH BEN INT 26922V101 210,033 1,195 X 28-5284 1195 ETFS SILVER TR SILVER SHS 26922X107 11,253 300 X 28-5284 300 105,028 2,800 X X 28-5284 2800 ETFS GOLD TR SHS 26922Y105 196,346 1,377 X 28-5284 1377 28,518 200 X X 28-5284 200 ETFS PALLADIUM TR SH BEN INT 26923A106 56,870 748 X 28-5284 748 ETFS WHITE METALS BASKET TR PHY WM BSK SHS 26923B104 12,296 200 X 28-5284 200 E TRADE FINANCIAL CORP COM NEW 269246401 10,707 685 X 28-5284 685 23,445 1,500 X X 28-5284 1500 181,136 11,589 X 28-13605 1695 9894 3,126 200 X 28-13663 200 EV ENERGY PARTNERS LP COM UNITS 26926V107 96,912 1,800 X 28-5284 1800 5,384 100 X X 28-5284 100 EXCO RESOURCES INC COM 269279402 24,296 1,176 X X 28-5284 1176 EAGLE MATERIALS INC COM 26969P108 15,342 507 X X 28-5284 353 154 COLUMN TOTAL 137,620,432 FILE NO. 28-1235 PAGE 78 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ EAGLE ROCK ENERGY PARTNERS L UNIT 26985R104 7,688 750 X 28-5284 750 20,500 2,000 X X 28-5284 2000 214,861 20,962 X 28-13605 20962 EAST WEST BANCORP INC COM 27579R104 531,212 24,190 X 28-5284 160 24030 160,593 7,313 X X 28-5284 1113 6200 23,168 1,055 X 28-13663 1055 EASTERN AMERN NAT GAS TR SPERS RCT UNIT 276217106 29,250 1,250 X 28-5284 1250 70,200 3,000 X X 28-5284 3000 EASTMAN CHEM CO COM 277432100 1,664,206 16,756 X 28-5284 15529 1227 702,590 7,074 X X 28-5284 6463 462 149 10,316,964 103,876 X 28-13605 82083 21793 1,105,432 11,130 X X 28-13605 11020 110 1,688 17 X 28-13663 17 EASTMAN KODAK CO COM 277461109 16,266 5,036 X 28-5284 4702 334 93,266 28,875 X X 28-5284 28434 441 EATON CORP COM 278058102 29,605,681 534,013 X 28-5284 523979 10034 14,522,342 261,947 X X 28-5284 258019 11 3917 35,655,404 643,135 X 28-13605 576634 66501 6,441,130 116,182 X X 28-13605 110966 385 4831 344,282 6,210 X 28-13663 6155 55 366,458 6,610 X X 28-13663 6610 EATON VANCE OH MUNI INCOME T SH BEN INT 27826G109 19,433 1,488 X 28-5284 1488 EATON VANCE SR INCOME TR SH BEN INT 27826S103 22,313 3,065 X X 28-5284 3065 EATON VANCE PA MUNI INCOME T SH BEN INT 27826T101 59,683 4,817 X 28-5284 4817 337,070 27,205 X X 28-5284 27205 EATON VANCE MUNI INCOME TRUS SH BEN INT 27826U108 70,323 5,990 X 28-5284 5990 EATON VANCE CORP COM NON VTG 278265103 80,407 2,494 X 28-5284 2494 36,399 1,129 X X 28-5284 1129 EATON VANCE MUN BD FD II COM 27827K109 348,425 27,500 X 28-5284 27500 EATON VANCE MUN BD FD COM 27827X101 329,654 28,917 X 28-5284 28917 53,295 4,675 X X 28-5284 4675 COLUMN TOTAL 103,250,183 FILE NO. 28-1235 PAGE 79 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ EATON VANCE ENHANCED EQ INC COM 278274105 14,808 1,200 X 28-5284 1200 EATON VANCE ENH EQTY INC FD COM 278277108 146,361 11,570 X 28-5284 11570 EATON VANCE TAX ADVT DIV INC COM 27828G107 229,710 13,000 X X 28-5284 13000 EATON VANCE LTD DUR INCOME F COM 27828H105 41,548 2,600 X 28-5284 2600 15,980 1,000 X X 28-5284 1000 EATON VANCE TX MGD DIV EQ IN COM 27828N102 65,956 5,996 X 28-5284 5996 52,910 4,810 X X 28-5284 4810 EATON VANCE SR FLTNG RTE TR COM 27828Q105 33,476 2,035 X 28-5284 2035 4,935 300 X X 28-5284 300 EATON VANCE TX ADV GLBL DIV COM 27828S101 18,563 1,250 X 28-5284 1250 207,900 14,000 X X 28-5284 14000 EATON VANCE TX ADV GLB DIV O COM 27828U106 31,548 1,438 X 28-5284 1438 EATON VANCE PA MUN BD FD COM 27828W102 27,495 2,250 X 28-5284 2250 146,640 12,000 X X 28-5284 12000 EATON VANCE TAX MNGED BUY WR COM 27828X100 17,300 1,250 X 28-5284 1250 EATON VANCE TX MNG BY WRT OP COM 27828Y108 19,320 1,500 X 28-5284 1500 EATON VANCE TXMGD GL BUYWR O COM 27829C105 121,949 9,955 X 28-5284 9955 312,375 25,500 X X 28-5284 25500 EATON VANCE TAX MNG GBL DV E COM 27829F108 51,038 4,824 X 28-5284 4824 185,150 17,500 X X 28-5284 17500 EATON VANCE RISK MNGD DIV EQ COM 27829G106 25,935 2,023 X 28-5284 2023 38,460 3,000 X X 28-5284 3000 EBAY INC COM 278642103 14,283,894 460,177 X 28-5284 441733 18444 3,739,885 120,486 X X 28-5284 94187 1024 25275 23,434,114 754,965 X 28-13605 668905 86060 4,141,264 133,417 X X 28-13605 127137 446 5834 94,920 3,058 X 28-13663 2820 238 6,208 200 X X 28-13663 200 COLUMN TOTAL 47,509,642 FILE NO. 28-1235 PAGE 80 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ EBIX INC COM NEW 278715206 42,570 1,800 X 28-5284 1800 1,268,515 53,637 X 28-13605 53637 7,615 322 X X 28-13605 322 269,812 11,409 X 28-13605 11409 ECHOSTAR CORP CL A 278768106 1,022 27 X 28-5284 27 9,349 247 X X 28-5284 247 ECOLAB INC COM 278865100 3,435,585 67,338 X 28-5284 39759 27579 4,586,647 89,899 X X 28-5284 60820 235 28844 402,446 7,888 X 28-13605 1153 6735 255 5 X X 28-13605 5 2,806 55 X 28-13663 55 EDISON INTL COM 281020107 314,235 8,588 X 28-5284 7928 660 317,967 8,690 X X 28-5284 8690 3,405,578 93,074 X 28-13605 83339 9735 120,308 3,288 X X 28-13605 3288 3,147 86 X 28-13663 86 EDUCATION MGMT CORP NEW COM 28140M103 6,638 317 X X 28-5284 317 172,357 8,231 X 28-13605 8231 EDWARDS LIFESCIENCES CORP COM 28176E108 1,293,777 14,871 X 28-5284 14157 714 864,084 9,932 X X 28-5284 9439 433 60 359,571 4,133 X 28-13605 592 3541 52,200 600 X 28-13663 600 EL PASO CORP COM 28336L109 268,992 14,944 X 28-5284 13778 1166 289,620 16,090 X X 28-5284 16080 10 436,032 24,224 X 28-13605 3540 20684 180 10 X X 28-13605 10 4,122 229 X 28-13663 229 EL PASO ELEC CO COM NEW 283677854 169,267 5,568 X 28-5284 500 5068 552,368 18,170 X 28-13605 18170 EL PASO ENERGY CAP TR I PFD CV TR SECS 283678209 23,231 525 X 28-5284 525 EL PASO PIPELINE PARTNERS L COM UNIT LPI 283702108 1,579,990 43,610 X 28-5284 43610 643,626 17,765 X X 28-5284 14065 3700 13,767 380 X 28-13663 380 21,738 600 X X 28-13663 600 COLUMN TOTAL 20,939,417 FILE NO. 28-1235 PAGE 81 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) 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 33,368 4,850 X 28-5284 4850 22,360 3,250 X X 28-5284 3250 ELDORADO GOLD CORP NEW COM 284902103 371,248 22,832 X 28-5284 2622 20210 169,104 10,400 X X 28-5284 10400 ELECTRO SCIENTIFIC INDS COM 285229100 4,514 260 X 28-5284 260 ELECTRONIC ARTS INC COM 285512109 146,260 7,489 X 28-5284 6517 972 160,673 8,227 X X 28-5284 8220 7 313,828 16,069 X 28-13605 2349 13720 137 7 X X 28-13605 7 ELECTRONICS FOR IMAGING INC COM 286082102 147,100 10,000 X 28-5284 10000 1,500 102 X X 28-5284 102 ELIZABETH ARDEN INC COM 28660G106 20,287 676 X 28-5284 66 610 235,609 7,851 X 28-13605 7851 ELLIS PERRY INTL INC COM 288853104 881 32 X 28-5284 32 ELSTER GROUP SE SPONSORED ADR 290348101 157,625 9,700 X X 28-5284 9700 EMBRAER S A SP ADR REP 4 C 29082A107 59,548 1,767 X 28-5284 636 1131 265,758 7,886 X X 28-5284 2086 5800 EMCOR GROUP INC COM 29084Q100 26,634 860 X 28-5284 270 590 15,950 515 X X 28-5284 515 138,777 4,481 X 28-13605 4481 EMDEON INC CL A 29084T104 3,593 223 X X 28-5284 223 EMCORE CORP COM 290846104 1,799 700 X 28-5284 700 EMERGENT BIOSOLUTIONS INC COM 29089Q105 4,832 200 X X 28-5284 200 153,392 6,349 X 28-13605 6349 EMERGENCY MEDICAL SVCS CORP CL A 29100P102 15,198 239 X X 28-5284 239 97,801 1,538 X 28-13605 1538 COLUMN TOTAL 2,567,776 FILE NO. 28-1235 PAGE 82 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ EMERSON ELEC CO COM 291011104 97,566,414 1,669,800 X 28-5284 1651828 17972 103,505,181 1,771,439 X X 28-5284 1662817 8468 100154 3,046,014 52,131 X 28-13605 28314 23817 628,356 10,754 X X 28-13605 10667 31 56 1,250,986 21,410 X 28-13663 21229 181 2,510,211 42,961 X X 28-13663 42961 EMPIRE DIST ELEC CO COM 291641108 27,303 1,253 X 28-5284 1253 6,319 290 X X 28-5284 190 100 EMULEX CORP COM NEW 292475209 3,201 300 X X 28-5284 300 ENBRIDGE INC COM 29250N105 75,276 1,225 X 28-5284 1225 397,889 6,475 X X 28-5284 5325 1150 ENBRIDGE ENERGY PARTNERS L P COM 29250R106 2,922,116 45,220 X 28-5284 45220 11,439,872 177,033 X X 28-5284 177033 ENBRIDGE ENERGY MANAGEMENT L SHS UNITS LLI 29250X103 1,373,455 21,839 X X 28-5284 21839 ENCANA CORP COM 292505104 139,847 4,050 X 28-5284 4050 774,335 22,425 X X 28-5284 17525 4900 7,148 207 X 28-13663 207 ENCORE CAP GROUP INC COM 292554102 152,041 6,422 X 28-13605 6422 ENCORE WIRE CORP COM 292562105 65,475 2,690 X 28-5284 2690 207,620 8,530 X X 28-5284 8530 ENCORE ENERGY PARTNERS LP COM UNIT 29257A106 84,528 3,600 X 28-5284 3600 140,880 6,000 X X 28-5284 1000 5000 ENDEAVOUR SILVER CORP COM 29258Y103 9,820 1,000 X X 28-5284 1000 ENDO PHARMACEUTICALS HLDGS I COM 29264F205 56,286 1,475 X 28-5284 1145 330 40,984 1,074 X X 28-5284 1074 ENERGEN CORP COM 29265N108 1,066,097 16,890 X 28-5284 16890 375,816 5,954 X X 28-5284 5654 300 37,115 588 X 28-13663 438 150 ENERGY CONVERSION DEVICES IN COM 292659109 1,130 500 X 28-5284 500 COLUMN TOTAL 227,911,715 FILE NO. 28-1235 PAGE 83 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ENERGIZER HLDGS INC COM 29266R108 918,462 12,907 X 28-5284 9407 3500 627,631 8,820 X X 28-5284 8820 5,048,873 70,951 X 28-13605 70951 76,639 1,077 X X 28-13605 1077 ENERGY INCOME & GROWTH FD COM 292697109 17,412 600 X X 28-5284 600 ENERGY TRANSFER PRTNRS L P UNIT LTD PARTN 29273R109 11,521,207 222,589 X 28-5284 222189 400 3,974,702 76,791 X X 28-5284 75941 850 51,760 1,000 X 28-13663 1000 124,224 2,400 X X 28-13663 2400 ENERGY TRANSFER EQUITY L P COM UT LTD PTN 29273V100 702,000 15,600 X 28-5284 15600 2,896,200 64,360 X X 28-5284 64110 250 ENERSYS COM 29275Y102 29,177 734 X 28-5284 64 670 92,180 2,319 X 28-13605 2319 ENERNOC INC COM 292764107 99,372 5,200 X X 28-5284 5200 ENERPLUS CORP COM 292766102 164,094 5,183 X 28-5284 5183 376,247 11,884 X X 28-5284 11634 250 ENPRO INDS INC COM 29355X107 3,632 100 X X 28-5284 100 ENSIGN GROUP INC COM 29358P101 958 30 X 28-5284 30 ENSCO PLC SPONSORED ADR 29358Q109 36,381 629 X 28-5284 607 22 158,192 2,735 X X 28-5284 2735 1,478,795 25,567 X 28-13605 25567 168,314 2,910 X X 28-13605 2910 ENTEGRIS INC COM 29362U104 2,854 325 X 28-5284 325 52,680 6,000 X X 28-5284 6000 ENTERGY CORP NEW COM 29364G103 3,245,100 48,283 X 28-5284 46894 1389 3,523,820 52,430 X X 28-5284 51622 8 800 428,195 6,371 X 28-13605 930 5441 538 8 X X 28-13605 8 25,540 380 X 28-13663 350 30 33,605 500 X X 28-13663 500 COLUMN TOTAL 35,878,784 FILE NO. 28-1235 PAGE 84 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ENTERPRISE PRODS PARTNERS L COM 293792107 23,429,247 544,107 X 28-5284 542197 1910 19,857,377 461,156 X X 28-5284 444966 4700 11490 1,133,425 26,322 X 28-13605 25475 847 443,217 10,293 X X 28-13605 10203 32 58 125,735 2,920 X 28-13663 2670 250 150,710 3,500 X X 28-13663 3500 ENTERTAINMENT PPTYS TR COM SH BEN INT 29380T105 35,115 750 X 28-5284 750 92,657 1,979 X X 28-5284 1979 ENTROPIC COMMUNICATIONS INC COM 29384R105 3,346 396 X 28-5284 396 236,161 27,948 X 28-13605 27948 ENZO BIOCHEM INC COM 294100102 1,043 249 X 28-5284 249 16,760 4,000 X X 28-5284 4000 EPLUS INC COM 294268107 171,980 6,463 X 28-13605 6463 EQUIFAX INC COM 294429105 536,674 13,814 X 28-5284 5493 8321 125,408 3,228 X X 28-5284 1728 1500 167,521 4,312 X 28-13605 629 3683 4,662 120 X X 28-13663 120 EQUINIX INC COM NEW 29444U502 18,402 202 X 28-5284 77 125 63,770 700 X X 28-5284 700 EQUITY LIFESTYLE PPTYS INC COM 29472R108 111,322 1,931 X 28-13605 1931 EQUITY ONE COM 294752100 43,171 2,300 X X 28-5284 200 2100 EQUITY RESIDENTIAL SH BEN INT 29476L107 18,338,101 325,086 X 28-5284 318200 6886 4,645,758 82,357 X X 28-5284 79471 4 2882 22,823,430 404,599 X 28-13605 341087 63512 3,900,582 69,147 X X 28-13605 65492 246 3409 43,379 769 X 28-13663 676 93 36,554 648 X X 28-13663 400 248 ERICSSON L M TEL CO ADR B SEK 10 294821608 232,110 18,049 X 28-5284 17813 236 374,239 29,101 X X 28-5284 13101 16000 ERIE INDTY CO CL A 29530P102 340,308,496 4,785,663 X 28-5284 4785663 450,553 6,336 X X 28-5284 6336 COLUMN TOTAL 437,920,905 FILE NO. 28-1235 PAGE 85 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ESCO TECHNOLOGIES INC COM 296315104 528,797 13,861 X 28-5284 1716 12145 20,334 533 X 28-13663 533 ESSA BANCORP INC COM 29667D104 191,400 14,500 X 28-5284 14500 ESSEX PPTY TR INC COM 297178105 27,280 220 X X 28-5284 220 ESTERLINE TECHNOLOGIES CORP COM 297425100 37,482 530 X 28-5284 270 260 72,983 1,032 X X 28-5284 1032 2,593,444 36,672 X 28-13605 36672 107,141 1,515 X X 28-13605 1515 372,483 5,267 X 28-13605 5267 ETABLISSEMENTS DELHAIZE FRER SPONSORED ADR 29759W101 408 5 X X 28-5284 5 ETHAN ALLEN INTERIORS INC COM 297602104 5,475 250 X 28-5284 250 3,307 151 X X 28-5284 151 26,280 1,200 X 28-13663 1200 EVERCORE PARTNERS INC CLASS A 29977A105 188,698 5,503 X 28-13605 5503 EVERGREEN SOLAR INC COM NEW 30033R306 225 167 X X 28-5284 167 EXAR CORP COM 300645108 1,923 320 X 28-5284 320 EXELON CORP COM 30161N101 14,120,411 342,396 X 28-5284 336394 6002 14,877,289 360,749 X X 28-5284 346794 280 13675 5,064,478 122,805 X 28-13605 102454 20351 866 21 X X 28-13605 21 44,086 1,069 X 28-13663 960 109 174,033 4,220 X X 28-13663 4220 EXELIXIS INC COM 30161Q104 137,660 12,150 X 28-5284 150 12000 EXETER RES CORP COM 301835104 134 25 X 28-5284 25 EXPEDIA INC DEL COM 30212P105 66,530 2,936 X 28-5284 2095 841 341,328 15,063 X X 28-5284 15063 120,257 5,307 X 28-13605 777 4530 1,065 47 X 28-13663 47 COLUMN TOTAL 39,125,797 FILE NO. 28-1235 PAGE 86 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ EXPEDITORS INTL WASH INC COM 302130109 477,027 9,512 X 28-5284 8202 1310 1,731,529 34,527 X X 28-5284 21954 16 12557 369,656 7,371 X 28-13605 1077 6294 802 16 X X 28-13605 16 EXPRESS SCRIPTS INC COM 302182100 2,991,095 53,787 X 28-5284 41729 12058 2,327,167 41,848 X X 28-5284 38391 17 3440 1,384,189 24,891 X 28-13605 9835 15056 945 17 X X 28-13605 17 211,262 3,799 X 28-13663 1400 2399 15,460 278 X X 28-13663 278 EXPRESS INC COM 30219E103 220,607 11,290 X X 28-5284 11290 EXTERRAN PARTNERS LP COM UNITS 30225N105 14,035 500 X 28-5284 500 EXTRA SPACE STORAGE INC COM 30225T102 544,777 26,305 X 28-13605 26305 EXTERRAN HLDGS INC COM 30225X103 275,007 11,589 X X 28-5284 427 11162 EXTREME NETWORKS INC COM 30226D106 13,650 3,900 X 28-5284 3900 EZCORP INC CL A NON VTG 302301106 2,543 81 X 28-5284 81 290,546 9,256 X 28-13605 9256 EXXON MOBIL CORP COM 30231G102 669,040,796 7,952,464 X 28-5284 7844121 108343 803,535,641 9,551,119 X X 28-5284 8769822 21263 760034 95,112,751 1,130,545 X 28-13605 939232 191313 16,204,195 192,609 X X 28-13605 183019 639 8951 4,559,257 54,193 X 28-13663 52553 1640 48,169,641 572,562 X X 28-13663 571095 1467 FBL FINL GROUP INC CL A 30239F106 27,648 900 X 28-5284 900 117,381 3,821 X 28-13605 3821 FEI CO COM 30241L109 6,575 195 X 28-5284 195 72,127 2,139 X 28-13605 2139 FLIR SYS INC COM 302445101 102,169 2,952 X 28-5284 2851 101 539,674 15,593 X X 28-5284 1593 14000 192,951 5,575 X 28-13605 814 4761 COLUMN TOTAL 1,648,551,103 FILE NO. 28-1235 PAGE 87 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ FMC TECHNOLOGIES INC COM 30249U101 3,495,099 36,993 X 28-5284 24755 12238 421,475 4,461 X X 28-5284 4096 365 6,580,626 69,651 X 28-13605 65465 4186 866,287 9,169 X X 28-13605 9169 1,890 20 X 28-13663 20 F M C CORP COM NEW 302491303 1,764,845 20,780 X 28-5284 13725 7055 1,173,478 13,817 X X 28-5284 10367 3450 1,985,409 23,377 X 28-13605 20476 2901 686,829 8,087 X X 28-13605 8015 26 46 74,653 879 X 28-13663 140 739 31,424 370 X X 28-13663 370 FNB CORP PA COM 302520101 2,041,008 193,644 X 28-5284 193644 462,537 43,884 X X 28-5284 10346 33538 421,600 40,000 X 28-13663 40000 FPB BANCORP INC COM 30254M101 343 1,102 X 28-5284 1102 FXCM INC COM CL A 302693106 68,929 5,290 X X 28-5284 40 5250 FX ENERGY INC COM 302695101 50,160 6,000 X 28-5284 6000 FTI CONSULTING INC COM 302941109 10,387 271 X 28-5284 271 15,600 407 X X 28-5284 407 114,147 2,978 X 28-13605 2978 4,293 112 X X 28-13605 112 FACTSET RESH SYS INC COM 303075105 1,927,241 18,402 X 28-5284 18402 1,906,086 18,200 X X 28-5284 18200 257,112 2,455 X 28-13605 2455 92,162 880 X X 28-13605 880 10,473 100 X 28-13663 100 FAIR ISAAC CORP COM 303250104 193,232 6,113 X 28-5284 6113 36,352 1,150 X X 28-5284 1150 FAIRCHILD SEMICONDUCTOR INTL COM 303726103 13,723 754 X 28-5284 754 17,818 979 X X 28-5284 979 COLUMN TOTAL 24,725,218 FILE NO. 28-1235 PAGE 88 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ FAMILY DLR STORES INC COM 307000109 1,095,169 21,340 X 28-5284 17717 3623 1,483,969 28,916 X X 28-5284 22489 17 6410 228,220 4,447 X 28-13605 650 3797 872 17 X X 28-13605 17 12,317 240 X X 28-13663 240 FARMERS CAP BK CORP COM 309562106 18,775 2,500 X 28-5284 2500 FASTENAL CO COM 311900104 632,870 9,762 X 28-5284 9199 563 4,895,054 75,506 X X 28-5284 52199 350 22957 493,551 7,613 X 28-13605 3178 4435 48,623 750 X X 28-13605 750 3,242 50 X 28-13663 50 FAUQUIER BANKSHARES INC VA COM 312059108 186,840 13,500 X X 28-5284 13500 FEDERAL MOGUL CORP COM 313549404 24,900 1,000 X 28-5284 1000 3,436 138 X X 28-5284 138 94,172 3,782 X 28-13605 3782 FEDERAL REALTY INVT TR SH BEN INT NEW 313747206 791,540 9,705 X 28-5284 9705 2,192,414 26,881 X X 28-5284 26381 500 FEDERAL SIGNAL CORP COM 313855108 1,979 304 X X 28-5284 304 FEDERATED INVS INC PA CL B 314211103 4,794,911 179,249 X 28-5284 169071 10178 2,315,293 86,553 X X 28-5284 84700 1853 1,827,159 68,305 X 28-13605 61830 6475 648,982 24,261 X X 28-13605 24046 75 140 16,826 629 X 28-13663 130 499 126,554 4,731 X X 28-13663 4276 455 FEDEX CORP COM 31428X106 6,988,653 74,705 X 28-5284 68151 6554 2,935,318 31,377 X X 28-5284 30940 62 375 1,013,053 10,829 X 28-13605 1583 9246 1,123 12 X X 28-13605 12 30,123 322 X 28-13663 250 72 57,814 618 X X 28-13663 451 167 FEDFIRST FINL CORP NEW COM 31429C101 482,660 34,950 X 28-5284 24950 10000 FELCOR LODGING TR INC COM 31430F101 22,405 3,655 X X 28-5284 3655 COLUMN TOTAL 33,468,817 FILE NO. 28-1235 PAGE 89 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ FEMALE HEALTH CO COM 314462102 1,248 250 X X 28-5284 250 FERRELLGAS PARTNERS L.P. UNIT LTD PART 315293100 39,000 1,500 X 28-5284 1500 5,200 200 X X 28-5284 200 139,438 5,363 X 28-13605 5363 FERRO CORP COM 315405100 151,384 9,125 X 28-5284 9125 20,771 1,252 X X 28-5284 1252 F5 NETWORKS INC COM 315616102 676,449 6,595 X 28-5284 4247 2348 124,007 1,209 X X 28-5284 954 255 441,359 4,303 X 28-13605 1707 2596 FIBERTOWER CORP COM NEW 31567R209 4,603 2,290 X X 28-5284 2290 FIBRIA CELULOSE S A SP ADR REP COM 31573A109 5,517 336 X X 28-5284 336 FIDELITY BANCORP INC COM 315831107 12,549 1,426 X 28-5284 1426 FIDELITY NATL INFORMATION SV COM 31620M106 414,803 12,689 X 28-5284 4819 7870 3,609,924 110,429 X X 28-5284 89578 7 20844 309,542 9,469 X 28-13605 1383 8086 229 7 X X 28-13605 7 3,138 96 X 28-13663 96 2,158 66 X X 28-13663 66 FIDELITY NATIONAL FINANCIAL CL A 31620R105 47,618 3,370 X 28-5284 2550 820 2,538,794 179,674 X X 28-5284 179674 FIFTH THIRD BANCORP COM 316773100 1,169,020 84,193 X 28-5284 67646 16547 964,827 69,487 X X 28-5284 55608 419 13460 458,261 33,004 X 28-13605 4821 28183 1,652 119 X X 28-13605 119 2,749 198 X 28-13663 198 FIFTH STREET FINANCE CORP COM 31678A103 129,188 9,677 X 28-5284 1400 8277 13,350 1,000 X X 28-5284 1000 51JOB INC SP ADR REP COM 316827104 176,830 2,766 X 28-13605 2766 COLUMN TOTAL 11,463,608 FILE NO. 28-1235 PAGE 90 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ FINISAR CORP COM NEW 31787A507 12,841,028 521,993 X 28-5284 521993 1,304 53 X X 28-5284 53 656,279 26,678 X 28-13605 26678 3,961 161 X X 28-13605 161 140,013 5,691 X 28-13605 5691 FINISH LINE INC CL A 317923100 85,355 4,300 X X 28-5284 4300 FIRST AMERN FINL CORP COM 31847R102 472,742 28,651 X X 28-5284 28651 FIRST CASH FINL SVCS INC COM 31942D107 249,781 6,471 X 28-5284 1847 4624 54,040 1,400 X X 28-5284 1400 341,301 8,842 X 28-13605 8842 FIRST CTZNS BANCSHARES INC N CL A 31946M103 20,058 100 X 28-5284 100 97,682 487 X X 28-5284 37 450 144,819 722 X 28-13605 722 FIRST CLOVER LEAF FIN CORP COM 31969M105 17,750 2,500 X 28-5284 2500 FIRST COMWLTH FINL CORP PA COM 319829107 633,515 92,484 X 28-5284 92484 139,576 20,376 X X 28-5284 17476 2900 FIRST CMNTY BANCSHARES INC N COM 31983A103 38,286 2,700 X X 28-5284 2700 FIRST FINL BANCORP OH COM 320209109 16,690 1,000 X 28-5284 1000 FIRST HORIZON NATL CORP COM 320517105 38,361 3,422 X 28-5284 645 2777 65,780 5,868 X X 28-5284 5324 44 500 76,732 6,845 X 28-13605 759 6086 493 44 X X 28-13605 44 8,789 784 X X 28-13663 784 FIRST INDUSTRIAL REALTY TRUS COM 32054K103 11,890 1,000 X 28-5284 1000 FIRST INTST BANCSYSTEM INC COM CL A 32055Y201 13,600 1,000 X 28-5284 1000 FIRST MARINER BANCORP COM 320795107 728 750 X 28-5284 750 FIRST MIDWEST BANCORP DEL COM 320867104 39,626 3,361 X 28-5284 2761 600 COLUMN TOTAL 16,210,179 FILE NO. 28-1235 PAGE 91 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ FIRST NIAGARA FINL GP INC COM 33582V108 2,678,411 197,232 X 28-5284 173420 23812 2,890,843 212,875 X X 28-5284 195686 17189 2,172,841 160,003 X 28-13605 154862 5141 825,229 60,768 X X 28-13605 60224 191 353 33,950 2,500 X X 28-13663 2500 FIRST POTOMAC RLTY TR COM 33610F109 25,846 1,641 X 28-5284 1641 FIRST SOLAR INC COM 336433107 274,071 1,704 X 28-5284 1653 51 316,694 1,969 X X 28-5284 1419 550 312,190 1,941 X 28-13605 284 1657 1ST SOURCE CORP COM 336901103 3,874,013 193,314 X 28-5284 193314 FIRST TR EXCHANGE TRADED FD DJ INTERNT IDX 33733E302 218,160 6,000 X 28-5284 6000 FIRST TR VALUE LINE DIVID IN SHS 33734H106 107,984 6,800 X 28-5284 6800 FIRST TR ISE REVERE NAT GAS COM 33734J102 42,334 1,813 X X 28-5284 1813 FIRST TR STRATEGIC HIGH INC COM SHS 337353106 2,460 500 X X 28-5284 500 FIRST TR ISE GLB WIND ENRG E COM SHS 33736G106 949 80 X 28-5284 80 FIRSTSERVICE CORP SUB VTG SH 33761N109 1,508,422 39,664 X 28-13605 39664 9,698 255 X X 28-13605 255 346,922 9,122 X 28-13605 9122 FISERV INC COM 337738108 421,416 6,719 X 28-5284 4345 2374 1,968,404 31,384 X X 28-5284 28649 10 2725 322,757 5,146 X 28-13605 752 4394 627 10 X X 28-13605 10 3,763 60 X 28-13663 60 FIRSTMERIT CORP COM 337915102 1,224,448 71,731 X 28-5284 61679 10052 207,793 12,173 X X 28-5284 12173 FIRSTENERGY CORP COM 337932107 3,271,931 88,216 X 28-5284 86444 1772 3,084,404 83,160 X X 28-5284 78443 190 4527 556,313 14,999 X 28-13605 2189 12810 742 20 X X 28-13605 20 2,040 55 X 28-13663 55 1,298 35 X X 28-13663 35 COLUMN TOTAL 26,706,953 FILE NO. 28-1235 PAGE 92 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ FISHER SCIENTIFIC INTL INC NOTE 3.250% 3 338032AX3 273,250 2,000 X 28-5284 2000 FIVE STAR QUALITY CARE INC COM 33832D106 350 43 X 28-5284 43 FLAHERTY & CRMN/CLYMR PFD SE COM SHS 338478100 3,536 207 X 28-5284 207 FLAHERTY & CRMRN CLYMRE T R COM 338479108 34,827 1,900 X X 28-5284 1900 FLAHERTY & CRUMRINE PFD INC COM 338480106 11,124 900 X X 28-5284 900 FLEETCOR TECHNOLOGIES INC COM 339041105 571,550 17,500 X X 28-5284 17500 FLUOR CORP NEW COM 343412102 1,973,351 26,790 X 28-5284 25975 815 1,872,143 25,416 X X 28-5284 24157 9 1250 457,429 6,210 X 28-13605 907 5303 663 9 X X 28-13605 9 90,602 1,230 X 28-13663 1200 30 3,609 49 X X 28-13663 49 FLOW INTL CORP COM 343468104 8,780 2,000 X 28-5284 2000 FLOWERS FOODS INC COM 343498101 135,469 4,975 X 28-5284 4975 54,378 1,997 X X 28-5284 1997 FLOWSERVE CORP COM 34354P105 198,352 1,540 X 28-5284 1386 154 217,543 1,689 X X 28-5284 1686 3 253,607 1,969 X 28-13605 288 1681 386 3 X X 28-13605 3 2,962 23 X 28-13663 23 FLUSHING FINL CORP COM 343873105 22,350 1,500 X X 28-5284 1500 FLY LEASING LTD SPONSORED ADR 34407D109 91,997 6,652 X 28-13605 6652 FOCUS MEDIA HLDG LTD SPONSORED ADR 34415V109 127,925 4,171 X 28-5284 29 4142 275,263 8,975 X X 28-5284 8975 FOMENTO ECONOMICO MEXICANO S SPON ADR UNITS 344419106 13,442 229 X 28-5284 229 FOOT LOCKER INC COM 344849104 174,325 8,840 X 28-5284 8840 774,010 39,250 X X 28-5284 19110 20140 COLUMN TOTAL 7,643,223 FILE NO. 28-1235 PAGE 93 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) 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 17,766,875 1,191,608 X 28-5284 1154848 36760 6,780,173 454,740 X X 28-5284 437542 38 17160 1,970,297 132,146 X 28-13605 19675 112471 100,747 6,757 X X 28-13605 6757 345,122 23,147 X 28-13663 15189 7958 355,469 23,841 X X 28-13663 22430 1411 FOREST CITY ENTERPRISES INC CL A 345550107 126,142 6,699 X 28-5284 246 6453 104,864 5,569 X X 28-5284 5569 3,689,079 195,915 X 28-11439 195915 FOREST LABS INC COM 345838106 268,671 8,318 X 28-5284 7128 1190 334,499 10,356 X X 28-5284 10347 9 399,648 12,373 X 28-13605 1807 10566 291 9 X X 28-13605 9 FOREST OIL CORP COM PAR $0.01 346091705 42,597 1,126 X 28-5284 1126 714,836 18,896 X X 28-5284 18896 FORESTAR GROUP INC COM 346233109 3,937 207 X 28-5284 207 7,380 388 X X 28-5284 194 194 3,690 194 X X 28-13605 194 FORTRESS INVESTMENT GROUP LL CL A 34958B106 9,940 1,750 X 28-5284 1750 FORTINET INC COM 34959E109 21,060 477 X 28-5284 477 188,300 4,265 X X 28-5284 4265 FORTUNE BRANDS INC COM 349631101 6,183,306 99,908 X 28-5284 99425 483 8,066,247 130,332 X X 28-5284 123143 19 7170 340,271 5,498 X 28-13605 802 4696 1,176 19 X X 28-13605 19 6,189 100 X 28-13663 100 6,189 100 X X 28-13663 100 FORWARD AIR CORP COM 349853101 459,450 15,000 X 28-5284 15000 19,848 648 X 28-13663 648 FOSSIL INC COM 349882100 430,322 4,595 X 28-5284 4415 180 67,709 723 X X 28-5284 423 300 3,499,794 37,371 X 28-13605 37031 340 486,980 5,200 X X 28-13605 5200 COLUMN TOTAL 52,801,098 FILE NO. 28-1235 PAGE 94 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ FOSTER L B CO COM 350060109 29,099 675 X X 28-5284 675 FRANCE TELECOM SPONSORED ADR 35177Q105 147,350 6,546 X 28-5284 6546 70,704 3,141 X X 28-5284 3141 FRANKLIN ELEC INC COM 353514102 442,273 9,573 X 28-5284 9573 19,127 414 X 28-13663 414 FRANKLIN RES INC COM 354613101 14,190,701 113,453 X 28-5284 110538 2915 8,212,378 65,657 X X 28-5284 60376 6 5275 651,542 5,209 X 28-13605 761 4448 750 6 X X 28-13605 6 153,848 1,230 X 28-13663 1200 30 84,429 675 X X 28-13663 675 FRANKLIN UNVL TR SH BEN INT 355145103 58,806 9,075 X X 28-5284 9075 FREDS INC CL A 356108100 4,795 360 X 28-5284 360 FREEPORT-MCMORAN COPPER & GO COM 35671D857 32,710,062 588,840 X 28-5284 559958 28882 22,592,518 406,706 X X 28-5284 380679 419 25608 1,691,664 30,453 X 28-13605 4453 26000 17,720 319 X X 28-13605 319 318,579 5,735 X 28-13663 4034 1701 183,426 3,302 X X 28-13663 2468 834 FRESENIUS MED CARE AG&CO KGA SPONSORED ADR 358029106 2,589,595 38,353 X 28-5284 782 37571 388,510 5,754 X X 28-5284 1484 4270 84,400 1,250 X 28-13663 130 1120 FRESH MKT INC COM 35804H106 6,378 169 X 28-5284 169 528 14 X X 28-5284 14 FRONTEER GOLD INC COM 359032109 18,084 1,200 X X 28-5284 1200 FRONTIER COMMUNICATIONS CORP COM 35906A108 2,816,756 342,671 X 28-5284 330216 12455 3,606,385 438,733 X X 28-5284 417077 1216 20440 286,040 34,798 X 28-13605 5083 29715 2,433 296 X X 28-13605 296 7,423 903 X 28-13663 787 116 9,371 1,140 X X 28-13663 1041 99 COLUMN TOTAL 91,395,674 FILE NO. 28-1235 PAGE 95 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ FRONTIER OIL CORP COM 35914P105 8,649 295 X 28-5284 109 186 20,641 704 X X 28-5284 704 56,646 1,932 X 28-13605 1932 2,140 73 X X 28-13605 73 FUELCELL ENERGY INC COM 35952H106 2,140 1,000 X X 28-5284 1000 FUEL SYS SOLUTIONS INC COM 35952W103 24,144 800 X X 28-5284 800 FULTON FINL CORP PA COM 360271100 651,668 58,656 X 28-5284 57151 1505 1,374,518 123,719 X X 28-5284 72463 51256 72,426 6,519 X 28-13605 6519 FURIEX PHARMACEUTICALS INC COM 36106P101 388 23 X 28-5284 23 625 37 X X 28-5284 37 G & K SVCS INC CL A 361268105 22,278 670 X 28-5284 500 170 29,925 900 X X 28-5284 900 GAMCO INVESTORS INC COM 361438104 269,815 5,820 X 28-5284 5820 12,285 265 X 28-13663 265 GATX CORP COM 361448103 63,789 1,650 X 28-5284 1650 67,230 1,739 X X 28-5284 1739 GDL FUND COM SH BEN IT 361570104 14,125 1,044 X 28-5284 1044 GEO GROUP INC COM 36159R103 10,923 426 X 28-5284 426 253,246 9,877 X X 28-5284 77 9800 232,016 9,049 X 28-13605 9049 GFI GROUP INC COM 361652209 10,040 2,000 X 28-5284 2000 GP STRATEGIES CORP COM 36225V104 8,500 625 X 28-5284 625 GT SOLAR INTL INC COM 3623E0209 97,897 9,175 X 28-13605 9175 G-III APPAREL GROUP LTD COM 36237H101 1,315 35 X 28-5284 35 33,813 900 X X 28-5284 900 GSI COMMERCE INC COM 36238G102 1,376 47 X X 28-5284 47 GSI TECHNOLOGY COM 36241U106 4,545 500 X 28-5284 500 COLUMN TOTAL 3,347,103 FILE NO. 28-1235 PAGE 96 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ GABELLI DIVD & INCOME TR COM 36242H104 61,581 3,703 X 28-5284 3703 GABELLI GLB GLD NAT RES & IN COM SHS BN INT 36244N109 128,259 6,797 X 28-5284 6797 159,452 8,450 X X 28-5284 8450 GABELLI HLTHCARE & WELLNESS RIGHT 04/12/20 36246K111 37 104 X X 28-5284 104 GAFISA S A SPONS ADR 362607301 6,240 486 X 28-5284 245 241 GAIAM INC CL A 36268Q103 231 35 X 28-5284 35 26,400 4,000 X X 28-5284 4000 GALLAGHER ARTHUR J & CO COM 363576109 187,995 6,182 X 28-5284 521 5661 22,503 740 X X 28-5284 740 GAMMON GOLD INC COM 36467T106 596 57 X X 28-5284 57 GAMESTOP CORP NEW CL A 36467W109 69,744 3,097 X 28-5284 2725 372 92,602 4,112 X X 28-5284 3912 200 123,027 5,463 X 28-13605 797 4666 1,689 75 X 28-13663 75 GANNETT INC COM 364730101 95,477 6,269 X 28-5284 4018 2251 304,935 20,022 X X 28-5284 20022 167,149 10,975 X 28-13605 1603 9372 9,595 630 X X 28-13663 630 GAP INC DEL COM 364760108 888,657 39,217 X 28-5284 33927 5290 2,388,545 105,408 X X 28-5284 101768 5 3635 339,764 14,994 X 28-13605 2192 12802 113 5 X X 28-13605 5 4,033 178 X 28-13663 178 GARDNER DENVER INC COM 365558105 317,036 4,063 X X 28-5284 663 3400 104,560 1,340 X 28-13605 1340 GARTNER INC COM 366651107 42,087 1,010 X 28-5284 1010 37,836 908 X X 28-5284 838 70 2,917 70 X X 28-13605 70 GASTAR EXPL LTD COM NEW 367299203 4,860 1,000 X 28-5284 1000 COLUMN TOTAL 5,587,920 FILE NO. 28-1235 PAGE 97 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ GAYLORD ENTMT CO NEW COM 367905106 45,084 1,300 X 28-5284 1300 18,693 539 X X 28-5284 539 GEN-PROBE INC NEW COM 36866T103 5,242 79 X 28-5284 79 128,984 1,944 X X 28-5284 1944 GENCORP INC COM 368682100 2,512 420 X 28-5284 420 10,166 1,700 X X 28-5284 1700 GENERAL AMERN INVS INC COM 368802104 176,473 6,227 X X 28-5284 6227 GENERAL CABLE CORP DEL NEW COM 369300108 4,330 100 X 28-5284 100 16,064 371 X X 28-5284 371 GENERAL COMMUNICATION INC CL A 369385109 4,157 380 X 28-5284 380 GENERAL DYNAMICS CORP COM 369550108 14,763,218 192,832 X 28-5284 187702 5130 13,101,100 171,122 X X 28-5284 161699 3 9420 6,203,886 81,033 X 28-13605 69912 11121 132,449 1,730 X X 28-13605 1730 19,293 252 X 28-13663 103 149 GENERAL ELECTRIC CO COM 369604103 240,866,304 12,013,282 X 28-5284 11831275 182007 286,697,917 14,299,148 X X 28-5284 13262564 27739 1008845 53,978,229 2,692,181 X 28-13605 2072679 619502 7,183,855 358,297 X X 28-13605 342030 1217 15050 1,207,130 60,206 X 28-13663 57161 3045 4,134,430 206,206 X X 28-13663 204269 1937 GENERAL GROWTH PPTYS INC NEW COM 370023103 49,737 3,213 X X 28-5284 3213 GENERAL MLS INC COM 370334104 62,648,528 1,714,050 X 28-5284 1692042 22008 48,989,646 1,340,346 X X 28-5284 1293845 490 46011 29,994,977 820,656 X 28-13605 740893 79763 5,275,846 144,346 X X 28-13605 136590 550 7206 660,751 18,078 X 28-13663 17678 400 672,886 18,410 X X 28-13663 18410 GENERAL MTRS CO COM 37045V100 259,752 8,371 X 28-5284 6315 2056 357,310 11,515 X X 28-5284 10590 925 33,109 1,067 X 28-13663 1067 161,666 5,210 X X 28-13663 5210 COLUMN TOTAL 777,803,724 FILE NO. 28-1235 PAGE 98 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ GENESCO INC COM 371532102 24,281 604 X 28-5284 384 220 10,050 250 X X 28-5284 250 122,369 3,044 X 28-13605 3044 GENESEE & WYO INC CL A 371559105 11,640 200 X 28-5284 200 1,054,177 18,113 X X 28-5284 12113 6000 72,168 1,240 X 28-13605 1240 GENTEX CORP COM 371901109 105,270 3,480 X 28-5284 3480 33,880 1,120 X X 28-5284 1120 GENESIS ENERGY L P UNIT LTD PARTN 371927104 42,465 1,500 X 28-5284 1500 407,664 14,400 X X 28-5284 12400 2000 192,650 6,805 X 28-13605 6805 GENOMIC HEALTH INC COM 37244C101 246,000 10,000 X 28-5284 10000 GENON ENERGY INC COM 37244E107 22,292 5,851 X X 28-5284 5851 47,945 12,584 X 28-13605 12584 1,939 509 X X 28-13605 509 GENVEC INC COM 37246C109 964 2,435 X 28-5284 2435 GENUINE PARTS CO COM 372460105 1,558,564 29,056 X 28-5284 26621 2435 3,583,474 66,806 X X 28-5284 61730 14 5062 321,786 5,999 X 28-13605 815 5184 751 14 X X 28-13605 14 217,564 4,056 X 28-13663 4000 56 GENTIVA HEALTH SERVICES INC COM 37247A102 2,242 80 X 28-5284 80 869 31 X X 28-5284 31 GENWORTH FINL INC COM CL A 37247D106 58,861 4,373 X 28-5284 859 3514 59,978 4,456 X X 28-5284 4456 236,748 17,589 X 28-13605 2569 15020 GEORESOURCES INC COM 372476101 62,540 2,000 X X 28-5284 2000 GEOEYE INC COM 37250W108 12,474 300 X 28-5284 300 COLUMN TOTAL 8,511,605 FILE NO. 28-1235 PAGE 99 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ GENZYME CORP COM 372917104 3,041,555 39,939 X 28-5284 38879 1060 2,071,873 27,206 X X 28-5284 25506 1700 623,481 8,187 X 28-13605 1195 6992 4,036 53 X 28-13663 53 GEORGIA GULF CORP COM PAR$0.01 N 373200302 296 8 X X 28-5284 8 GERBER SCIENTIFIC INC COM 373730100 16,567 1,770 X 28-5284 1600 170 9,360 1,000 X X 28-5284 1000 GERDAU S A SPONSORED ADR 373737105 16,250 1,300 X 28-5284 1300 75,000 6,000 X X 28-5284 6000 GERON CORP COM 374163103 4,040 800 X 28-5284 800 1,768 350 X X 28-5284 350 GETTY RLTY CORP NEW COM 374297109 157,872 6,900 X X 28-5284 6900 71,363 3,119 X 28-13605 3119 GIBRALTAR INDS INC COM 374689107 36,446 3,055 X X 28-5284 3055 GILEAD SCIENCES INC COM 375558103 9,431,016 222,063 X 28-5284 193476 28587 7,036,047 165,671 X X 28-5284 150719 327 14625 5,965,421 140,462 X 28-13605 115214 25248 727,256 17,124 X X 28-13605 17124 115,731 2,725 X 28-13663 900 1825 12,231 288 X X 28-13663 50 238 GILDAN ACTIVEWEAR INC COM 375916103 132,391 4,040 X 28-5284 4040 14,747 450 X X 28-5284 450 879,481 26,838 X 28-13605 26838 5,636 172 X X 28-13605 172 189,822 5,793 X 28-13605 5793 GLACIER BANCORP INC NEW COM 37637Q105 534,064 35,486 X 28-5284 35486 22,575 1,500 X X 28-5284 1500 1,242,137 82,534 X 28-13605 82534 7,450 495 X X 28-13605 495 23,463 1,559 X 28-13663 1559 265,371 17,632 X 28-13605 17632 GLADSTONE CAPITAL CORP COM 376535100 11,310 1,000 X X 28-5284 1000 GLADSTONE COML CORP COM 376536108 9,941 545 X X 28-5284 545 COLUMN TOTAL 32,755,997 FILE NO. 28-1235 PAGE 100 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ GLATFELTER COM 377316104 4,650,478 349,135 X 28-5284 348735 400 15,500,191 1,163,678 X X 28-5284 1161478 2200 GLAXOSMITHKLINE PLC SPONSORED ADR 37733W105 11,346,544 295,406 X 28-5284 291885 3521 16,735,890 435,717 X X 28-5284 410785 24932 15,364 400 X X 28-13663 400 GLOBALSTAR INC COM 378973408 38,100 30,000 X X 28-5284 30000 GLIMCHER RLTY TR SH BEN INT 379302102 1,850 200 X X 28-5284 200 GLOBAL HIGH INCOME FUND INC COM 37933G108 13,251 1,050 X 28-5284 1050 GLOBALSCAPE INC COM 37940G109 12,650 5,000 X 28-5284 5000 GLOBAL PMTS INC COM 37940X102 677,102 13,841 X 28-5284 13841 41,288 844 X X 28-5284 844 GLOBAL POWER EQUIPMENT GRP I COM PAR $0.01 37941P306 138,545 5,038 X 28-13605 5038 GLOBAL PARTNERS LP COM UNITS 37946R109 20,800 800 X 28-5284 800 GLOBAL GEOPHYSICAL SVCS INC COM 37946S107 167,823 11,606 X 28-5284 11606 5,784 400 X X 28-5284 400 7,360 509 X 28-13663 509 GLOBAL X FDS FTSE NORDIC RE 37950E101 31,950 1,500 X X 28-5284 1500 GLOBAL X FDS CHINA CONS ETF 37950E408 34,560 2,000 X 28-5284 2000 639,360 37,000 X X 28-5284 37000 GLOBAL X FDS SILVER MNR ETF 37950E853 25,362 900 X X 28-5284 900 GMX RES INC COM 38011M108 6,170 1,000 X 28-5284 1000 GOL LINHAS AEREAS INTLG S A SP ADR REP PFD 38045R107 30,206 2,200 X X 28-5284 2200 GOLD FIELDS LTD NEW SPONSORED ADR 38059T106 170,148 9,745 X 28-5284 4607 5138 121,766 6,974 X X 28-5284 174 6800 GOLDCORP INC NEW COM 380956409 711,194 14,281 X 28-5284 14281 655,567 13,164 X X 28-5284 10664 2500 COLUMN TOTAL 51,799,303 FILE NO. 28-1235 PAGE 101 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ GOLDEN STAR RES LTD CDA COM 38119T104 2,970 1,000 X 28-5284 1000 GOLDMAN SACHS GROUP INC COM 38141G104 47,468,980 299,300 X 28-5284 287375 11925 20,534,894 129,476 X X 28-5284 124504 455 4517 9,993,703 63,012 X 28-13605 37304 25708 840,104 5,297 X X 28-13605 5214 10 73 538,764 3,397 X 28-13663 2076 1321 470,408 2,966 X X 28-13663 2863 103 GOODRICH CORP COM 382388106 2,982,346 34,869 X 28-5284 33370 1499 2,602,592 30,429 X X 28-5284 27040 14 3375 696,984 8,149 X 28-13605 4454 3695 102,123 1,194 X X 28-13605 1194 62,437 730 X 28-13663 250 480 46,956 549 X X 28-13663 400 149 GOODYEAR TIRE & RUBR CO COM 382550101 47,007 3,138 X 28-5284 2390 748 145,725 9,728 X X 28-5284 9728 1,731,478 115,586 X 28-13605 108073 7513 2,831 189 X 28-13663 189 GOOGLE INC CL A 38259P508 71,331,240 121,568 X 28-5284 114108 7460 29,058,702 49,524 X X 28-5284 46195 172 3157 45,843,559 78,130 X 28-13605 69190 8940 8,427,634 14,363 X X 28-13605 13691 49 623 1,084,332 1,848 X 28-13663 1368 480 525,150 895 X X 28-13663 830 65 GORMAN RUPP CO COM 383082104 137,865 3,500 X 28-5284 3500 191,042 4,850 X 28-13605 4850 GOVERNMENT PPTYS INCOME TR COM SHS BEN IN 38376A103 147,032 5,474 X 28-5284 5474 5,829 217 X X 28-5284 217 53,720 2,000 X X 28-13663 2000 GRACE W R & CO DEL NEW COM 38388F108 7,658 200 X 28-5284 200 56,593 1,478 X X 28-5284 820 658 113,415 2,962 X 28-13605 2962 GRACO INC COM 384109104 276,807 6,085 X 28-5284 6085 2,326,814 51,150 X X 28-5284 49585 1565 168,768 3,710 X 28-13605 3710 COLUMN TOTAL 248,026,462 FILE NO. 28-1235 PAGE 102 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ GRAFTECH INTL LTD COM 384313102 135,415 6,564 X 28-5284 1946 4618 26,221 1,271 X X 28-5284 1271 GRAINGER W W INC COM 384802104 14,676,413 106,598 X 28-5284 104283 2315 4,236,001 30,767 X X 28-5284 25645 1302 3820 274,947 1,997 X 28-13605 292 1705 275 2 X X 28-13605 2 88,941 646 X 28-13663 620 26 GRAN TIERRA ENERGY INC COM 38500T101 3,510 435 X 28-5284 68 367 1,614 200 X X 28-5284 200 GRAND CANYON ED INC COM 38526M106 331,485 22,861 X 28-5284 22861 14,544 1,003 X 28-13663 1003 GRANITE CONSTR INC COM 387328107 984 35 X X 28-5284 35 GREAT NORTHN IRON ORE PPTYS CTFS BEN INT 391064102 24,347 195 X 28-5284 195 5,619 45 X X 28-5284 45 GREAT PANTHER SILVER LTD COM 39115V101 64,500 15,000 X X 28-5284 15000 GREAT PLAINS ENERGY INC COM 391164100 196,156 9,798 X 28-5284 9797 1 103,123 5,151 X X 28-5284 5151 GREAT WOLF RESORTS INC COM 391523107 211 100 X X 28-5284 100 GREATER CHINA FD INC COM 39167B102 46,439 3,674 X 28-5284 3674 GREEN DOT CORP CL A 39304D102 72,947 1,700 X 28-5284 1700 2,060 48 X X 28-5284 48 GREEN MTN COFFEE ROASTERS IN COM 393122106 41,997 650 X 28-5284 650 251,785 3,897 X X 28-5284 3897 GREENBRIER COS INC COM 393657101 2,497 88 X 28-5284 88 14,190 500 X X 28-5284 500 GREENHILL & CO INC COM 395259104 31,908 485 X 28-5284 485 9,803 149 X X 28-5284 149 COLUMN TOTAL 20,657,932 FILE NO. 28-1235 PAGE 103 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ GREIF INC CL A 397624107 78,492 1,200 X 28-5284 1200 178,569 2,730 X X 28-5284 2730 222,394 3,400 X 28-13605 3400 GRIFFON CORP COM 398433102 25,236 1,922 X 28-5284 1502 420 2,075 158 X X 28-5284 158 GROUP 1 AUTOMOTIVE INC COM 398905109 11,385 266 X 28-5284 46 220 185,966 4,345 X 28-13605 4345 GRUPO FINANCIERO GALICIA S A SP ADR 10 SH B 399909100 1,243 100 X X 28-5284 100 529,356 42,587 X 28-13605 42587 GRUBB & ELLIS CO COM PAR $0.01 400095204 1,214 1,518 X 28-5284 1518 3,200 4,000 X X 28-5284 4000 GRUPO TELEVISA SA DE CV SP ADR REP ORD 40049J206 100,867 4,112 X X 28-5284 1362 2750 GRUPO SIMEC S A B DE C V ADR 400491106 4,250 500 X 28-5284 500 GRUPO TMM S A B SP ADR 5 A SHS 40051D303 7,080 3,000 X X 28-5284 3000 GUANWEI RECYCLING CORP COM 400685103 4,860 2,000 X 28-5284 2000 GUESS INC COM 401617105 20,147 512 X X 28-5284 512 GULF RESOURCES INC COM PAR $0.000 40251W309 768 124 X 28-5284 124 GULFMARK OFFSHORE INC CL A NEW 402629208 22,255 500 X X 28-5284 500 GULFPORT ENERGY CORP COM NEW 402635304 3,613 100 X X 28-5284 100 H & E EQUIPMENT SERVICES INC COM 404030108 20,721 1,061 X 28-5284 1061 H & Q LIFE SCIENCES INVS SH BEN INT 404053100 91,592 7,620 X 28-5284 7620 HCA HOLDINGS INC COM 40412C101 3,387 100 X 28-5284 100 HCC INS HLDGS INC COM 404132102 351,016 11,211 X 28-5284 2255 8956 119,886 3,829 X X 28-5284 3784 45 COLUMN TOTAL 1,989,572 FILE NO. 28-1235 PAGE 104 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ HCP INC COM 40414L109 1,873,174 49,372 X 28-5284 48499 873 2,709,637 71,419 X X 28-5284 61846 3 9570 539,962 14,232 X 28-13605 2082 12150 114 3 X X 28-13605 3 2,808 74 X 28-13663 74 22,764 600 X X 28-13663 600 HDFC BANK LTD ADR REPS 3 SHS 40415F101 2,549 15 X X 28-5284 15 HMS HLDGS CORP COM 40425J101 329,937 4,031 X 28-5284 4031 508,289 6,210 X X 28-5284 6210 154,778 1,891 X 28-13605 1891 HNI CORP COM 404251100 53,999 1,711 X 28-5284 1711 15,780 500 X X 28-5284 500 HSBC HLDGS PLC SPON ADR NEW 404280406 1,661,278 32,071 X 28-5284 12229 19842 1,182,283 22,824 X X 28-5284 17934 4890 36,156 698 X 28-13663 115 583 207,200 4,000 X X 28-13663 4000 HSBC HLDGS PLC ADR A 1/40PF A 404280604 101,430 4,200 X 28-5284 4200 75,348 3,120 X X 28-5284 3120 HSN INC COM 404303109 9,897 309 X 28-5284 309 7,559 236 X X 28-5284 236 HAEMONETICS CORP COM 405024100 13,763 210 X 28-5284 210 13,108 200 X X 28-5284 200 HAIN CELESTIAL GROUP INC COM 405217100 644,954 19,980 X 28-5284 1410 18570 303,400 9,399 X X 28-5284 529 8870 58,104 1,800 X 28-13663 1800 HALLIBURTON CO COM 406216101 9,327,058 187,140 X 28-5284 134432 52708 10,753,827 215,767 X X 28-5284 187334 3216 25217 1,450,494 29,103 X 28-13605 4256 24847 21,631 434 X X 28-13605 434 169,805 3,407 X 28-13663 3407 HAMPTON ROADS BANKSHARES INC COM 409321106 7,560 9,000 X X 28-5284 9000 COLUMN TOTAL 32,258,646 FILE NO. 28-1235 PAGE 105 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ JOHN HANCOCK BK &THRIFT OPP SH BEN INT NEW 409735206 16,723 965 X 28-5284 965 43,325 2,500 X X 28-5284 2500 HANCOCK JOHN INCOME SECS TR COM 410123103 4,200 300 X 28-5284 300 HANCOCK JOHN PREMUIM DIV FD COM SH BEN INT 41013T105 364,212 31,236 X 28-5284 31236 HANCOCK JOHN INVS TR COM 410142103 10,022 450 X 28-5284 450 HANESBRANDS INC COM 410345102 106,132 3,925 X 28-5284 3905 20 178,194 6,590 X X 28-5284 6559 31 HANGER ORTHOPEDIC GROUP INC COM NEW 41043F208 2,108 81 X 28-5284 81 HANOVER INS GROUP INC COM 410867105 322,044 7,117 X 28-5284 2328 4789 45,114 997 X X 28-5284 306 691 HANSEN NAT CORP COM 411310105 129,976 2,158 X 28-5284 2075 83 146,299 2,429 X X 28-5284 679 1750 HARLEY DAVIDSON INC COM 412822108 588,656 13,854 X 28-5284 12211 1643 2,847,212 67,009 X X 28-5284 58859 400 7750 345,019 8,120 X 28-13605 1187 6933 2,719 64 X 28-13663 64 14,404 339 X X 28-13663 339 HARLEYSVILLE GROUP INC COM 412824104 54,002 1,630 X 28-5284 1630 104,360 3,150 X X 28-5284 3150 HARMAN INTL INDS INC COM 413086109 449,519 9,601 X 28-5284 12 9589 206,336 4,407 X X 28-5284 3507 900 116,675 2,492 X 28-13605 364 2128 22,193 474 X 28-13663 474 HARMONIC INC COM 413160102 9,005 960 X 28-5284 110 850 52,528 5,600 X X 28-5284 2200 3400 HARMONY GOLD MNG LTD SPONSORED ADR 413216300 28,997 1,950 X 28-5284 1950 HARRIS & HARRIS GROUP INC COM 413833104 16,140 3,000 X X 28-5284 3000 COLUMN TOTAL 6,226,114 FILE NO. 28-1235 PAGE 106 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ HARRIS CORP DEL COM 413875105 757,243 15,267 X 28-5284 15233 34 896,173 18,068 X X 28-5284 9768 8300 221,811 4,472 X 28-13605 653 3819 13,342 269 X X 28-13663 269 HARSCO CORP COM 415864107 402,271 11,399 X 28-5284 10779 620 252,959 7,168 X X 28-5284 5518 1650 80,249 2,274 X 28-13605 2274 3,000 85 X X 28-13605 85 HARTFORD FINL SVCS GROUP INC COM 416515104 367,298 13,639 X 28-5284 11863 1776 635,629 23,603 X X 28-5284 18295 5308 496,805 18,448 X 28-13605 2698 15750 HASBRO INC COM 418056107 2,724,027 58,156 X 28-5284 57905 251 1,183,132 25,259 X X 28-5284 22556 103 2600 226,565 4,837 X 28-13605 706 4131 141 3 X X 28-13605 3 1,358 29 X 28-13663 29 154,572 3,300 X X 28-13663 3300 HATTERAS FINL CORP COM 41902R103 44,992 1,600 X X 28-5284 1600 504,417 17,938 X 28-13605 17938 HAWAIIAN ELEC INDUSTRIES COM 419870100 4,960 200 X 28-5284 200 304,817 12,291 X X 28-5284 11291 1000 HEALTHCARE SVCS GRP INC COM 421906108 17,570 1,000 X 28-5284 1000 450,583 25,645 X X 28-5284 12895 12750 HEALTHSOUTH CORP COM NEW 421924309 1,824 73 X 28-5284 73 949 38 X X 28-5284 38 HEALTH MGMT ASSOC INC NEW CL A 421933102 535,386 49,118 X 28-5284 2180 46938 312,132 28,636 X X 28-5284 2696 25940 22,258 2,042 X 28-13663 2042 HEALTHCARE RLTY TR COM 421946104 32,575 1,435 X 28-5284 1435 12,485 550 X X 28-5284 550 HEALTH CARE REIT INC NOTE 4.750% 7 42217KAQ9 336,750 3,000 X 28-5284 3000 COLUMN TOTAL 10,998,273 FILE NO. 28-1235 PAGE 107 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ HEALTH CARE REIT INC COM 42217K106 12,808,418 244,249 X 28-5284 236694 7555 7,318,264 139,555 X X 28-5284 135734 102 3719 3,240,844 61,801 X 28-13605 55690 6111 1,140,675 21,752 X X 28-13605 21559 68 125 275,310 5,250 X 28-13663 5227 23 334,829 6,385 X X 28-13663 6385 HEALTH NET INC COM 42222G108 6,442 197 X 28-5284 197 25,081 767 X X 28-5284 767 HEALTHSPRING INC COM 42224N101 654,423 17,512 X 28-13605 17512 HEALTHWAYS INC COM 422245100 21,656 1,409 X 28-5284 1409 1,306 85 X X 28-5284 85 HEARTLAND EXPRESS INC COM 422347104 8,122 463 X 28-5284 463 211,393 12,050 X X 28-5284 12050 HEARTLAND PMT SYS INC COM 42235N108 31,501 1,797 X X 28-5284 1797 HEARTWARE INTL INC COM 422368100 8,552 100 X 28-5284 100 HECLA MNG CO COM 422704106 9,643 1,062 X 28-5284 1062 14,755 1,625 X X 28-5284 1625 75,800 8,348 X 28-13605 8348 HECLA MNG CO PFD CV SER B 422704205 10,676 200 X X 28-5284 200 HEICO CORP NEW COM 422806109 7,815 125 X X 28-5284 125 354,176 5,665 X 28-13605 5665 HEIDRICK & STRUGGLES INTL IN COM 422819102 4,731 170 X 28-5284 170 HEINZ H J CO COM 423074103 29,944,675 613,369 X 28-5284 603001 10368 38,118,217 780,791 X X 28-5284 706479 2622 71690 543,269 11,128 X 28-13605 1625 9503 537 11 X X 28-13605 11 589,502 12,075 X 28-13663 11975 100 354,140 7,254 X X 28-13663 7254 HELIX ENERGY SOLUTIONS GRP I COM 42330P107 43,000 2,500 X 28-5284 2500 COLUMN TOTAL 96,157,752 FILE NO. 28-1235 PAGE 108 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ HELMERICH & PAYNE INC COM 423452101 365,706 5,324 X 28-5284 2252 3072 999,440 14,550 X X 28-5284 8513 6037 251,611 3,663 X 28-13605 535 3128 HENRY JACK & ASSOC INC COM 426281101 268,646 7,927 X 28-5284 1327 6600 71,169 2,100 X X 28-5284 1500 600 HERCULES OFFSHORE INC COM 427093109 6,610 1,000 X X 28-5284 1000 HERCULES TECH GROWTH CAP INC COM 427096508 12,771 1,161 X 28-5284 1161 HERSHA HOSPITALITY TR SH BEN INT A 427825104 121,711 20,490 X X 28-5284 20490 HERSHEY CO COM 427866108 22,401,113 412,164 X 28-5284 403793 8371 14,134,152 260,058 X X 28-5284 251683 1210 7165 30,380,998 558,988 X 28-13605 542032 16956 6,227,912 114,589 X X 28-13605 108922 418 5249 104,080 1,915 X 28-13663 1915 119,570 2,200 X X 28-13663 2200 HERTZ GLOBAL HOLDINGS INC COM 42805T105 2,094 134 X 28-5284 134 25,883 1,656 X X 28-5284 1656 HESS CORP COM 42809H107 9,101,024 106,807 X 28-5284 101993 4814 2,899,185 34,024 X X 28-5284 33217 7 800 25,153,907 295,199 X 28-13605 257594 37605 4,273,708 50,155 X X 28-13605 47782 165 2208 20,195 237 X 28-13663 175 62 63,822 749 X X 28-13663 749 HEWLETT PACKARD CO COM 428236103 60,380,193 1,473,766 X 28-5284 1436658 200 36908 51,900,181 1,266,785 X X 28-5284 1167197 5437 94151 19,719,967 481,327 X 28-13605 408931 72396 3,430,336 83,728 X X 28-13605 79647 303 3778 472,712 11,538 X 28-13663 9106 2432 443,336 10,821 X X 28-13663 10434 387 HEXCEL CORP NEW COM 428291108 131,194 6,663 X 28-5284 2638 4025 310,610 15,775 X X 28-5284 3125 12650 HI-TECH PHARMACAL INC COM 42840B101 20,130 1,000 X 28-5284 1000 HIGHLAND CR STRATEGIES FD COM 43005Q107 24,408 3,250 X X 28-5284 3250 COLUMN TOTAL 253,838,374 FILE NO. 28-1235 PAGE 109 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ HIGHWOODS PPTYS INC COM 431284108 252,072 7,200 X 28-5284 7200 315 9 X X 28-5284 9 HILL INTERNATIONAL INC COM 431466101 5,290 1,000 X X 28-5284 1000 HILL ROM HLDGS INC COM 431475102 20,283,941 534,069 X 28-5284 534069 18,686 492 X X 28-5284 492 203,269 5,352 X 28-13605 5352 HILLENBRAND INC COM 431571108 17,775,534 826,769 X 28-5284 810569 16200 32,207 1,498 X X 28-5284 1498 HITACHI LIMITED ADR 10 COM 433578507 40,220 779 X 28-5284 779 7,745 150 X X 28-5284 150 HITTITE MICROWAVE CORP COM 43365Y104 41,451 650 X X 28-5284 650 HOLLY CORP COM PAR $0.01 435758305 34,512 568 X 28-5284 568 224,083 3,688 X X 28-5284 338 3350 158,037 2,601 X 28-13605 2601 HOLLY ENERGY PARTNERS L P COM UT LTD PTN 435763107 23,200 400 X 28-5284 400 5,800 100 X X 28-5284 100 HOLOGIC INC COM 436440101 114,019 5,136 X 28-5284 5136 102,275 4,607 X X 28-5284 4607 HOME DEPOT INC COM 437076102 62,235,340 1,679,313 X 28-5284 1652230 27083 39,600,537 1,068,552 X X 28-5284 1022655 7706 38191 6,949,602 187,523 X 28-13605 135424 52099 1,068,810 28,840 X X 28-13605 28697 52 91 500,792 13,513 X 28-13663 12956 557 115,108 3,106 X X 28-13663 2517 589 HOME INNS & HOTELS MGMT INC SPON ADR 43713W107 46,495 1,175 X 28-5284 1175 HOME PROPERTIES INC COM 437306103 53,880 914 X 28-5284 474 440 47,160 800 X X 28-5284 300 500 COLUMN TOTAL 149,940,380 FILE NO. 28-1235 PAGE 110 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ HONDA MOTOR LTD AMERN SHS 438128308 2,038,368 54,342 X 28-5284 52742 1600 1,041,765 27,773 X X 28-5284 25673 2100 20,255 540 X 28-13605 540 11,253 300 X 28-13663 300 18,755 500 X X 28-13663 500 HONEYWELL INTL INC COM 438516106 24,389,266 408,462 X 28-5284 395091 13371 20,955,642 350,957 X X 28-5284 310114 6385 34458 1,639,517 27,458 X 28-13605 3923 23535 1,791 30 X X 28-13605 30 280,518 4,698 X 28-13663 4351 347 392,295 6,570 X X 28-13663 6570 HORACE MANN EDUCATORS CORP N COM 440327104 188,479 11,219 X 28-13605 11219 HORIZON LINES INC COM 44044K101 1,020 1,200 X 28-5284 1200 850 1,000 X X 28-5284 1000 HORIZON TECHNOLOGY FIN CORP COM 44045A102 84,801 5,277 X X 28-5284 5277 HORMEL FOODS CORP COM 440452100 400,673 14,392 X 28-5284 13106 1286 1,619,397 58,168 X X 28-5284 58168 234,218 8,413 X 28-13605 2563 5850 1,503 54 X X 28-13605 54 91,649 3,292 X 28-13663 3000 292 HORNBECK OFFSHORE SVCS INC N COM 440543106 30,850 1,000 X X 28-5284 1000 HOSPITALITY PPTYS TR COM SH BEN INT 44106M102 23,845 1,030 X 28-5284 950 80 115,634 4,995 X X 28-5284 4908 87 HOSPIRA INC COM 441060100 3,412,022 61,812 X 28-5284 61020 792 3,940,673 71,389 X X 28-5284 65392 762 5235 319,166 5,782 X 28-13605 844 4938 15,566 282 X X 28-13605 282 828 15 X 28-13663 15 5,630 102 X X 28-13663 102 COLUMN TOTAL 61,276,229 FILE NO. 28-1235 PAGE 111 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ HOST HOTELS & RESORTS INC COM 44107P104 111,982 6,359 X 28-5284 1190 5169 96,538 5,482 X X 28-5284 5433 49 419,576 23,826 X 28-13605 3480 20346 863 49 X X 28-13605 49 1,338 76 X 28-13663 76 12,908 733 X X 28-13663 733 HOT TOPIC INC COM 441339108 2,220 390 X 28-5284 390 HOUSTON WIRE & CABLE CO COM 44244K109 6,725 460 X 28-5284 460 HOWARD HUGHES CORP COM 44267D107 16,247 230 X X 28-5284 230 HUB GROUP INC CL A 443320106 156,160 4,315 X 28-13605 4315 HUBBELL INC CL A 443510102 66,174 984 X 28-5284 984 519,036 7,718 X X 28-5284 5068 2650 HUBBELL INC CL B 443510201 694,744 9,781 X 28-5284 9781 1,110,767 15,638 X X 28-5284 14238 1400 HUDSON CITY BANCORP COM 443683107 7,117,181 735,246 X 28-5284 725588 9658 4,833,001 499,277 X X 28-5284 466222 271 32784 130,748 13,507 X 28-13605 1975 11532 445 46 X X 28-13605 46 18,857 1,948 X 28-13663 1948 3,872 400 X X 28-13663 400 HUGOTON RTY TR TEX UNIT BEN INT 444717102 71,340 3,000 X 28-5284 3000 185,365 7,795 X 28-13605 7795 HUMANA INC COM 444859102 1,675,832 23,961 X 28-5284 23386 575 1,940,066 27,739 X X 28-5284 23634 5 4100 538,468 7,699 X 28-13605 1125 6574 350 5 X X 28-13605 5 3,497 50 X 28-13663 50 163,240 2,334 X X 28-13663 2334 HUMAN GENOME SCIENCES INC COM 444903108 56,273 2,050 X 28-5284 2050 46,391 1,690 X X 28-5284 1690 HUNT J B TRANS SVCS INC COM 445658107 41,468 913 X 28-5284 913 41,468 913 X X 28-5284 913 COLUMN TOTAL 20,083,140 FILE NO. 28-1235 PAGE 112 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ HUNTINGTON BANCSHARES INC COM 446150104 357,073 53,776 X 28-5284 48583 5193 209,718 31,584 X X 28-5284 31584 226,318 34,084 X 28-13605 4977 29107 HUNTINGTON BANCSHARES INC PFD CONV SER A 446150401 50,644 44 X 28-5284 44 HUNTSMAN CORP COM 447011107 60,361 3,473 X 28-5284 2493 980 165,405 9,517 X X 28-5284 9517 HURON CONSULTING GROUP INC COM 447462102 153,680 5,550 X X 28-5284 5550 HUTCHINSON TECHNOLOGY INC COM 448407106 651 230 X 28-5284 230 HYATT HOTELS CORP COM CL A 448579102 94,258 2,190 X 28-5284 65 2125 298,009 6,924 X X 28-5284 304 6620 IDT CORP CL B NEW 448947507 243,601 9,039 X 28-13605 9039 HYPERCOM CORP COM 44913M105 2,406 200 X X 28-5284 200 IAC INTERACTIVECORP COM PAR $.001 44919P508 23,181 750 X 28-5284 750 53,904 1,744 X X 28-5284 944 800 157,105 5,083 X 28-13605 5083 ICF INTL INC COM 44925C103 15,302 745 X 28-5284 745 4,498 219 X X 28-5284 219 812,295 39,547 X 28-13605 39547 4,868 237 X X 28-13605 237 103,851 5,056 X 28-13605 5056 ICO GLOBAL COMM HLDGS LTD DE CL A 44930K108 4,632 1,735 X 28-5284 1735 ING PRIME RATE TR SH BEN INT 44977W106 5,057 840 X 28-5284 840 IPG PHOTONICS CORP COM 44980X109 36,742 637 X 28-5284 637 ING RISK MANAGED NAT RES FD COM 449810100 12,959 797 X 28-5284 797 ING CLARION GLB RE EST INCM COM 44982G104 50,245 6,120 X 28-5284 6120 8,210 1,000 X X 28-5284 1000 ING ASIA PAC HGH DIVID EQ IN COM 44983J107 67,323 3,604 X 28-5284 3604 IPC THE HOSPITALIST CO INC COM 44984A105 2,906 64 X 28-5284 64 COLUMN TOTAL 3,225,202 FILE NO. 28-1235 PAGE 113 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISTAR FINL INC COM 45031U101 9,180 1,000 X 28-5284 1000 9,180 1,000 X X 28-5284 1000 ITT EDUCATIONAL SERVICES INC COM 45068B109 38,528 534 X 28-5284 534 18,470 256 X X 28-5284 256 100,866 1,398 X 28-13605 1398 IXIA COM 45071R109 478,639 30,141 X 28-5284 30141 21,025 1,324 X 28-13663 1324 IBERIABANK CORP COM 450828108 4,810 80 X 28-5284 80 ITT CORP NEW COM 450911102 35,633,610 593,399 X 28-5284 590958 2441 15,009,377 249,948 X X 28-5284 236851 159 12938 1,860,529 30,983 X 28-13605 24773 6210 586,028 9,759 X X 28-13605 9672 31 56 195,463 3,255 X 28-13663 3255 315,022 5,246 X X 28-13663 5246 IAMGOLD CORP COM 450913108 6,936 315 X 28-5284 315 ICON PUB LTD CO SPONSORED ADR 45103T107 22,389 1,037 X 28-5284 1037 212,662 9,850 X X 28-5284 9850 ICICI BK LTD ADR 45104G104 1,327,122 26,633 X 28-5284 2453 24180 183,524 3,683 X X 28-5284 863 2820 47,687 957 X 28-13663 267 690 ICAGEN INC COM NEW 45104P500 16,861 6,641 X X 28-5284 6641 ICONIX BRAND GROUP INC COM 451055107 178,327 8,302 X 28-13605 8302 IDACORP INC COM 451107106 44,272 1,162 X X 28-5284 862 300 IDEX CORP COM 45167R104 99,086 2,270 X 28-5284 2270 83,808 1,920 X X 28-5284 720 1200 IDEXX LABS INC COM 45168D104 1,007,258 13,044 X 28-5284 4469 8575 2,134,052 27,636 X X 28-5284 14029 13607 IGATE CORP COM 45169U105 1,652 88 X 28-5284 88 COLUMN TOTAL 59,646,363 FILE NO. 28-1235 PAGE 114 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ IHS INC CL A 451734107 444 5 X 28-5284 5 34,524 389 X X 28-5284 389 275,125 3,100 X 28-13605 3100 ILLINOIS TOOL WKS INC COM 452308109 33,137,451 616,855 X 28-5284 605198 11657 26,378,561 491,038 X X 28-5284 397822 1502 91714 3,496,850 65,094 X 28-13605 49448 15646 107 2 X X 28-13605 2 385,656 7,179 X 28-13663 7179 249,691 4,648 X X 28-13663 4648 ILLUMINA INC COM 452327109 1,093,512 15,606 X 28-5284 10072 5534 275,725 3,935 X X 28-5284 3325 610 IMATION CORP COM 45245A107 746 67 X 28-5284 67 7,820 702 X X 28-5284 635 67 746 67 X X 28-13605 67 IMAX CORP COM 45245E109 10,777 337 X 28-5284 136 201 50,369 1,575 X X 28-5284 1575 IMMUCOR INC COM 452526106 107,445 5,432 X 28-5284 232 5200 210,756 10,655 X X 28-5284 10655 IMMUNOGEN INC COM 45253H101 18,639 2,055 X 28-5284 2055 4,535 500 X X 28-5284 500 IMPAX LABORATORIES INC COM 45256B101 7,050 277 X 28-5284 277 IMMUNOMEDICS INC COM 452907108 3,820 1,000 X 28-5284 1000 IMPERIAL OIL LTD COM NEW 453038408 442,011 8,655 X 28-5284 8655 1,175,274 23,013 X X 28-5284 8613 14400 9,295 182 X 28-13663 182 INCYTE CORP COM 45337C102 1,585 100 X 28-5284 100 539 34 X X 28-5284 34 INDIA FD INC COM 454089103 17,562 533 X 28-5284 533 80,958 2,457 X X 28-5284 2457 INERGY L P UNIT LTD PTNR 456615103 460,308 11,479 X 28-5284 11279 200 855,654 21,338 X X 28-5284 20238 1100 COLUMN TOTAL 68,793,535 FILE NO. 28-1235 PAGE 115 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ INFORMATICA CORP COM 45666Q102 1,819,187 34,857 X 28-5284 34452 405 334,642 6,412 X X 28-5284 1312 5100 4,847,773 92,887 X 28-13605 92010 877 689,743 13,216 X X 28-13605 13216 52,190 1,000 X X 28-13663 1000 INFINERA CORPORATION COM 45667G103 167,800 20,000 X 28-5284 20000 INFOSYS TECHNOLOGIES LTD SPONSORED ADR 456788108 38,360 535 X 28-5284 535 104,754 1,461 X X 28-5284 461 1000 ING GROEP N V SPONSORED ADR 456837103 106,662 8,392 X 28-5284 4621 3771 26,068 2,051 X X 28-5284 2051 ING GLOBAL EQTY DIV & PREM O COM 45684E107 1,500 135 X 28-5284 135 INGERSOLL-RAND GLOBAL HLDG C NOTE 4.500% 4 45687AAD4 543,000 2,000 X X 28-5284 2000 INGRAM MICRO INC CL A 457153104 22,166 1,054 X X 28-5284 1054 949,841 45,166 X 28-13605 45166 101,007 4,803 X X 28-13605 4803 INLAND REAL ESTATE CORP COM NEW 457461200 1,908 200 X 28-5284 200 INSIGHT ENTERPRISES INC COM 45765U103 7,323 430 X 28-5284 430 INSITUFORM TECHNOLOGIES INC CL A 457667103 9,630 360 X 28-5284 360 2,006 75 X X 28-5284 75 INNOSPEC INC COM 45768S105 25,233 790 X 28-5284 790 3,194 100 X X 28-5284 100 700,764 21,940 X 28-13605 21940 INNOVATIVE SOLUTIONS & SUPPO COM 45769N105 8,775 1,500 X 28-5284 1500 INNOPHOS HOLDINGS INC COM 45774N108 11,666 253 X 28-5284 253 INSULET CORP COM 45784P101 1,237 60 X X 28-5284 60 INTEGRA LIFESCIENCES HLDGS C COM NEW 457985208 502,652 10,600 X 28-5284 10600 14,226 300 X X 28-5284 300 COLUMN TOTAL 11,093,307 FILE NO. 28-1235 PAGE 116 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ INTEGRATED DEVICE TECHNOLOGY COM 458118106 738 100 X 28-5284 100 135,700 18,400 X 28-13605 18400 INTEL CORP COM 458140100 135,551,078 6,717,100 X 28-5284 6597229 119871 111,328,055 5,516,752 X X 28-5284 5127483 10960 378309 30,205,989 1,496,828 X 28-13605 1219228 277600 5,015,860 248,556 X X 28-13605 237598 741 10217 1,281,793 63,518 X 28-13663 61392 2126 1,619,687 80,262 X X 28-13663 79077 1185 INTEGRYS ENERGY GROUP INC COM 45822P105 245,226 4,855 X 28-5284 3596 1259 613,545 12,147 X X 28-5284 12140 7 137,640 2,725 X 28-13605 398 2327 354 7 X X 28-13605 7 1,970 39 X 28-13663 39 101,020 2,000 X X 28-13663 2000 INTER PARFUMS INC COM 458334109 129,570 7,000 X 28-13605 7000 INTERACTIVE BROKERS GROUP IN COM 45841N107 212,608 13,380 X 28-5284 13380 3,385 213 X X 28-5284 213 INTERCONTINENTAL HTLS GRP PL SPONS ADR NEW 45857P301 29,644 1,430 X 28-5284 1430 6,219 300 X X 28-5284 300 INTERCONTINENTALEXCHANGE INC COM 45865V100 1,068,497 8,649 X 28-5284 6097 2552 361,602 2,927 X X 28-5284 2662 265 318,980 2,582 X 28-13605 378 2204 INTERFACE INC CL A 458665106 9,615 520 X 28-5284 520 92,450 5,000 X X 28-5284 5000 INTERDIGITAL INC COM 45867G101 215,697 4,521 X 28-5284 4521 8,731 183 X X 28-5284 183 129,485 2,714 X 28-13605 2714 INTERLINE BRANDS INC COM 458743101 117,014 5,736 X 28-13605 5736 INTERMUNE INC COM 45884X103 1,746 37 X X 28-5284 37 INTERNATIONAL BANCSHARES COR COM 459044103 114,056 6,219 X 28-13605 6219 COLUMN TOTAL 289,057,954 FILE NO. 28-1235 PAGE 117 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ INTERNATIONAL BUSINESS MACHS COM 459200101 257,738,332 1,580,538 X 28-5284 1553086 100 27352 271,396,912 1,664,297 X X 28-5284 1563741 14725 85831 52,830,277 323,973 X 28-13605 281221 42752 8,886,826 54,497 X X 28-13605 52104 177 2216 4,273,249 26,205 X 28-13663 24803 1402 7,344,184 45,037 X X 28-13663 44717 320 INTERNATIONAL COAL GRP INC N COM 45928H106 33,900 3,000 X 28-5284 3000 1,357,130 120,100 X X 28-5284 100500 19600 INTERNATIONAL FLAVORS&FRAGRA COM 459506101 831,767 13,351 X 28-5284 10843 2508 352,867 5,664 X X 28-5284 3408 2 2254 287,951 4,622 X 28-13605 2192 2430 125 2 X X 28-13605 2 INTERNATIONAL GAME TECHNOLOG NOTE 3.250% 5 459902AQ5 459,000 4,000 X X 28-5284 4000 INTERNATIONAL GAME TECHNOLOG COM 459902102 310,658 19,141 X 28-5284 2635 16506 39,179 2,414 X X 28-5284 2402 12 149,576 9,216 X 28-13605 1346 7870 195 12 X X 28-13605 12 2,126 131 X 28-13663 131 INTL PAPER CO COM 460146103 3,414,746 113,146 X 28-5284 110378 2768 1,967,887 65,205 X X 28-5284 64311 17 877 1,197,905 39,692 X 28-13605 25816 13876 513 17 X X 28-13605 17 13,158 436 X 28-13663 360 76 51,306 1,700 X X 28-13663 1700 INTERNATIONAL RECTIFIER CORP COM 460254105 3,306 100 X 28-5284 100 15,538 470 X X 28-5284 470 INTERNATIONAL SHIPHOLDING CO COM NEW 460321201 49,800 2,000 X 28-5284 2000 INTERNATIONAL SPEEDWAY CORP CL A 460335201 6,347 213 X X 28-5284 213 INTERNET CAP GROUP INC COM NEW 46059C205 3,337 235 X 28-5284 235 43 3 X X 28-5284 3 INTERSIL CORP CL A 46069S109 25,946 2,084 X 28-5284 664 1420 138,183 11,099 X X 28-5284 1199 9900 COLUMN TOTAL 613,182,269 FILE NO. 28-1235 PAGE 118 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ INTERPUBLIC GROUP COS INC COM 460690100 84,370 6,712 X 28-5284 4746 1966 67,979 5,408 X X 28-5284 5387 21 219,849 17,490 X 28-13605 2555 14935 264 21 X X 28-13605 21 14,770 1,175 X X 28-13663 1175 INTEROIL CORP COM 460951106 52,248 700 X 28-5284 700 1,866 25 X X 28-5284 25 INTERVAL LEISURE GROUP INC COM 46113M108 147 9 X 28-5284 9 1,766 108 X X 28-5284 108 INTUITIVE SURGICAL INC COM NEW 46120E602 4,333,980 12,997 X 28-5284 8454 4543 1,132,430 3,396 X X 28-5284 3034 77 285 451,171 1,353 X 28-13605 197 1156 667 2 X X 28-13605 2 72,694 218 X X 28-13663 218 INTUIT COM 461202103 1,838,456 34,616 X 28-5284 31722 2894 1,085,675 20,442 X X 28-5284 15331 15 5096 513,043 9,660 X 28-13605 1411 8249 797 15 X X 28-13605 15 38,505 725 X 28-13663 680 45 INVACARE CORP COM 461203101 234,054 7,521 X 28-5284 7221 300 4,333,273 139,244 X X 28-5284 139244 398,149 12,794 X 28-13605 12794 INTREPID POTASH INC COM 46121Y102 13,371 384 X 28-5284 384 10,307 296 X X 28-5284 296 INVESCO MORTGAGE CAPITAL INC COM 46131B100 26,439 1,210 X X 28-5284 1000 210 INVESCO VAN KAMPEN SR INC TR COM 46131H107 2,950 575 X 28-5284 575 15,903 3,100 X X 28-5284 3100 INVESCO VAN KAMPEN MUNI TRST COM 46131J103 22,567 1,744 X 28-5284 1744 INVESCO VAN KAMPEN TR INVT G COM 46131M106 33,600 2,500 X 28-5284 2500 INVESCO VAN KAMPEN SELECT MU SH BEN INT 46132G108 45,400 4,000 X 28-5284 4000 COLUMN TOTAL 15,046,690 FILE NO. 28-1235 PAGE 119 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ INVESCO VAN KAMPEN PA VALUE COM 46132K109 773,146 59,841 X 28-5284 59841 480,417 37,184 X X 28-5284 36782 402 INVESCO INSRD MUNI INCM TRST COM 46132P108 187,380 13,500 X 28-5284 13500 277,600 20,000 X X 28-5284 20000 INVESCO INSURED MUNI TRST COM 46132W103 17,313 1,300 X X 28-5284 1300 INVESCO MUNI PREM INC TRST COM 46133E102 7,380 1,000 X 28-5284 1000 40,590 5,500 X X 28-5284 1500 4000 INVESCO QUALITY MUNI INC TRS COM 46133G107 77,610 6,500 X X 28-5284 6500 INVESCO QUALITY MUN SECS COM 46133J101 51,720 4,000 X X 28-5284 4000 INVESCO HIGH YIELD INVST FD COM 46133K108 21,780 3,600 X X 28-5284 3600 INVESTMENT TECHNOLOGY GRP NE COM 46145F105 1,537,601 84,530 X 28-13605 84530 14,261 784 X X 28-13605 784 296,752 16,314 X 28-13605 16314 INVESTORS BANCORP INC COM 46146P102 59,491 3,990 X 28-5284 3990 229,465 15,390 X X 28-5284 15390 INVITROGEN CORP NOTE 3.250% 6 46185RAM2 666,750 6,000 X X 28-5284 6000 IRON MTN INC COM 462846106 275,324 8,816 X 28-5284 5345 3471 116,269 3,723 X X 28-5284 1717 6 2000 214,175 6,858 X 28-13605 1002 5856 187 6 X X 28-13605 6 ISHARES SILVER TRUST ISHARES 46428Q109 2,641,373 71,835 X 28-5284 71835 1,830,558 49,784 X X 28-5284 49784 35,630 969 X X 28-13663 969 ISHARES S&P GSCI COMMODITY I UNIT BEN INT 46428R107 343,620 9,200 X 28-5284 9200 375,255 10,047 X X 28-5284 6707 2793 547 62,300 1,668 X X 28-13663 1668 ISHARES GOLD TRUST ISHARES 464285105 4,090,475 291,760 X 28-5284 291760 8,746,405 623,852 X X 28-5284 623852 ISHARES INC MSCI AUSTRALIA 464286103 556,385 20,901 X 28-5284 20901 741,314 27,848 X X 28-5284 17848 10000 COLUMN TOTAL 24,768,526 FILE NO. 28-1235 PAGE 120 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISHARES INC MSCI BRAZIL 464286400 1,507,259 19,446 X 28-5284 19446 1,223,263 15,782 X X 28-5284 13132 2650 ISHARES INC MSCI CDA INDEX 464286509 934,593 27,807 X 28-5284 27807 1,602,424 47,677 X X 28-5284 47677 ISHARES INC MSCI EMU INDEX 464286608 1,397,274 36,068 X 28-5284 36068 777,938 20,081 X X 28-5284 20081 7,748 200 X X 28-13663 200 ISHARES INC MSCI ISRAEL FD 464286632 26,582 450 X 28-5284 450 ISHARES INC MSCI CHILE INV 464286640 57,472 800 X 28-5284 800 34,771 484 X X 28-5284 484 ISHARES INC MSCI BRIC INDX 464286657 312,475 6,211 X 28-5284 6211 995,836 19,794 X X 28-5284 19794 ISHARES INC MSCI PAC J IDX 464286665 49,387,844 1,022,311 X 28-5284 1019356 2955 12,267,407 253,931 X X 28-5284 252648 303 980 251,598 5,208 X 28-13663 5208 933,591 19,325 X X 28-13663 19325 ISHARES INC MSCI SINGAPORE 464286673 157,779 11,542 X 28-5284 11542 187,279 13,700 X X 28-5284 12800 900 ISHARES INC MSCI FRANCE 464286707 17,666 656 X 28-5284 656 ISHARES INC MSCI TAIWAN 464286731 169,171 11,382 X 28-5284 11382 213,730 14,380 X X 28-5284 14380 ISHARES INC MSCI SWITZERLD 464286749 179,938 7,115 X 28-5284 7115 364,479 14,412 X X 28-5284 14412 ISHARES INC MSCI S KOREA 464286772 122,265 1,900 X 28-5284 1900 608,944 9,463 X X 28-5284 9138 325 ISHARES INC MSCI STH AFRCA 464286780 51,999 713 X X 28-5284 713 ISHARES INC MSCI GERMAN 464286806 319,652 12,318 X 28-5284 12318 7,007 270 X X 28-5284 270 COLUMN TOTAL 74,117,984 FILE NO. 28-1235 PAGE 121 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISHARES INC MSCI MALAYSIA 464286830 31,799 2,150 X 28-5284 2150 119,060 8,050 X X 28-5284 8050 ISHARES INC MSCI JAPAN 464286848 31,616,207 3,065,071 X 28-5284 3065071 3,701,878 358,883 X X 28-5284 358883 1,433,785 139,000 X X 28-13663 139000 ISHARES INC MSCI HONG KONG 464286871 119,978 6,338 X 28-5284 6338 ISHARES TR S&P 100 IDX FD 464287101 22,769,746 383,652 X 28-5284 350152 33500 11,328,372 190,874 X X 28-5284 130874 60000 ISHARES TR LRGE CORE INDX 464287127 113,783 1,540 X 28-5284 1540 ISHARES TR DJ SEL DIV INX 464287168 56,602,285 1,085,791 X 28-5284 1083102 2689 32,546,479 624,333 X X 28-5284 611965 501 11867 456,242 8,752 X 28-13663 8752 505,661 9,700 X X 28-13663 9700 ISHARES TR BARCLYS TIPS B 464287176 143,259,073 1,312,377 X 28-5284 1294233 18144 43,937,992 402,510 X X 28-5284 357984 44526 809,749 7,418 X 28-13663 7040 378 209,151 1,916 X X 28-13663 1402 514 ISHARES TR FTSE CHINA25 I 464287184 947,107 21,089 X 28-5284 21089 1,551,191 34,540 X X 28-5284 33856 684 ISHARES TR TRANSP AVE IDX 464287192 43,151 450 X 28-5284 450 ISHARES TR S&P 500 INDEX 464287200 425,327,274 3,197,709 X 28-5284 3075402 122307 89,640,493 673,938 X X 28-5284 623336 15497 35105 106,009 797 X 28-13605 797 743,792 5,592 X 28-13663 5592 736,210 5,535 X X 28-13663 5535 ISHARES TR BARCLY USAGG B 464287226 113,844,856 1,082,896 X 28-5284 1079986 2910 21,569,522 205,170 X X 28-5284 199289 699 5182 236,858 2,253 X 28-13663 2253 113,856 1,083 X X 28-13663 1083 COLUMN TOTAL 1,004,421,559 FILE NO. 28-1235 PAGE 122 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISHARES TR MSCI EMERG MKT 464287234 208,572,705 4,285,447 X 28-5284 4220174 65273 92,703,744 1,904,741 X X 28-5284 1856353 7833 40555 2,070,811 42,548 X 28-13663 42548 1,015,597 20,867 X X 28-13663 19684 1183 ISHARES TR IBOXX INV CPBD 464287242 192,565,379 1,779,717 X 28-5284 1768634 11083 50,192,790 463,889 X X 28-5284 438967 804 24118 971,420 8,978 X 28-13663 8563 415 1,475,740 13,639 X X 28-13663 12617 1022 ISHARES TR S&P GBL TELCM 464287275 83,980 1,360 X 28-5284 1360 1,112,241 18,012 X X 28-5284 18012 21,304 345 X X 28-13663 345 ISHARES TR S&P GBL INF 464287291 34,106 545 X X 28-5284 545 ISHARES TR S&P500 GRW 464287309 76,359,759 1,111,334 X 28-5284 1110387 947 10,199,656 148,445 X X 28-5284 144083 4362 621,207 9,041 X 28-13663 9041 ISHARES TR S&P GBL HLTHCR 464287325 113,610 2,100 X X 28-5284 2100 ISHARES TR S&P GBL ENER 464287341 160,578 3,615 X 28-5284 3615 20,877 470 X X 28-5284 470 ISHARES TR S&P NA NAT RES 464287374 16,573,047 353,747 X 28-5284 330813 22934 10,642,446 227,160 X X 28-5284 227160 178,826 3,817 X 28-13663 3817 2,403,030 51,292 X X 28-13663 51292 ISHARES TR S&P LTN AM 40 464287390 15,383,886 285,999 X 28-5284 284207 1792 6,404,614 119,067 X X 28-5284 117352 1715 352,809 6,559 X 28-13663 6559 32,597 606 X X 28-13663 606 ISHARES TR S&P 500 VALUE 464287408 95,708,386 1,511,742 X 28-5284 1510084 1658 8,813,702 139,215 X X 28-5284 131548 7667 41,152 650 X X 28-13663 650 ISHARES TR BARCLYS 20+ YR 464287432 13,776,199 149,530 X 28-5284 149530 2,250,183 24,424 X X 28-5284 24424 1,704,405 18,500 X X 28-13663 18500 COLUMN TOTAL 812,560,786 FILE NO. 28-1235 PAGE 123 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISHARES TR BARCLYS 7-10 Y 464287440 10,336,852 111,137 X 28-5284 87913 23224 2,003,435 21,540 X X 28-5284 21540 ISHARES TR BARCLYS 1-3 YR 464287457 160,275,055 1,913,732 X 28-5284 1897879 15853 28,242,510 337,224 X X 28-5284 311066 26158 6,408,550 76,520 X 28-13663 76520 519,250 6,200 X X 28-13663 6200 ISHARES TR MSCI EAFE INDE 464287465 391,222,335 6,511,690 X 28-5284 6448880 62810 203,407,629 3,385,613 X X 28-5284 3245654 8517 131442 1,578,542 26,274 X 28-13663 26274 3,420,054 56,925 X X 28-13663 55978 947 ISHARES TR RUSSELL MCP VL 464287473 36,416,473 756,156 X 28-5284 729006 27150 9,677,896 200,953 X X 28-5284 195960 4326 667 355,517 7,382 X 28-13663 7382 64,342 1,336 X X 28-13663 1336 ISHARES TR RUSSELL MCP GR 464287481 54,382,702 892,837 X 28-5284 869379 23458 10,681,178 175,360 X X 28-5284 170627 4105 628 740,422 12,156 X 28-13663 12156 146,123 2,399 X X 28-13663 2399 ISHARES TR RUSSELL MIDCAP 464287499 233,390,423 2,141,393 X 28-5284 2127445 13948 53,176,984 487,907 X X 28-5284 455584 32323 404,353 3,710 X 28-13605 3710 1,773,921 16,276 X 28-13663 16276 1,426,788 13,091 X X 28-13663 13091 ISHARES TR S&P MIDCAP 400 464287507 68,988,616 698,902 X 28-5284 674533 24369 39,145,523 396,571 X X 28-5284 388560 3837 4174 42,445 430 X 28-13663 430 2,978,969 30,179 X X 28-13663 30179 ISHARES TR S&P NA SOFTWR 464287515 126,852 2,046 X 28-5284 2046 99,200 1,600 X X 28-5284 1600 ISHARES TR PHLX SOX SEMIC 464287523 126,216 2,136 X 28-5284 2136 56,136 950 X X 28-5284 950 ISHARES TR S&P NA TECH FD 464287549 62,980 1,000 X 28-5284 1000 264,516 4,200 X X 28-5284 4200 COLUMN TOTAL 1,321,942,787 FILE NO. 28-1235 PAGE 124 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISHARES TR NASDQ BIO INDX 464287556 6,986,060 69,749 X 28-5284 69649 100 3,535,047 35,294 X X 28-5284 31431 1000 2863 20,032 200 X 28-13663 200 20,833 208 X X 28-13663 208 ISHARES TR COHEN&ST RLTY 464287564 16,017,482 228,397 X 28-5284 225980 2417 5,608,647 79,975 X X 28-5284 77289 2686 15,499 221 X 28-13663 221 30,577 436 X X 28-13663 436 ISHARES TR CONS SRVC IDX 464287580 20,548 291 X 28-5284 291 ISHARES TR RUSSELL1000VAL 464287598 90,286,904 1,314,794 X 28-5284 1311431 3363 49,461,010 720,271 X X 28-5284 717127 419 2725 88,996 1,296 X 28-13663 1296 666,236 9,702 X X 28-13663 8902 800 ISHARES TR S&P MC 400 GRW 464287606 14,844,944 134,526 X 28-5284 130068 4458 4,009,126 36,331 X X 28-5284 34105 2226 408,295 3,700 X 28-13663 3700 ISHARES TR RUSSELL1000GRW 464287614 139,859,975 2,312,882 X 28-5284 2297805 15077 33,012,992 545,940 X X 28-5284 480005 65935 963,831 15,939 X 28-13663 15939 608,389 10,061 X X 28-13663 10061 ISHARES TR RUSSELL 1000 464287622 131,650,892 1,782,197 X 28-5284 1774164 8033 34,590,514 468,262 X X 28-5284 439703 353 28206 1,271,303 17,210 X 28-13663 17210 1,851,108 25,059 X X 28-13663 25059 ISHARES TR RUSL 2000 VALU 464287630 39,080,987 518,453 X 28-5284 516351 2102 15,145,576 200,923 X X 28-5284 197470 500 2953 112,768 1,496 X 28-13663 1496 167,721 2,225 X X 28-13663 2225 ISHARES TR RUSL 2000 GROW 464287648 31,301,933 328,319 X 28-5284 327309 1010 13,954,916 146,370 X X 28-5284 144963 1407 261,136 2,739 X 28-13663 2739 34,418 361 X X 28-13663 361 COLUMN TOTAL 635,888,695 FILE NO. 28-1235 PAGE 125 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISHARES TR RUSSELL 2000 464287655 171,904,852 2,042,353 X 28-5284 2021468 20885 76,830,713 912,804 X X 28-5284 856515 4065 52224 904,238 10,743 X 28-13605 10743 1,950,808 23,177 X 28-13663 23177 791,030 9,398 X X 28-13663 9398 ISHARES TR RUSL 3000 VALU 464287663 2,711,797 30,021 X 28-5284 30021 498,441 5,518 X X 28-5284 5518 ISHARES TR RUSL 3000 GROW 464287671 681,101 13,699 X 28-5284 13699 208,422 4,192 X X 28-5284 3720 472 ISHARES TR RUSSELL 3000 464287689 15,980,401 201,620 X 28-5284 201457 163 2,191,698 27,652 X X 28-5284 26952 700 ISHARES TR DJ US UTILS 464287697 3,964,746 49,959 X 28-5284 17551 32408 4,687,319 59,064 X X 28-5284 59064 4,047 51 X X 28-13663 51 ISHARES TR S&P MIDCP VALU 464287705 20,541,374 238,299 X 28-5284 234247 4052 3,094,063 35,894 X X 28-5284 33628 2266 ISHARES TR DJ US TELECOMM 464287713 3,178,374 133,433 X 28-5284 130798 2635 873,789 36,683 X X 28-5284 36683 11,910 500 X 28-13663 500 7,789 327 X X 28-13663 327 ISHARES TR DJ US TECH SEC 464287721 5,442,905 81,799 X 28-5284 81799 5,078,000 76,315 X X 28-5284 76315 60,884 915 X X 28-13663 915 ISHARES TR DJ US REAL EST 464287739 7,096,815 119,475 X 28-5284 119475 4,062,604 68,394 X X 28-5284 66806 1588 53,460 900 X 28-13663 900 35,640 600 X X 28-13663 600 ISHARES TR DJ US INDUSTRL 464287754 10,659 150 X 28-5284 150 120,162 1,691 X X 28-5284 1691 ISHARES TR DJ US HEALTHCR 464287762 2,260,601 32,696 X 28-5284 32696 748,441 10,825 X X 28-5284 10825 17,285 250 X 28-13663 250 26,826 388 X X 28-13663 388 COLUMN TOTAL 336,031,194 FILE NO. 28-1235 PAGE 126 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISHARES TR DJ US FINL SVC 464287770 673,720 11,493 X 28-5284 11493 182,015 3,105 X X 28-5284 3105 ISHARES TR DJ US FINL SEC 464287788 460,859 7,794 X 28-5284 7501 293 390,968 6,612 X X 28-5284 6612 185,254 3,133 X X 28-13663 3133 ISHARES TR DJ US ENERGY 464287796 1,122,822 24,710 X 28-5284 24710 348,616 7,672 X X 28-5284 7372 300 272,640 6,000 X 28-13663 6000 ISHARES TR S&P SMLCAP 600 464287804 42,841,785 582,406 X 28-5284 566745 15661 19,918,650 270,781 X X 28-5284 268777 1004 1000 454,307 6,176 X 28-13663 6176 1,425,887 19,384 X X 28-13663 19384 ISHARES TR CONS GOODS IDX 464287812 278,166 4,200 X 28-5284 4200 224,851 3,395 X X 28-5284 3395 ISHARES TR DJ US BAS MATL 464287838 392,448 4,800 X 28-5284 4800 185,922 2,274 X X 28-5284 2274 ISHARES TR DJ US INDEX FD 464287846 2,091,325 31,158 X 28-5284 29641 1517 1,430,059 21,306 X X 28-5284 21306 ISHARES TR S&P EURO PLUS 464287861 3,047,256 72,866 X 28-5284 71266 1600 883,113 21,117 X X 28-5284 21117 292,740 7,000 X 28-13663 7000 250,920 6,000 X X 28-13663 6000 ISHARES TR S&P SMLCP VALU 464287879 11,581,858 151,953 X 28-5284 151504 449 2,904,134 38,102 X X 28-5284 35617 2485 18,521 243 X X 28-13663 243 ISHARES TR S&P SMLCP GROW 464287887 10,906,103 138,017 X 28-5284 136953 1064 3,613,901 45,734 X X 28-5284 43787 1947 ISHARES TR AGENCY BD FD 464288166 4,791,498 43,818 X 28-5284 42950 868 209,296 1,914 X X 28-5284 1914 234,774 2,147 X X 28-13663 2147 ISHARES TR S&P GTFIDX ETF 464288174 320,166 6,300 X 28-5284 6300 COLUMN TOTAL 111,934,574 FILE NO. 28-1235 PAGE 127 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISHARES TR MSCI ACJPN IDX 464288182 720,176 11,435 X 28-5284 11435 958,871 15,225 X X 28-5284 15225 ISHARES TR S&P EMRG INFRS 464288216 77,177 2,145 X X 28-5284 2145 ISHARES TR S&P GLBIDX ETF 464288224 69,934 3,710 X 28-5284 3710 ISHARES TR S&P NUCIDX ETF 464288232 2,062 50 X 28-5284 50 ISHARES TR MSCI ACWI EX 464288240 83,401 1,835 X X 28-5284 1835 ISHARES TR MSCI SMALL CAP 464288273 157,238 3,628 X 28-5284 3628 307,324 7,091 X X 28-5284 7091 ISHARES TR JPMORGAN USD 464288281 4,504,478 42,244 X 28-5284 41059 1185 1,672,918 15,689 X X 28-5284 15689 10,023 94 X 28-13663 94 ISHARES TR MID GRWTH INDX 464288307 16,746 159 X X 28-5284 159 ISHARES TR S&P GLO INFRAS 464288372 2,755,458 74,613 X 28-5284 74513 100 395,816 10,718 X X 28-5284 10718 73,860 2,000 X X 28-13663 2000 ISHARES TR S&P NTL AMTFRE 464288414 106,365,355 1,069,536 X 28-5284 1045340 24196 35,747,104 359,448 X X 28-5284 330369 134 28945 600,976 6,043 X 28-13663 5642 401 188,955 1,900 X X 28-13663 1900 ISHARES TR S&P ASIA 50 IN 464288430 55,829 1,167 X 28-5284 1167 57,121 1,194 X X 28-5284 1194 ISHARES TR SMLL CORE INDX 464288505 137,992 1,416 X 28-5284 1416 ISHARES TR HIGH YLD CORP 464288513 772,096 8,396 X 28-5284 8396 657,606 7,151 X X 28-5284 6401 750 1,011,560 11,000 X X 28-13663 11000 ISHARES TR RESIDENT PLS C 464288562 115,115 2,750 X X 28-5284 2750 ISHARES TR MSCI KLD400 SO 464288570 680,455 14,030 X X 28-5284 6900 7130 COLUMN TOTAL 158,195,646 FILE NO. 28-1235 PAGE 128 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISHARES TR BARCLYS MBS BD 464288588 16,930,639 160,739 X 28-5284 160089 650 565,727 5,371 X X 28-5284 5299 72 48,136 457 X 28-13663 457 210,660 2,000 X X 28-13663 2000 ISHARES TR BARCLYS INTER 464288612 14,275,246 132,555 X 28-5284 132476 79 1,754,642 16,293 X X 28-5284 16293 ISHARES TR BARCLYS CR BD 464288620 34,436 330 X X 28-5284 330 ISHARES TR BARCLYS INTER 464288638 49,772,899 472,722 X 28-5284 446486 26236 10,732,104 101,929 X X 28-5284 99935 530 1464 773,460 7,346 X 28-13663 7346 1,394,250 13,242 X X 28-13663 12195 1047 ISHARES TR BARCLYS 1-3YR 464288646 146,148,636 1,399,355 X 28-5284 1393000 6355 35,702,292 341,845 X X 28-5284 317950 530 23365 8,321,361 79,676 X 28-13663 79676 350,918 3,360 X X 28-13663 3360 ISHARES TR BARCLYS 10-20Y 464288653 55,900 500 X 28-5284 500 ISHARES TR BARCLYS 3-7 YR 464288661 3,726,150 32,634 X 28-5284 32634 2,453,957 21,492 X X 28-5284 14592 6900 48,869 428 X 28-13663 428 ISHARES TR US PFD STK IDX 464288687 7,847,092 197,909 X 28-5284 134118 63791 7,331,087 184,895 X X 28-5284 174685 10210 ISHARES TR S&P GLB MTRLS 464288695 48,490 650 X 28-5284 650 149,349 2,002 X X 28-5284 2002 ISHARES TR S&P GL INDUSTR 464288729 20,284 351 X 28-5284 351 ISHARES TR DJ AEROSPACE 464288760 25,692 400 X X 28-5284 400 ISHARES TR DJ INS INDX FD 464288786 9,116 281 X 28-5284 281 ISHARES TR MSCI ESG SEL S 464288802 9,464,003 164,726 X 28-5284 160778 3948 1,130,503 19,677 X X 28-5284 19335 342 ISHARES TR DJ MED DEVICES 464288810 192,750 3,000 X X 28-5284 3000 COLUMN TOTAL 319,518,648 FILE NO. 28-1235 PAGE 129 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ISHARES TR DJ OIL EQUIP 464288844 24,415 360 X 28-5284 360 ISHARES TR DJ OIL&GAS EXP 464288851 296,118 3,975 X 28-5284 3975 ISHARES TR MSCI VAL IDX 464288877 19,036,898 359,119 X 28-5284 356725 2394 13,849,128 261,255 X X 28-5284 254445 6425 385 719,240 13,568 X X 28-13663 13568 ISHARES TR MSCI GRW IDX 464288885 15,801,180 253,875 X 28-5284 252016 1859 13,040,027 209,512 X X 28-5284 204412 5100 38,838 624 X 28-13663 624 678,416 10,900 X X 28-13663 10900 ISHARES TR MSCI BRAZ SMCP 464289131 160,885 5,463 X 28-5284 5463 ISHARES TR 2013 S&P AMTFR 464289388 361,093 7,132 X 28-5284 7132 ISHARES TR 2012 S&P AMTFR 464289412 282,678 5,570 X 28-5284 5570 ISHARES TR MSCI PERU CAP 464289842 4,565 100 X X 28-5284 100 ISHARES TR POLND INVT MKT 46429B606 28,640 800 X X 28-5284 800 ISIS PHARMACEUTICALS INC COM 464330109 49,404 5,465 X 28-5284 5465 37,968 4,200 X X 28-5284 2500 1700 ISLE OF CAPRI CASINOS INC COM 464592104 2,850 300 X 28-5284 300 ITAU UNIBANCO HLDG SA SPON ADR REP P 465562106 54,738 2,276 X 28-5284 2078 198 56,205 2,337 X X 28-5284 2337 7,480 311 X 28-13663 311 ITC HLDGS CORP COM 465685105 15,728 225 X 28-5284 225 340,273 4,868 X X 28-5284 368 4500 ITRON INC COM 465741106 378,882 6,713 X 28-5284 303 6410 710,185 12,583 X X 28-5284 4943 7640 23,140 410 X 28-13663 410 IVANHOE MINES LTD COM 46579N103 3,350 122 X 28-5284 122 1,785 65 X X 28-5284 65 COLUMN TOTAL 66,004,109 FILE NO. 28-1235 PAGE 130 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ J & J SNACK FOODS CORP COM 466032109 24,476 520 X 28-5284 400 120 56,484 1,200 X X 28-5284 1200 JDS UNIPHASE CORP COM PAR $0.001 46612J507 16,276 781 X 28-5284 222 559 81,860 3,928 X X 28-5284 3915 13 258,208 12,390 X 28-13605 1811 10579 271 13 X X 28-13605 13 2,938 141 X X 28-13663 141 JDA SOFTWARE GROUP INC COM 46612K108 151 5 X 28-5284 5 JPMORGAN CHASE & CO COM 46625H100 165,334,515 3,586,432 X 28-5284 3524550 61882 100,995,419 2,190,790 X X 28-5284 2045230 3972 141588 71,313,473 1,546,930 X 28-13605 1280820 266110 11,907,123 258,289 X X 28-13605 244958 887 12444 1,089,435 23,632 X 28-13663 20262 3370 921,262 19,984 X X 28-13663 18982 1002 JPMORGAN CHASE & CO ALERIAN ML ETN 46625H365 145,007 3,819 X 28-5284 3819 130,617 3,440 X X 28-5284 3440 J2 GLOBAL COMMUNICATIONS INC COM NEW 46626E205 2,951 100 X 28-5284 100 JABIL CIRCUIT INC COM 466313103 132,652 6,493 X 28-5284 5782 711 89,157 4,364 X X 28-5284 4364 383,369 18,765 X 28-13605 12987 5778 JACK IN THE BOX INC COM 466367109 11,794 520 X 28-5284 520 JACKSON HEWITT TAX SVCS INC COM 468202106 300 500 X X 28-5284 500 JACOBS ENGR GROUP INC DEL COM 469814107 8,224,994 159,926 X 28-5284 153844 6082 5,086,427 98,900 X X 28-5284 64496 9007 25397 230,509 4,482 X 28-13605 654 3828 360 7 X X 28-13605 7 35,847 697 X X 28-13663 697 JAKKS PAC INC COM 47012E106 5,418 280 X 28-5284 280 JAMES RIVER COAL CO COM NEW 470355207 3,239 134 X 28-5284 134 COLUMN TOTAL 366,484,532 FILE NO. 28-1235 PAGE 131 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ JANUS CAP GROUP INC COM 47102X105 9,490 761 X 28-5284 310 451 14,989 1,202 X X 28-5284 852 350 126,109 10,113 X 28-13605 1476 8637 JARDEN CORP COM 471109108 7,114 200 X 28-5284 200 21,769 612 X X 28-5284 612 JEFFERIES GROUP INC NEW DBCV 3.875%11 472319AG7 623,250 6,000 X X 28-5284 6000 JEFFERIES GROUP INC NEW COM 472319102 83,399 3,344 X 28-5284 384 2960 249,874 10,019 X X 28-5284 879 9140 JETBLUE AIRWAYS CORP COM 477143101 4,608 735 X 28-5284 735 JOHN BEAN TECHNOLOGIES CORP COM 477839104 654 34 X X 28-5284 34 JOHNSON & JOHNSON COM 478160104 238,331,111 4,022,466 X 28-5284 3970209 52257 244,854,713 4,132,569 X X 28-5284 3765204 20256 347109 33,574,783 566,663 X 28-13605 452863 113800 4,736,327 79,938 X X 28-13605 75765 283 3890 1,484,805 25,060 X 28-13663 23172 1888 4,652,843 78,529 X X 28-13663 78046 483 JOHNSON CTLS INC NOTE 6.500% 9 478366AS6 743,250 2,000 X 28-5284 2000 JOHNSON CTLS INC COM 478366107 39,517,772 950,632 X 28-5284 940382 10250 22,648,334 544,824 X X 28-5284 514410 2914 27500 2,591,391 62,338 X 28-13605 41229 21109 636,021 15,300 X X 28-13605 15165 49 86 225,476 5,424 X 28-13663 5268 156 246,385 5,927 X X 28-13663 5927 JONES LANG LASALLE INC COM 48020Q107 72,810 730 X 28-5284 730 37,303 374 X X 28-5284 374 JONES GROUP INC COM 48020T101 4,813 350 X X 28-5284 350 JONES SODA CO COM 48023P106 1,230 1,000 X 28-5284 1000 JOS A BANK CLOTHIERS INC COM 480838101 175,536 3,450 X 28-5284 3450 409,584 8,050 X X 28-5284 8050 COLUMN TOTAL 596,085,743 FILE NO. 28-1235 PAGE 132 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ JOY GLOBAL INC COM 481165108 6,371,170 64,479 X 28-5284 63524 955 3,560,421 36,033 X X 28-5284 27053 8980 4,987,336 50,474 X 28-13605 47349 3125 665,288 6,733 X X 28-13605 6733 55,334 560 X 28-13663 560 57,310 580 X X 28-13663 580 JUNIPER NETWORKS INC COM 48203R104 522,171 12,409 X 28-5284 11182 1227 311,897 7,412 X X 28-5284 7396 16 819,087 19,465 X 28-13605 2845 16620 673 16 X X 28-13605 16 5,597 133 X 28-13663 133 KAR AUCTION SVCS INC COM 48238T109 2,930 191 X X 28-5284 191 KB FINANCIAL GROUP INC SPONSORED ADR 48241A105 17,112 328 X 28-5284 328 209 4 X X 28-5284 4 KBR INC COM 48242W106 2,243,387 59,396 X 28-5284 59011 385 1,069,609 28,319 X X 28-5284 26119 2200 2,727,032 72,201 X 28-13605 71484 717 408,483 10,815 X X 28-13605 10815 KKR FINANCIAL HLDGS LLC COM 48248A306 24,475 2,500 X X 28-5284 2500 KKR & CO L P DEL COM UNITS 48248M102 49,230 3,000 X 28-5284 3000 KLA-TENCOR CORP COM 482480100 145,036 3,065 X 28-5284 1555 1510 626,611 13,242 X X 28-5284 3142 10100 277,106 5,856 X 28-13605 855 5001 3,312 70 X 28-13663 70 K-SWISS INC CL A 482686102 2,705 240 X 28-5284 240 K12 INC COM 48273U102 504,893 14,982 X X 28-5284 6750 8232 KVH INDS INC COM 482738101 36,666 2,425 X X 28-5284 2425 KADANT INC COM 48282T104 26 1 X 28-5284 1 KAISER ALUMINUM CORP COM PAR $0.01 483007704 95,545 1,940 X 28-5284 1940 283,779 5,762 X X 28-5284 300 5462 COLUMN TOTAL 25,874,430 FILE NO. 28-1235 PAGE 133 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ KAMAN CORP COM 483548103 131,648 3,740 X 28-5284 3500 240 227,040 6,450 X 28-13605 6450 KANSAS CITY SOUTHERN COM NEW 485170302 267,132 4,906 X 28-5284 4906 4,454,772 81,814 X X 28-5284 72814 9000 KAPSTONE PAPER & PACKAGING C COM 48562P103 61,434 3,578 X X 28-5284 108 3470 KAYDON CORP COM 486587108 100,091 2,554 X 28-5284 2554 KAYNE ANDERSON ENRGY TTL RT COM 48660P104 71,633 2,264 X 28-5284 2264 KAYNE ANDERSON ENERGY DEV CO COM 48660Q102 23,472 1,200 X X 28-5284 1200 KAYNE ANDERSON MLP INVSMNT C COM 486606106 748,274 22,904 X 28-5284 22904 114,998 3,520 X X 28-5284 3520 KB HOME COM 48666K109 7,066 568 X 28-5284 568 6,357 511 X X 28-5284 511 KELLOGG CO COM 487836108 3,103,796 57,499 X 28-5284 56702 797 2,786,718 51,625 X X 28-5284 49865 13 1747 470,274 8,712 X 28-13605 1271 7441 702 13 X X 28-13605 13 4,642 86 X 28-13663 86 134,950 2,500 X X 28-13663 2500 KELLY SVCS INC CL A 488152208 1,237 57 X 28-5284 57 KEMET CORP COM NEW 488360207 357,255 24,090 X 28-13605 24090 KENNAMETAL INC COM 489170100 158,730 4,070 X 28-5284 4070 441,090 11,310 X X 28-5284 6005 5305 93,483 2,397 X 28-13605 2397 KENSEY NASH CORP COM 490057106 24,910 1,000 X 28-5284 1000 KEYCORP NEW COM 493267108 419,003 47,185 X 28-5284 37620 9565 429,756 48,396 X X 28-5284 26796 21600 272,003 30,631 X 28-13605 4480 26151 4,600 518 X 28-13663 518 16,774 1,889 X X 28-13663 1889 COLUMN TOTAL 14,933,840 FILE NO. 28-1235 PAGE 134 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ KEYCORP NEW PFD 7.75% SR A 493267405 32,034 285 X 28-5284 285 5,620 50 X X 28-5284 50 KILROY RLTY CORP COM 49427F108 105,152 2,708 X 28-5284 2708 KIMBERLY CLARK CORP COM 494368103 44,298,814 678,701 X 28-5284 670855 7846 41,664,060 638,334 X X 28-5284 622490 1682 14162 4,388,167 67,231 X 28-13605 54267 12964 734,026 11,246 X X 28-13605 11147 36 63 225,769 3,459 X 28-13663 3147 312 389,597 5,969 X X 28-13663 5617 352 KIMCO RLTY CORP COM 49446R109 115,395 6,292 X 28-5284 1900 4392 231,616 12,629 X X 28-5284 5822 7 6800 270,845 14,768 X 28-13605 2157 12611 128 7 X X 28-13605 7 3,558 194 X 28-13663 194 KINDER MORGAN MANAGEMENT LLC SHS 49455U100 164,565 2,509 X 28-5284 2509 1,471,446 22,434 X X 28-5284 22215 219 13,184 201 X 28-13663 201 KINDER MORGAN ENERGY PARTNER UT LTD PARTNER 494550106 16,361,221 220,829 X 28-5284 220344 485 15,303,956 206,559 X X 28-5284 200909 2650 3000 22,227 300 X 28-13663 300 343,778 4,640 X X 28-13663 4640 KINDER MORGAN INC DEL COM 49456B101 8,892 300 X 28-5284 300 74,100 2,500 X X 28-5284 1500 1000 KINDRED HEALTHCARE INC COM 494580103 11,940 500 X 28-5284 500 57,312 2,400 X X 28-5284 2400 207,875 8,705 X 28-13605 8705 KINETIC CONCEPTS INC COM NEW 49460W208 268,236 4,929 X 28-5284 4929 50,502 928 X X 28-5284 928 KINROSS GOLD CORP COM NO PAR 496902404 146,633 9,310 X 28-5284 4008 5302 39,186 2,488 X X 28-5284 2488 KIRBY CORP COM 497266106 24,062 420 X 28-5284 420 20,796 363 X X 28-5284 363 COLUMN TOTAL 127,054,692 FILE NO. 28-1235 PAGE 135 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ KIRKLANDS INC COM 497498105 15,440 1,000 X X 28-5284 1000 KNIGHT CAP GROUP INC CL A COM 499005106 45,506 3,396 X 28-5284 3396 KNIGHT TRANSN INC COM 499064103 329,175 17,100 X X 28-5284 14700 2400 KNOLOGY INC COM 499183804 65 5 X 28-5284 5 KNOT INC COM 499184109 28,920 2,400 X X 28-5284 2400 KODIAK OIL & GAS CORP COM 50015Q100 898 134 X X 28-5284 134 KOHLS CORP COM 500255104 5,016,629 94,582 X 28-5284 93657 925 2,524,014 47,587 X X 28-5284 45229 8 2350 569,437 10,736 X 28-13605 1568 9168 424 8 X X 28-13605 8 14,798 279 X 28-13663 200 79 KONINKLIJKE PHILIPS ELECTRS NY REG SH NEW 500472303 81,647 2,538 X 28-5284 2415 123 400,870 12,461 X X 28-5284 5722 6739 KOPPERS HOLDINGS INC COM 50060P106 862,540 20,200 X 28-5284 20200 252,656 5,917 X X 28-5284 5917 KOPIN CORP COM 500600101 1,878 410 X 28-5284 410 KOREA ELECTRIC PWR SPONSORED ADR 500631106 63,036 5,150 X 28-5284 1343 3807 50,723 4,144 X X 28-5284 4144 KOREA FD COM NEW 500634209 289,800 6,000 X X 28-5284 6000 KORN FERRY INTL COM NEW 500643200 2,450 110 X 28-5284 110 KRAFT FOODS INC CL A 50075N104 22,842,561 728,398 X 28-5284 700212 28186 70,409,692 2,245,207 X X 28-5284 2092898 1942 150367 1,875,798 59,815 X 28-13605 8734 51081 9,659 308 X 28-13663 308 343,423 10,951 X X 28-13663 10314 637 KRATON PERFORMANCE POLYMERS COM 50077C106 202,266 5,288 X X 28-5284 38 5250 KRISPY KREME DOUGHNUTS INC COM 501014104 25,344 3,600 X X 28-5284 3600 COLUMN TOTAL 106,259,649 FILE NO. 28-1235 PAGE 136 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ KROGER CO COM 501044101 1,338,005 55,820 X 28-5284 55387 433 806,806 33,659 X X 28-5284 33259 400 3,455,635 144,165 X 28-13605 125810 18355 5,201 217 X X 28-13605 217 6,448 269 X X 28-13663 269 KUBOTA CORP ADR 501173207 17,384 369 X X 28-5284 369 KULICKE & SOFFA INDS INC COM 501242101 11,388 1,218 X 28-5284 738 480 KYOCERA CORP ADR 501556203 48,942 485 X X 28-5284 485 LDK SOLAR CO LTD SPONSORED ADR 50183L107 8,225 672 X 28-5284 672 6,120 500 X X 28-5284 500 LKQ CORP COM 501889208 20,340 844 X 28-5284 44 800 404,157 16,770 X X 28-5284 9745 7025 LMI AEROSPACE INC COM 502079106 10,105 500 X 28-5284 500 LMP CAP & INCOME FD INC COM 50208A102 20,695 1,556 X X 28-5284 1556 LMP REAL ESTATE INCOME FD IN COM 50208C108 259,250 25,000 X X 28-5284 25000 LPL INVT HLDGS INC COM 50213H100 33,017 922 X X 28-5284 122 800 LSI INDS INC COM 50216C108 72,400 10,000 X X 28-5284 10000 LSB INDS INC COM 502160104 3,013 76 X 28-5284 76 LSI CORPORATION COM 502161102 21,345 3,139 X 28-5284 1834 1305 118,109 17,369 X X 28-5284 17252 92 25 147,730 21,725 X 28-13605 3172 18553 626 92 X X 28-13605 92 LTC PPTYS INC COM 502175102 81,449 2,874 X 28-13605 2874 LTX-CREDENCE CORP COM NEW 502403207 867 95 X X 28-5284 95 L-3 COMMUNICATIONS CORP DEBT 3.000% 8 502413AW7 201,750 2,000 X 28-5284 2000 COLUMN TOTAL 7,099,007 FILE NO. 28-1235 PAGE 137 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ L-3 COMMUNICATIONS HLDGS INC COM 502424104 953,581 12,177 X 28-5284 11784 393 619,824 7,915 X X 28-5284 7409 6 500 313,945 4,009 X 28-13605 586 3423 470 6 X X 28-13605 6 7,988 102 X 28-13663 53 49 LA Z BOY INC COM 505336107 4,393 460 X 28-5284 460 LABORATORY CORP AMER HLDGS COM NEW 50540R409 1,230,120 13,352 X 28-5284 13106 246 1,332,292 14,461 X X 28-5284 11323 8 3130 586,868 6,370 X 28-13605 3446 2924 99,316 1,078 X X 28-13605 1078 1,474 16 X 28-13663 16 82,917 900 X X 28-13663 900 LACLEDE GROUP INC COM 505597104 45,339 1,190 X 28-5284 1000 190 110,490 2,900 X X 28-5284 2000 900 160,020 4,200 X 28-13605 4200 LADISH INC COM NEW 505754200 29,839 546 X 28-5284 546 LAKELAND BANCORP INC COM 511637100 191,968 18,494 X 28-5284 18494 22,888 2,205 X X 28-5284 2205 LAM RESEARCH CORP COM 512807108 346,929 6,123 X 28-5284 6123 254,913 4,499 X X 28-5284 2824 1675 313,047 5,525 X 28-13605 5525 110,487 1,950 X X 28-13605 1950 LAMAR ADVERTISING CO CL A 512815101 206,642 5,594 X X 28-5284 5594 LANDAUER INC COM 51476K103 9,228 150 X 28-5284 150 35,374 575 X X 28-5284 575 LANDSTAR SYS INC COM 515098101 30,240 662 X 28-5284 162 500 160,200 3,507 X X 28-5284 3507 LAS VEGAS SANDS CORP COM 517834107 3,359,192 79,564 X 28-5284 74333 5231 132,697 3,143 X X 28-5284 2553 590 LASALLE HOTEL PPTYS COM SH BEN INT 517942108 385,965 14,295 X 28-5284 14295 70,200 2,600 X X 28-5284 2600 13,419 497 X 28-13663 497 COLUMN TOTAL 11,222,265 FILE NO. 28-1235 PAGE 138 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ LATIN AMERN DISCOVERY FD INC COM 51828C106 106,708 5,600 X X 28-5284 5600 LATTICE SEMICONDUCTOR CORP COM 518415104 314,405 53,289 X 28-13605 53289 LAUDER ESTEE COS INC CL A 518439104 3,435,427 35,652 X 28-5284 34908 744 1,435,860 14,901 X X 28-5284 14901 4,262,485 44,235 X 28-13605 40399 3836 557,250 5,783 X X 28-13605 5783 4,047 42 X 28-13663 42 139,722 1,450 X X 28-13663 1450 LAWSON PRODS INC COM 520776105 1,613 70 X 28-5284 70 LAWSON SOFTWARE INC NEW COM 52078P102 1,271 105 X X 28-5284 105 239,314 19,778 X 28-13605 19778 LAZARD GLB TTL RET&INCM FD I COM 52106W103 11,597 754 X 28-5284 754 LEAP WIRELESS INTL INC COM NEW 521863308 6,281 406 X X 28-5284 406 LEAR CORP COM NEW 521865204 8,308 170 X 28-5284 170 100,477 2,056 X X 28-5284 2056 LEE ENTERPRISES INC COM 523768109 10,395 3,850 X X 28-5284 1000 2850 LEGGETT & PLATT INC COM 524660107 4,122,076 168,248 X 28-5284 155471 12777 3,292,286 134,379 X X 28-5284 126154 8225 1,511,503 61,694 X 28-13605 55570 6124 532,606 21,739 X X 28-13605 21549 65 125 62,304 2,543 X 28-13663 2043 500 116,057 4,737 X X 28-13663 4737 LEGACY RESERVES LP UNIT LP INT 524707304 79,917 2,550 X X 28-5284 2550 LEGG MASON INC COM 524901105 216,323 5,994 X 28-5284 4346 1648 265,803 7,365 X X 28-5284 7302 3 60 647,924 17,953 X 28-13605 12429 5524 134,002 3,713 X X 28-13605 3713 LEGG MASON INC UNIT 99/99/999 524901303 52,599 1,611 X X 28-5284 1611 LENDER PROCESSING SVCS INC COM 52602E102 41,203 1,280 X 28-5284 850 430 1,412,690 43,886 X X 28-5284 43686 200 COLUMN TOTAL 23,122,453 FILE NO. 28-1235 PAGE 139 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ LENNAR CORP CL A 526057104 141,988 7,836 X 28-5284 7126 710 19,153 1,057 X X 28-5284 1057 104,426 5,763 X 28-13605 841 4922 LENNOX INTL INC COM 526107107 143,806 2,735 X 28-5284 2735 334,356 6,359 X X 28-5284 381 5978 110,733 2,106 X 28-13605 2106 LEUCADIA NATL CORP COM 527288104 421,424 11,226 X 28-5284 7437 3789 3,800,024 101,226 X X 28-5284 70862 20004 10360 261,804 6,974 X 28-13605 1019 5955 150 4 X X 28-13605 4 LEVEL 3 COMMUNICATIONS INC COM 52729N100 10,274 6,989 X 28-5284 163 6826 54,330 36,959 X X 28-5284 36959 LEXICON PHARMACEUTICALS INC COM 528872104 252 150 X 28-5284 150 LEXMARK INTL NEW CL A 529771107 2,408 65 X 28-5284 65 99,008 2,673 X X 28-5284 2673 102,638 2,771 X 28-13605 406 2365 LIBERTY ALL STAR EQUITY FD SH BEN INT 530158104 38,703 7,358 X 28-5284 7358 705 134 X X 28-5284 134 LIBERTY GLOBAL INC COM SER A 530555101 591,500 14,284 X 28-5284 1015 13269 2,092,737 50,537 X X 28-5284 39921 10616 LIBERTY GLOBAL INC COM SER C 530555309 1,321,510 33,046 X 28-5284 977 32069 2,916,471 72,930 X X 28-5284 34000 38930 LIBERTY MEDIA CORP NEW INT COM SER A 53071M104 92,775 5,784 X 28-5284 5784 86,664 5,403 X X 28-5284 4903 500 LIBERTY MEDIA CORP NEW CAP COM SER A 53071M302 37,130 504 X 28-5284 504 5,558,328 75,449 X X 28-5284 75349 100 LIBERTY MEDIA CORP NEW LIB STAR COM A 53071M708 464,358 5,984 X 28-5284 198 5786 677,448 8,730 X X 28-5284 497 8233 LIBERTY MEDIA CORP NEW DEB 3.125% 3 530718AF2 237,500 2,000 X 28-5284 2000 COLUMN TOTAL 19,722,603 FILE NO. 28-1235 PAGE 140 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ LIBERTY PPTY TR SH BEN INT 531172104 83,467 2,537 X 28-5284 2537 25,695 781 X X 28-5284 781 LIFE PARTNERS HOLDINGS INC COM 53215T106 40,200 5,000 X 28-5284 5000 LIFE TIME FITNESS INC COM 53217R207 23,580 632 X 28-5284 355 277 3,918 105 X X 28-5284 105 LIFE TECHNOLOGIES CORP COM 53217V109 1,374,557 26,222 X 28-5284 10149 16073 1,567,515 29,903 X X 28-5284 23150 13 6740 325,371 6,207 X 28-13605 906 5301 681 13 X X 28-13605 13 77,424 1,477 X 28-13663 1477 12,476 238 X X 28-13663 238 LIFEPOINT HOSPITALS INC COM 53219L109 132,452 3,295 X 28-5284 3295 19,898 495 X X 28-5284 495 LILLY ELI & CO COM 532457108 20,476,888 582,226 X 28-5284 561299 200 20727 12,848,691 365,331 X X 28-5284 334199 4304 26828 3,173,565 90,235 X 28-13605 58081 32154 738,605 21,001 X X 28-13605 20817 64 120 38,159 1,085 X 28-13663 843 242 487,527 13,862 X X 28-13663 13862 LIMITED BRANDS INC COM 532716107 22,096,149 672,024 X 28-5284 653055 18969 5,056,451 153,785 X X 28-5284 150318 8 3459 32,131,421 977,233 X 28-13605 900296 76937 6,403,347 194,749 X X 28-13605 185692 676 8381 87,921 2,674 X 28-13663 2674 29,592 900 X X 28-13663 900 LINCARE HLDGS INC COM 532791100 36,185 1,220 X 28-5284 1220 74,031 2,496 X X 28-5284 2496 LINCOLN EDL SVCS CORP COM 533535100 15,890 1,000 X 28-5284 1000 447,796 28,181 X 28-13605 28181 LINCOLN ELEC HLDGS INC COM 533900106 378,765 4,989 X 28-5284 3665 1324 4,158,442 54,774 X X 28-5284 54774 COLUMN TOTAL 112,366,659 FILE NO. 28-1235 PAGE 141 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ LINCOLN NATL CORP IND COM 534187109 662,142 22,042 X 28-5284 20251 1791 2,017,997 67,177 X X 28-5284 66100 1077 4,108,871 136,780 X 28-13605 127217 9563 LINDSAY CORP COM 535555106 11,853 150 X 28-5284 40 110 98,775 1,250 X X 28-5284 1000 250 LINEAR TECHNOLOGY CORP COM 535678106 12,458,503 370,458 X 28-5284 365241 5217 5,248,096 156,054 X X 28-5284 150894 5160 267,594 7,957 X 28-13605 1162 6795 115,115 3,423 X 28-13663 3400 23 199,594 5,935 X X 28-13663 5935 LIONS GATE ENTMNT CORP COM NEW 535919203 62,500 10,000 X 28-5284 10000 LINN ENERGY LLC UNIT LTD LIAB 536020100 19,270,233 494,997 X 28-5284 481275 13722 15,489,079 397,870 X X 28-5284 379647 1160 17063 1,902,704 48,875 X 28-13605 47277 1598 744,653 19,128 X X 28-13605 18959 59 110 143,301 3,681 X 28-13663 3681 LIQUIDITY SERVICES INC COM 53635B107 20,539 1,150 X X 28-5284 1150 1,064,385 59,596 X 28-13605 59596 6,412 359 X X 28-13605 359 201,362 11,274 X 28-13605 11274 LITHIA MTRS INC CL A 536797103 1,312 90 X 28-5284 90 LITTELFUSE INC COM 537008104 5,710 100 X X 28-5284 100 392,677 6,877 X 28-13605 6877 2,227 39 X X 28-13605 39 86,111 1,508 X 28-13605 1508 LIVE NATION ENTERTAINMENT IN COM 538034109 250 25 X 28-5284 25 170 17 X X 28-5284 17 LIVEPERSON INC COM 538146101 22,208 1,757 X 28-5284 1757 LIZ CLAIBORNE INC COM 539320101 8,500 1,577 X 28-5284 1577 18,811 3,490 X X 28-5284 3490 LLOYDS BANKING GROUP PLC SPONSORED ADR 539439109 25,534 6,901 X 28-5284 2311 4590 57,235 15,469 X X 28-5284 15469 COLUMN TOTAL 64,714,453 FILE NO. 28-1235 PAGE 142 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ LOCKHEED MARTIN CORP COM 539830109 7,584,775 94,338 X 28-5284 90745 3593 11,127,762 138,405 X X 28-5284 128123 1162 9120 818,392 10,179 X 28-13605 1486 8693 965 12 X X 28-13605 12 17,286 215 X X 28-13663 215 LOEWS CORP COM 540424108 1,713,474 39,765 X 28-5284 11459 28306 2,061,641 47,845 X X 28-5284 20224 21 27600 499,111 11,583 X 28-13605 2898 8685 3,189 74 X X 28-13605 74 5,559 129 X 28-13663 129 LOGMEIN INC COM 54142L109 2,024 48 X X 28-5284 48 LONGTOP FINL TECHNOLOGIES LT ADR 54318P108 5,656 180 X 28-5284 180 37,955 1,208 X X 28-5284 1208 LONGWEI PETROLEUM INV HLDG L COM 543354104 54,900 30,000 X 28-5284 30000 LORAL SPACE & COMMUNICATNS I COM 543881106 1,784 23 X 28-5284 23 LORILLARD INC COM 544147101 488,161 5,138 X 28-5284 4355 783 165,602 1,743 X X 28-5284 1717 26 584,121 6,148 X 28-13605 897 5251 4,180 44 X 28-13663 44 28,408 299 X X 28-13663 299 LOUISIANA PAC CORP COM 546347105 124,499 11,857 X 28-5284 2750 9107 18,869 1,797 X X 28-5284 1797 LOWES COS INC COM 548661107 13,136,926 497,046 X 28-5284 476955 20091 8,570,668 324,278 X X 28-5284 313836 2052 8390 7,149,341 270,501 X 28-13605 229351 41150 103,606 3,920 X X 28-13605 3920 141,453 5,352 X 28-13663 5100 252 102,707 3,886 X X 28-13663 3320 566 LUBRIZOL CORP COM 549271104 9,209,750 68,750 X 28-5284 66096 2654 4,228,983 31,569 X X 28-5284 30884 685 149,767 1,118 X 28-13663 1070 48 LUFKIN INDS INC COM 549764108 74,309 795 X 28-5284 515 280 103,845 1,111 X X 28-5284 111 1000 COLUMN TOTAL 68,319,668 FILE NO. 28-1235 PAGE 143 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ LULULEMON ATHLETICA INC COM 550021109 26,448 297 X 28-5284 275 22 24,756 278 X X 28-5284 278 LUMBER LIQUIDATORS HLDGS INC COM 55003T107 396,241 15,856 X 28-5284 15856 17,393 696 X 28-13663 696 LUXOTTICA GROUP S P A SPONSORED ADR 55068R202 376,151 11,475 X X 28-5284 3000 8475 LYDALL INC DEL COM 550819106 1,156 130 X 28-5284 130 M & F WORLDWIDE CORP COM 552541104 25 1 X X 28-5284 1 119,345 4,751 X 28-13605 4751 M & T BK CORP COM 55261F104 5,922,624 66,945 X 28-5284 65548 1397 4,545,412 51,378 X X 28-5284 51042 2 334 8,614,766 97,375 X 28-13605 66499 30876 1,360,226 15,375 X X 28-13605 15128 33 214 22,471 254 X 28-13663 254 53,082 600 X X 28-13663 600 MBIA INC COM 55262C100 12,660 1,261 X 28-5284 517 744 11,154 1,111 X X 28-5284 1094 17 171 17 X X 28-13605 17 MB FINANCIAL INC NEW COM 55264U108 314 15 X X 28-5284 15 334,626 15,965 X 28-13605 15965 M D C HLDGS INC COM 552676108 7,149 282 X 28-5284 282 21,573 851 X X 28-5284 251 600 MDU RES GROUP INC COM 552690109 165,430 7,202 X 28-5284 7002 200 5,806,357 252,780 X X 28-5284 240180 12600 MEMC ELECTR MATLS INC COM 552715104 156,907 12,107 X 28-5284 10465 1642 36,845 2,843 X X 28-5284 2843 185,639 14,324 X 28-13605 2092 12232 2,074 160 X 28-13663 160 MFA FINANCIAL INC COM 55272X102 65,600 8,000 X 28-5284 8000 MFS CHARTER INCOME TR SH BEN INT 552727109 113,793 12,450 X 28-5284 12450 COLUMN TOTAL 28,400,388 FILE NO. 28-1235 PAGE 144 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MFS INTER INCOME TR SH BEN INT 55273C107 33,048 5,400 X 28-5284 5400 5,508 900 X X 28-5284 900 MFS MUN INCOME TR SH BEN INT 552738106 42,813 6,700 X 28-5284 6700 268,700 42,050 X X 28-5284 41550 500 MF GLOBAL HLDGS LTD COM 55277J108 1,697 205 X 28-5284 205 168,084 20,300 X X 28-5284 20300 MGE ENERGY INC COM 55277P104 80,980 2,000 X X 28-5284 1400 600 MELA SCIENCES INC COM 55277R100 1,760 500 X 28-5284 500 MGIC INVT CORP WIS COM 552848103 2,694 303 X 28-5284 303 1,334 150 X X 28-5284 150 MFS GOVT MKTS INCOME TR SH BEN INT 552939100 518 81 X X 28-5284 81 MGM RESORTS INTERNATIONAL COM 552953101 2,461,641 187,197 X 28-5284 187197 16,372 1,245 X X 28-5284 1245 MI DEVS INC CL A SUB VTG 55304X104 7,245 250 X X 28-5284 250 MKS INSTRUMENT INC COM 55306N104 23,310 700 X X 28-5284 700 MLP & STRATEGIC EQUITY FD IN COM 55312N106 18,800 1,000 X 28-5284 1000 MPG OFFICE TR INC COM 553274101 3,710 1,000 X X 28-5284 1000 MSC INDL DIRECT INC CL A 553530106 24,033 351 X X 28-5284 351 MSCI INC CL A 55354G100 33,138 900 X X 28-5284 900 MTS SYS CORP COM 553777103 132,095 2,900 X 28-5284 2900 860,440 18,890 X X 28-5284 18890 MV OIL TR TR UNITS 553859109 3,898 100 X X 28-5284 100 MWI VETERINARY SUPPLY INC COM 55402X105 61,640 764 X 28-5284 764 879,654 10,903 X 28-13605 10903 5,325 66 X X 28-13605 66 169,270 2,098 X 28-13605 2098 MYR GROUP INC DEL COM 55405W104 89,700 3,750 X 28-5284 3750 COLUMN TOTAL 5,397,407 FILE NO. 28-1235 PAGE 145 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MACERICH CO COM 554382101 34,671 700 X 28-5284 700 43,785 884 X X 28-5284 884 MACK CALI RLTY CORP COM 554489104 9,424 278 X 28-5284 278 218,418 6,443 X X 28-5284 5443 1000 MACKINAC FINL CORP COM 554571109 150,500 25,000 X X 28-5284 25000 MACQUARIE FT TR GB INF UT DI COM 55607W100 31,498 1,986 X X 28-5284 1986 MACQUARIE INFRASTR CO LLC MEMBERSHIP INT 55608B105 78,738 3,300 X 28-5284 3300 85,896 3,600 X X 28-5284 3600 202,476 8,486 X 28-13605 8486 MACQUARIE GLBL INFRA TOTL RE COM 55608D101 17,327 951 X 28-5284 951 55 3 X X 28-5284 3 MACYS INC COM 55616P104 822,511 33,904 X 28-5284 27919 5985 989,541 40,789 X X 28-5284 25496 15 15278 358,611 14,782 X 28-13605 2158 12624 364 15 X X 28-13605 15 9,073 374 X 28-13663 374 MADDEN STEVEN LTD COM 556269108 10,184 217 X 28-5284 217 51,623 1,100 X X 28-5284 100 1000 81,236 1,731 X 28-13605 1731 MADISON SQUARE GARDEN INC CL A 55826P100 91,334 3,384 X 28-5284 3384 42,644 1,580 X X 28-5284 780 800 706,625 26,181 X 28-13605 26181 4,507 167 X X 28-13605 167 MAG SILVER CORP COM 55903Q104 894,750 75,000 X 28-5284 75000 2,714,075 227,500 X X 28-5284 227500 MAGELLAN HEALTH SVCS INC COM NEW 559079207 88,148 1,796 X 28-13605 1796 MAGELLAN MIDSTREAM PRTNRS LP COM UNIT RP LP 559080106 2,628,093 43,904 X 28-5284 43704 200 2,031,768 33,942 X X 28-5284 27817 3400 2725 14,965 250 X 28-13663 250 23,944 400 X X 28-13663 400 MAGMA DESIGN AUTOMATION COM 559181102 185,934 27,263 X 28-13605 27263 COLUMN TOTAL 12,622,718 FILE NO. 28-1235 PAGE 146 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MAGNA INTL INC COM 559222401 9,582 200 X 28-5284 200 14,373 300 X X 28-5284 300 MAKITA CORP ADR NEW 560877300 6,001 128 X 28-5284 20 108 369,180 7,875 X X 28-5284 7875 MAKO SURGICAL CORP COM 560879108 1,206 50 X X 28-5284 50 MALAYSIA FD INC COM 560905101 60,380 5,255 X X 28-5284 5255 MANHATTAN ASSOCS INC COM 562750109 55,953 1,709 X 28-5284 1519 190 MANITOWOC INC COM 563571108 128,239 5,861 X 28-5284 5501 360 428,410 19,580 X X 28-5284 1281 27 18272 591 27 X X 28-13605 27 MANNKIND CORP COM 56400P201 7,280 2,000 X 28-5284 2000 MANPOWER INC COM 56418H100 55,586 884 X 28-5284 884 65,710 1,045 X X 28-5284 1045 MANULIFE FINL CORP COM 56501R106 1,523,463 86,120 X 28-5284 86120 1,096,798 62,001 X X 28-5284 57001 5000 MAP PHARMACEUTICALS INC COM 56509R108 12,466 904 X 904 MARATHON OIL CORP COM 565849106 28,709,887 538,546 X 28-5284 523183 15363 11,504,938 215,812 X X 28-5284 188782 25 27005 1,383,928 25,960 X 28-13605 3795 22165 1,333 25 X X 28-13605 25 295,337 5,540 X 28-13663 5221 319 94,199 1,767 X X 28-13663 1767 MARINE PETE TR UNIT BEN INT 568423107 11,500 500 X 28-5284 500 MARINE PRODS CORP COM 568427108 21,411 2,700 X 28-5284 2700 MARKEL CORP COM 570535104 74,187 179 X 28-5284 129 50 480,348 1,159 X X 28-5284 599 560 MARKETAXESS HLDGS INC COM 57060D108 138,585 5,729 X 28-13605 5729 MARKET VECTORS ETF TR GOLD MINER ETF 57060U100 536,813 8,932 X 28-5284 3932 5000 3,551,670 59,096 X X 28-5284 55703 2953 440 240,400 4,000 X X 28-13663 4000 COLUMN TOTAL 50,879,754 FILE NO. 28-1235 PAGE 147 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MARKET VECTORS ETF TR GBL ALTER ENRG 57060U407 241,769 10,660 X X 28-5284 10660 MARKET VECTORS ETF TR RUSSIA ETF 57060U506 41,630 1,000 X 28-5284 1000 2,082 50 X X 28-5284 50 MARKET VECTORS ETF TR JR GOLD MINERS 57060U589 53,731 1,370 X 28-5284 1370 295,052 7,523 X X 28-5284 7523 MARKET VECTORS ETF TR AGRIBUS ETF 57060U605 235,424 4,201 X 28-5284 4201 523,358 9,339 X X 28-5284 7688 1651 MARKET VECTORS ETF TR BRAZL SMCP ETF 57060U613 146,595 2,585 X 28-5284 2585 64,820 1,143 X X 28-5284 1143 MARKET VECTORS ETF TR URAN NUCLR ENR 57060U704 92,040 4,000 X 28-5284 4000 79,868 3,471 X X 28-5284 3471 MARKET VECTORS ETF TR INDONESIA ETF 57060U753 59,880 2,000 X 28-5284 2000 18,503 618 X X 28-5284 618 MARKET VECTORS ETF TR VIETNAM ETF 57060U761 13,360 563 X 28-5284 563 14,238 600 X X 28-5284 600 MARKET VECTORS ETF TR RVE HARD ETF 57060U795 31,073 732 X X 28-5284 732 MARKET VECTORS ETF TR SOLAR ENRG ETF 57060U811 812 60 X 28-5284 60 MARKET VECTORS ETF TR GAMING ETF 57060U829 128,840 4,000 X 28-5284 4000 MARKET VECTORS ETF TR COAL ETF 57060U837 165,956 3,272 X 28-5284 3272 58,328 1,150 X X 28-5284 1000 150 MARKWEST ENERGY PARTNERS L P UNIT LTD PARTN 570759100 339,290 7,000 X 28-5284 7000 180,551 3,725 X X 28-5284 3725 105,616 2,179 X 28-13605 2179 MARSH & MCLENNAN COS INC COM 571748102 5,110,865 171,448 X 28-5284 169855 1593 3,128,381 104,944 X X 28-5284 104910 34 571,637 19,176 X 28-13605 2799 16377 1,014 34 X X 28-13605 34 2,892 97 X 28-13663 97 83,468 2,800 X X 28-13663 2800 COLUMN TOTAL 11,791,073 FILE NO. 28-1235 PAGE 148 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MARSHALL & ILSLEY CORP NEW COM 571837103 308,590 38,622 X 28-5284 34065 4557 61,355 7,679 X X 28-5284 3638 41 4000 151,458 18,956 X 28-13605 2768 16188 328 41 X X 28-13605 41 5,042 631 X X 28-13663 631 MARRIOTT INTL INC NEW CL A 571903202 4,451,236 125,105 X 28-5284 122877 2228 2,945,312 82,780 X X 28-5284 82454 26 300 366,830 10,310 X 28-13605 1506 8804 925 26 X X 28-13605 26 145,593 4,092 X 28-13663 4042 50 56,928 1,600 X X 28-13663 1600 MARTHA STEWART LIVING OMNIME CL A 573083102 371 100 X X 28-5284 100 1,855 500 X 28-13663 500 MARTIN MARIETTA MATLS INC COM 573284106 114,329 1,275 X 28-5284 1275 522,866 5,831 X X 28-5284 5831 MARTIN MIDSTREAM PRTNRS L P UNIT L P INT 573331105 20,020 500 X 28-5284 500 40,040 1,000 X X 28-5284 1000 MASCO CORP COM 574599106 392,015 28,162 X 28-5284 26541 1621 585,587 42,068 X X 28-5284 40841 1027 200 134,384 9,654 X 28-13605 1412 8242 376 27 X X 28-13605 27 MASIMO CORP COM 574795100 6,620 200 X 28-5284 200 256,525 7,750 X X 28-5284 7750 MASSEY ENERGY COMPANY COM 576206106 51,612 755 X 28-5284 234 521 294,153 4,303 X X 28-5284 4228 75 252,385 3,692 X 28-13605 539 3153 2,393 35 X 28-13663 35 MASTEC INC COM 576323109 427,315 20,544 X 28-13605 20544 MASTERCARD INC CL A 57636Q104 12,686,185 50,398 X 28-5284 46268 4130 10,335,875 41,061 X X 28-5284 39359 527 1175 4,081,892 16,216 X 28-13605 13192 3024 503 2 X X 28-13605 2 130,391 518 X 28-13663 506 12 61,923 246 X X 28-13663 246 COLUMN TOTAL 38,893,212 FILE NO. 28-1235 PAGE 149 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MATERION CORP COM 576690101 622,730 15,263 X 28-5284 15263 81,600 2,000 X X 28-5284 2000 MATTEL INC COM 577081102 20,739,591 831,913 X 28-5284 812487 19426 4,269,985 171,279 X X 28-5284 165346 13 5920 20,662,807 828,833 X 28-13605 799782 29051 4,513,626 181,052 X X 28-13605 170985 732 9335 92,515 3,711 X 28-13663 3311 400 218,063 8,747 X X 28-13663 8747 MATTHEWS INTL CORP CL A 577128101 70,354 1,825 X 28-5284 1825 117,616 3,051 X X 28-5284 3051 MATTSON TECHNOLOGY INC COM 577223100 559 229 X 28-5284 229 MAXIM INTEGRATED PRODS INC COM 57772K101 714,880 27,925 X 28-5284 17565 10360 386,150 15,084 X X 28-5284 4670 10414 MAXLINEAR INC CL A 57776J100 1,634 200 X 28-5284 200 MAXWELL TECHNOLOGIES INC COM 577767106 34,580 2,000 X X 28-5284 2000 MAXIMUS INC COM 577933104 12,176 150 X 28-5284 150 MCCORMICK & CO INC COM VTG 579780107 326,515 6,874 X X 28-5284 6874 MCCORMICK & CO INC COM NON VTG 579780206 11,834,816 247,435 X 28-5284 243759 3676 9,578,244 200,256 X X 28-5284 190406 300 9550 275,118 5,752 X 28-13605 841 4911 13,058 273 X 28-13663 199 74 71,362 1,492 X X 28-13663 1492 MCCORMICK & SCHMICKS SEAFD R COM 579793100 451 62 X X 28-5284 62 MCDERMOTT INTL INC COM 580037109 55,401 2,182 X 28-5284 2024 158 101,560 4,000 X X 28-5284 4000 MCDONALDS CORP COM 580135101 146,615,843 1,926,874 X 28-5284 1892354 34520 111,301,941 1,462,767 X X 28-5284 1384060 4246 74461 9,513,228 125,026 X 28-13605 91090 33936 1,287,671 16,923 X X 28-13605 16861 22 40 1,014,888 13,338 X 28-13663 12278 1060 1,620,337 21,295 X X 28-13663 20451 844 COLUMN TOTAL 346,149,299 FILE NO. 28-1235 PAGE 150 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MCG CAPITAL CORP COM 58047P107 26,072 4,000 X X 28-5284 4000 MCGRAW HILL COS INC COM 580645109 14,270,641 362,199 X 28-5284 359241 2958 15,673,556 397,806 X X 28-5284 371596 26210 454,479 11,535 X 28-13605 1549 9986 160,200 4,066 X 28-13663 4041 25 123,952 3,146 X X 28-13663 3146 MCKESSON CORP COM 58155Q103 7,549,433 95,502 X 28-5284 93757 1745 3,056,468 38,665 X X 28-5284 38178 12 475 699,434 8,848 X 28-13605 1292 7556 949 12 X X 28-13605 12 110,828 1,402 X 28-13663 1310 92 234,779 2,970 X X 28-13663 2970 MCMORAN EXPLORATION CO COM 582411104 180,642 10,200 X 28-5284 10200 53,130 3,000 X X 28-5284 1000 2000 MEAD JOHNSON NUTRITION CO COM 582839106 311,084 5,370 X 28-5284 4940 430 348,275 6,012 X X 28-5284 5682 330 417,617 7,209 X 28-13605 1053 6156 3,302 57 X 28-13663 57 MEADOWBROOK INS GROUP INC COM 58319P108 222,494 21,497 X 28-13605 21497 MEADWESTVACO CORP COM 583334107 953,060 31,423 X 28-5284 29333 2090 310,913 10,251 X X 28-5284 10251 184,892 6,096 X 28-13605 889 5207 1,213 40 X 28-13663 40 6,157 203 X X 28-13663 203 MECHEL OAO SPONSORED ADR 583840103 1,324 43 X 28-5284 43 MEDASSETS INC COM 584045108 5,700 374 X 28-5284 374 176,296 11,568 X X 28-5284 68 11500 MEDCO HEALTH SOLUTIONS INC COM 58405U102 33,938,443 604,317 X 28-5284 598735 5582 37,624,841 669,958 X X 28-5284 621951 10538 37469 3,958,887 70,493 X 28-13605 56885 13608 441,979 7,870 X X 28-13605 7870 275,746 4,910 X 28-13663 4810 100 53,801 958 X X 28-13663 717 241 COLUMN TOTAL 121,830,587 FILE NO. 28-1235 PAGE 151 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MEDIA GEN INC CL A 584404107 6,880 1,000 X X 28-5284 1000 MEDICAL PPTYS TRUST INC COM 58463J304 40,102 3,466 X 28-5284 3466 46,280 4,000 X X 28-5284 4000 MEDICIS PHARMACEUTICAL CORP CL A NEW 584690309 26,593 830 X 28-5284 830 67,124 2,095 X X 28-5284 2095 239,595 7,478 X 28-13605 7478 MEDIFAST INC COM 58470H101 9,875 500 X X 28-5284 500 MEDIDATA SOLUTIONS INC COM 58471A105 8,438 330 X 28-5284 330 1,560 61 X X 28-5284 61 MEDNAX INC COM 58502B106 15,920 239 X 28-5284 239 178,115 2,674 X X 28-5284 424 2250 152,004 2,282 X 28-13605 2282 866 13 X X 28-13605 13 3,997 60 X 28-13663 60 MEDTRONIC INC NOTE 1.500% 4 585055AL0 155,100,000 1,551,000 X 28-5284 1551000 MEDTRONIC INC NOTE 1.625% 4 585055AM8 412,000 4,000 X 28-5284 4000 206,000 2,000 X X 28-5284 2000 MEDTRONIC INC COM 585055106 20,493,008 520,788 X 28-5284 509031 11757 15,988,023 406,303 X X 28-5284 371905 3746 30652 1,487,509 37,802 X 28-13605 5522 32280 1,810 46 X X 28-13605 46 66,344 1,686 X 28-13663 1469 217 17,314 440 X X 28-13663 440 MELCO CROWN ENTMT LTD ADR 585464100 5,639 742 X 28-5284 742 MENS WEARHOUSE INC COM 587118100 102,016 3,770 X 28-5284 3770 192,667 7,120 X X 28-5284 7120 MENTOR GRAPHICS CORP COM 587200106 2,224 152 X X 28-5284 152 342,415 23,405 X 28-13605 23405 MERCADOLIBRE INC COM 58733R102 103,752 1,271 X 28-5284 1179 92 39,917 489 X X 28-5284 489 269,216 3,298 X 28-13605 3298 COLUMN TOTAL 195,627,203 FILE NO. 28-1235 PAGE 152 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MERCER INTL INC COM 588056101 176,150 13,000 X X 28-5284 13000 MERCHANTS BANCSHARES COM 588448100 26,480 1,000 X X 28-5284 1000 MERCK & CO INC NEW COM 58933Y105 101,810,894 3,084,244 X 28-5284 3034218 50026 144,652,494 4,382,081 X X 28-5284 4109744 26955 245382 32,476,922 983,851 X 28-13605 799377 184474 4,414,262 133,725 X X 28-13605 128843 434 4448 175,910 5,329 X 28-13663 4690 639 950,820 28,804 X X 28-13663 27948 856 MERCURY COMPUTER SYS COM 589378108 4,655 220 X 28-5284 220 MERCURY GENL CORP NEW COM 589400100 93,912 2,400 X 28-5284 2400 4,422 113 X X 28-5284 113 MEREDITH CORP COM 589433101 62,006 1,828 X 28-5284 1739 89 11,397 336 X X 28-5284 260 76 MERGE HEALTHCARE INC COM 589499102 6,088 1,250 X 28-5284 1250 MERIDIAN BIOSCIENCE INC COM 589584101 92,362 3,850 X X 28-5284 1400 2450 MERITAGE HOMES CORP COM 59001A102 4,343 180 X 28-5284 180 MERU NETWORKS INC COM 59047Q103 288,158 14,188 X 28-5284 14188 833 41 X X 28-5284 41 12,633 622 X 28-13663 622 MESA LABS INC COM 59064R109 28,760 1,000 X X 28-5284 1000 METHANEX CORP COM 59151K108 15,615 500 X 28-5284 500 METHODE ELECTRS INC COM 591520200 3,866 320 X 28-5284 320 METLIFE INC COM 59156R108 20,049,909 448,243 X 28-5284 429678 18565 8,900,823 198,990 X X 28-5284 190874 121 7995 3,332,474 74,502 X 28-13605 40896 33606 640,042 14,309 X X 28-13605 14183 44 82 391,611 8,755 X 28-13663 5779 2976 66,648 1,490 X X 28-13663 1242 248 COLUMN TOTAL 318,694,489 FILE NO. 28-1235 PAGE 153 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ METROPCS COMMUNICATIONS INC COM 591708102 312,588 19,248 X 28-5284 14548 4700 52,666 3,243 X X 28-5284 3243 4,281,319 263,628 X 28-13605 153917 109711 295,259 18,181 X X 28-13605 17586 595 75,825 4,669 X X 28-13663 4000 669 METROPOLITAN HEALTH NETWORKS COM 592142103 84,889 17,947 X 28-13605 17947 METTLER TOLEDO INTERNATIONAL COM 592688105 32,164 187 X 28-5284 187 149,812 871 X X 28-5284 871 MFS HIGH YIELD MUN TR SH BEN INT 59318E102 51,585 12,224 X X 28-5284 12224 MICROS SYS INC COM 594901100 81,213 1,643 X X 28-5284 1643 MICROSOFT CORP COM 594918104 166,308,156 6,550,144 X 28-5284 6233744 316400 103,143,143 4,062,353 X X 28-5284 3778834 10541 272978 56,056,144 2,207,804 X 28-13605 1898116 309688 9,462,117 372,671 X X 28-13605 354313 1187 17171 1,047,439 41,254 X 28-13663 36191 5063 1,013,366 39,912 X X 28-13663 38102 1810 MICROSTRATEGY INC CL A NEW 594972408 14,255 106 X 28-5284 100 6 MICROCHIP TECHNOLOGY INC COM 595017104 1,197,353 31,501 X 28-5284 22591 8910 1,128,669 29,694 X X 28-5284 21040 17 8637 255,313 6,717 X 28-13605 980 5737 646 17 X X 28-13605 17 MICRON TECHNOLOGY INC COM 595112103 11,998 1,046 X 28-5284 1000 46 68,373 5,961 X X 28-5284 5961 348,241 30,361 X 28-13605 4440 25921 MICROSEMI CORP COM 595137100 15,947 770 X 28-5284 770 MID-AMER APT CMNTYS INC COM 59522J103 3,210 50 X X 28-5284 50 MID PENN BANCORP INC COM 59540G107 7,316 823 X X 28-5284 823 MIDAS GROUP INC COM 595626102 1,074 140 X 28-5284 140 MIDDLEBURG FINANCIAL CORP COM 596094102 537,825 30,300 X X 28-5284 30300 COLUMN TOTAL 346,037,905 FILE NO. 28-1235 PAGE 154 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MIDDLEBY CORP COM 596278101 65,184 700 X X 28-5284 700 MIDDLESEX WATER CO COM 596680108 52,824 2,904 X 28-5284 2904 115,197 6,333 X X 28-5284 6333 MILLER HERMAN INC COM 600544100 133,052 4,840 X 28-5284 4840 7,890 287 X X 28-5284 287 MINDRAY MEDICAL INTL LTD SPON ADR 602675100 714,773 28,364 X 28-5284 100 28264 86,713 3,441 X X 28-5284 461 2980 20,185 801 X 28-13663 801 MINE SAFETY APPLIANCES CO COM 602720104 1,825,469 49,781 X 28-5284 49781 50,654,508 1,381,361 X X 28-5284 17592 1363769 MINERALS TECHNOLOGIES INC COM 603158106 13,841 202 X X 28-5284 202 318,687 4,651 X 28-13605 4651 MIPS TECHNOLOGIES INC COM 604567107 232,144 22,130 X 28-13605 22130 MISSION WEST PPTYS INC COM 605203108 16,350 2,500 X X 28-5284 2500 MITSUBISHI UFJ FINL GROUP IN SPONSORED ADR 606822104 39,707 8,632 X 28-5284 5848 2784 24,513 5,329 X X 28-5284 5329 MITSUI & CO LTD ADR 606827202 1,061,141 2,955 X 28-5284 5 2950 434,511 1,210 X X 28-5284 1210 32,319 90 X 28-13663 90 MIZUHO FINL GROUP INC SPONSORED ADR 60687Y109 6,922 2,085 X 28-5284 2085 MOBILE MINI INC COM 60740F105 152,047 6,330 X 28-5284 6330 MODINE MFG CO COM 607828100 49,921 3,093 X 28-5284 3093 MOHAWK INDS INC COM 608190104 194,090 3,174 X 28-5284 3174 23,359 382 X X 28-5284 382 MOLEX INC COM 608554101 154,161 6,137 X 28-5284 60 6077 65,237 2,597 X X 28-5284 2391 6 200 186,591 7,428 X 28-13605 1085 6343 151 6 X X 28-13605 6 7,611 303 X X 28-13663 303 COLUMN TOTAL 56,689,098 FILE NO. 28-1235 PAGE 155 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MOLEX INC CL A 608554200 236,197 11,416 X 28-5284 2646 8770 439,911 21,262 X X 28-5284 8442 1500 11320 MOLSON COORS BREWING CO NOTE 2.500% 7 60871RAA8 348,375 3,000 X 28-5284 3000 929,000 8,000 X X 28-5284 8000 MOLSON COORS BREWING CO CL B 60871R209 788,033 16,806 X 28-5284 15919 887 343,891 7,334 X X 28-5284 7130 4 200 1,382,223 29,478 X 28-13605 24788 4690 113,943 2,430 X X 28-13605 2430 281 6 X 28-13663 6 MOLYCORP INC DEL COM 608753109 14,405 240 X 28-5284 240 MONEYGRAM INTL INC COM 60935Y109 6,524 1,902 X 28-5284 1902 MONOLITHIC PWR SYS INC COM 609839105 525 37 X X 28-5284 37 1,326,481 93,480 X 28-13605 93480 7,790 549 X X 28-13605 549 284,072 20,020 X 28-13605 20020 MONRO MUFFLER BRAKE INC COM 610236101 2,506 76 X 28-5284 76 71,567 2,170 X X 28-5284 2170 MONSANTO CO NEW COM 61166W101 16,986,881 235,080 X 28-5284 223665 11415 29,908,775 413,905 X X 28-5284 127175 1002 285728 1,337,460 18,509 X 28-13605 2702 15807 65,540 907 X 28-13663 100 807 MONSTER WORLDWIDE INC COM 611742107 29,351 1,846 X 28-5284 1480 366 17,299 1,088 X X 28-5284 1088 70,723 4,448 X 28-13605 650 3798 MOODYS CORP COM 615369105 1,914,050 56,445 X 28-5284 54597 1848 2,241,858 66,112 X X 28-5284 60056 556 5500 311,056 9,173 X 28-13605 1339 7834 18,854 556 X X 28-13605 556 2,611 77 X 28-13663 77 MOOG INC CL A 615394202 9,917 216 X 28-5284 216 200,948 4,377 X X 28-5284 47 4330 MORGAN STANLEY EASTN EUR FD COM 616988101 19,510 1,000 X X 28-5284 1000 COLUMN TOTAL 59,430,557 FILE NO. 28-1235 PAGE 156 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MORGAN STANLEY ASIA PAC FD I COM 61744U106 45,769 2,686 X X 28-5284 2686 MORGAN STANLEY COM NEW 617446448 5,491,265 200,998 X 28-5284 188813 12185 5,477,523 200,495 X X 28-5284 197811 459 2225 3,581,652 131,100 X 28-13605 84514 46586 12,540 459 X X 28-13605 459 16,501 604 X 28-13663 334 270 120,399 4,407 X X 28-13663 3820 587 MORGAN STANLEY CHINA A SH FD COM 617468103 16,985 591 X X 28-5284 591 MORNINGSTAR INC COM 617700109 514,795 8,818 X 28-5284 24 8794 80,331 1,376 X X 28-5284 1176 200 22,593 387 X 28-13663 387 MOSAIC CO COM 61945A107 3,198,510 40,616 X 28-5284 40491 125 1,044,461 13,263 X X 28-5284 10763 2500 4,528,361 57,503 X 28-13605 56957 546 648,270 8,232 X X 28-13605 8232 47,250 600 X X 28-13663 600 MOTOROLA SOLUTIONS INC COM NEW 620076307 1,660,144 37,148 X 28-5284 35534 1614 1,656,435 37,065 X X 28-5284 36656 11 398 517,734 11,585 X 28-13605 1694 9891 492 11 X X 28-13605 11 5,318 119 X 28-13663 119 MOTOROLA MOBILITY HLDGS INC COM 620097105 810,958 33,236 X 28-5284 31384 1852 781,532 32,030 X X 28-5284 31674 9 347 244,537 10,022 X 28-13605 1461 8561 220 9 X X 28-13605 9 878 36 X 28-13663 36 MOTRICITY INC COM 620107102 54,379 3,618 X 28-5284 3618 1,503 100 X X 28-5284 100 MUELLER INDS INC COM 624756102 12,085 330 X 28-5284 330 54,930 1,500 X X 28-5284 1500 MULTI COLOR CORP COM 625383104 55,719 2,757 X 28-5284 2657 100 COLUMN TOTAL 30,704,069 FILE NO. 28-1235 PAGE 157 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ MURPHY OIL CORP COM 626717102 1,507,019 20,526 X 28-5284 19704 822 2,232,849 30,412 X X 28-5284 30100 12 300 576,641 7,854 X 28-13605 1147 6707 881 12 X X 28-13605 12 3,451 47 X 28-13663 47 15,492 211 X X 28-13663 211 MYERS INDS INC COM 628464109 21,002 2,115 X 28-5284 1857 258 2,529,012 254,684 X X 28-5284 1663 253021 MYLAN INC COM 628530107 317,648 14,018 X 28-5284 10425 3593 339,356 14,976 X X 28-5284 10948 1430 2598 328,139 14,481 X 28-13605 2115 12366 680 30 X X 28-13605 30 7,750 342 X 28-13663 342 4,532 200 X X 28-13663 200 MYRIAD GENETICS INC COM 62855J104 15,133 751 X 28-5284 751 11,405 566 X X 28-5284 566 MYREXIS INC COM 62856H107 963 250 X 28-5284 250 NBT BANCORP INC COM 628778102 286,561 12,574 X 28-5284 12574 156,978 6,888 X X 28-5284 6888 NCR CORP NEW COM 62886E108 34,119 1,811 X 28-5284 1483 328 63,886 3,391 X X 28-5284 3104 91 196 1,714 91 X X 28-13605 91 NII HLDGS INC CL B NEW 62913F201 434,160 10,419 X 28-5284 10419 251,270 6,030 X X 28-5284 5030 1000 NIVS INTELLIMEDIA TECH GP IN COM 62914U108 5,000 50,000 X 28-5284 50000 NRG ENERGY INC COM NEW 629377508 49,413 2,294 X 28-5284 1308 986 47,366 2,199 X X 28-5284 2199 1,749,371 81,215 X 28-13605 73617 7598 NTT DOCOMO INC SPONS ADR 62942M201 1,636 93 X 28-5284 93 8,443 480 X X 28-5284 480 NVR INC COM 62944T105 8,316 11 X 28-5284 11 35,532 47 X X 28-5284 47 COLUMN TOTAL 11,045,718 FILE NO. 28-1235 PAGE 158 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NYSE EURONEXT COM 629491101 11,956,182 339,954 X 28-5284 326122 13832 3,091,232 87,894 X X 28-5284 86118 3 1773 327,820 9,321 X 28-13605 1360 7961 106 3 X X 28-13605 3 30,985 881 X 28-13663 290 591 166,108 4,723 X X 28-13663 4723 974,948 27,721 X 27721 NABORS INDS INC NOTE 0.940% 5 629568AP1 74,625,000 750,000 X 28-5284 750000 NACCO INDS INC CL A 629579103 11,817,896 106,785 X X 28-5284 76785 30000 NALCO HOLDING COMPANY COM 62985Q101 48,967 1,793 X 28-5284 1793 72,153 2,642 X X 28-5284 2642 NAM TAI ELECTRS INC COM PAR $0.02 629865205 4,515 700 X X 28-5284 700 NANOMETRICS INC COM 630077105 2,008 111 X 28-5284 111 NASDAQ PREM INCM & GRW FD IN COM 63110R105 20,349 1,389 X 28-5284 1389 46,865 3,199 X X 28-5284 3199 NASDAQ OMX GROUP INC COM 631103108 22,739 880 X 28-5284 465 415 31,809 1,231 X X 28-5284 1231 174,110 6,738 X 28-13605 983 5755 NASH FINCH CO COM 631158102 4,173 110 X 28-5284 110 89,311 2,354 X 28-13605 2354 NATIONAL AMERN UNIV HLDGS IN COM 63245Q105 13,471 1,900 X 28-5284 1900 224,831 31,711 X X 28-5284 22986 8725 NATIONAL BK GREECE S A SPONSORED ADR 633643408 177 100 X 28-5284 100 1,241 701 X X 28-5284 701 NATIONAL FUEL GAS CO N J COM 636180101 2,327,892 31,458 X 28-5284 30576 882 831,982 11,243 X X 28-5284 10543 700 NATIONAL GRID PLC SPON ADR NEW 636274300 162,135 3,375 X 28-5284 3300 75 127,931 2,663 X X 28-5284 2523 140 NATIONAL HEALTH INVS INC COM 63633D104 27,458 573 X 28-5284 573 28,752 600 X X 28-5284 600 158,471 3,307 X 28-13605 3307 COLUMN TOTAL 107,411,617 FILE NO. 28-1235 PAGE 159 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NATIONAL INSTRS CORP COM 636518102 554,141 16,910 X 28-5284 1460 15450 364,894 11,135 X X 28-5284 1085 10050 NATIONAL OILWELL VARCO INC COM 637071101 50,794,948 640,784 X 28-5284 620412 20372 10,562,410 133,246 X X 28-5284 123409 19 9818 55,725,542 702,984 X 28-13605 627907 75077 10,452,621 131,861 X X 28-13605 125599 466 5796 590,720 7,452 X 28-13663 7375 77 300,275 3,788 X X 28-13663 3706 82 NATIONAL PENN BANCSHARES INC COM 637138108 74,141 9,579 X 28-5284 9579 36,014 4,653 X X 28-5284 4343 310 NATIONAL PRESTO INDS INC COM 637215104 40,001 355 X 28-5284 300 55 11,268 100 X X 28-5284 100 NATIONAL RESEARCH CORP COM 637372103 296,771 8,744 X 28-13605 8744 NATIONAL RETAIL PROPERTIES I COM 637417106 40,449 1,548 X 28-5284 1548 31,356 1,200 X X 28-5284 1200 101,985 3,903 X 28-13605 3903 NATIONAL SEMICONDUCTOR CORP COM 637640103 12,691 885 X 28-5284 498 387 42,074 2,934 X X 28-5284 2909 25 127,870 8,917 X 28-13605 1304 7613 359 25 X X 28-13605 25 1,477 103 X 28-13663 103 NATIONAL WESTMINSTER BK PLC SPON ADR C 638539882 22,838 950 X 28-5284 950 NATIONWIDE HEALTH PPTYS INC COM 638620104 147,792 3,475 X 28-5284 3475 426,321 10,024 X X 28-5284 5060 4964 NATURAL RESOURCE PARTNERS L COM UNIT L P 63900P103 889,025 25,350 X 28-5284 25350 1,190,100 33,935 X X 28-5284 31535 2400 NATUS MEDICAL INC DEL COM 639050103 8,400 500 X X 28-5284 500 NAVISTAR INTL CORP NEW COM 63934E108 121,535 1,753 X 28-5284 1753 219,083 3,160 X X 28-5284 3160 NAVIGANT CONSULTING INC COM 63935N107 5,694 570 X 28-5284 570 COLUMN TOTAL 133,192,795 FILE NO. 28-1235 PAGE 160 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NEENAH PAPER INC COM 640079109 1,186 54 X 28-5284 54 NEKTAR THERAPEUTICS COM 640268108 9,887 1,044 X 28-5284 1044 28,410 3,000 X X 28-5284 3000 NELNET INC CL A 64031N108 176,430 8,082 X 28-13605 8082 NEOGEN CORP COM 640491106 1,159 28 X 28-5284 28 786 19 X X 28-5284 19 101,836 2,461 X 28-13605 2461 NESS TECHNOLOGIES INC COM 64104X108 17,920 2,800 X X 28-5284 2800 NET 1 UEPS TECHNOLOGIES INC COM NEW 64107N206 96,096 11,174 X X 28-5284 11174 NETAPP INC COM 64110D104 2,645,299 54,941 X 28-5284 38483 16458 1,133,500 23,542 X X 28-5284 19174 113 4255 3,801,092 78,946 X 28-13605 67349 11597 458,128 9,515 X X 28-13605 9515 57,922 1,203 X 28-13663 1203 13,674 284 X X 28-13663 284 NETFLIX INC COM 64110L106 315,296 1,326 X 28-5284 416 910 584,939 2,460 X X 28-5284 2360 100 372,126 1,565 X 28-13605 215 1350 NETGEAR INC COM 64111Q104 501,230 15,451 X 28-5284 71 15380 81,100 2,500 X X 28-5284 2500 21,897 675 X 28-13663 675 NETSCOUT SYS INC COM 64115T104 183,099 6,702 X 28-13605 6702 NETLOGIC MICROSYSTEMS INC COM 64118B100 13,026 310 X 28-5284 183 127 1,429 34 X X 28-5284 34 NETSUITE INC COM 64118Q107 2,908 100 X X 28-5284 100 NETWORK EQUIP TECHNOLOGIES COM 641208103 792 210 X 28-5284 210 NEUSTAR INC CL A 64126X201 15,399 602 X X 28-5284 602 NEUTRAL TANDEM INC COM 64128B108 1,475 100 X 28-5284 100 COLUMN TOTAL 10,638,041 FILE NO. 28-1235 PAGE 161 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NEUBERGER BERMAN HGH YLD FD COM 64128C106 43,179 2,994 X 28-5284 2994 NEUBERGER BERMAN RE ES SEC F COM 64190A103 7,294 1,766 X X 28-5284 1766 NEW GERMANY FD INC COM 644465106 7,630 440 X X 28-5284 440 NEW GOLD INC CDA COM 644535106 5,878 502 X 28-5284 81 421 NEW JERSEY RES COM 646025106 433,022 10,082 X 28-5284 9737 345 660,872 15,387 X X 28-5284 13087 2300 NEW ORIENTAL ED & TECH GRP I SPON ADR 647581107 4,403 44 X 28-5284 44 13,009 130 X X 28-5284 130 NEW YORK CMNTY BANCORP INC COM 649445103 4,200,704 243,378 X 28-5284 228665 14713 2,081,263 120,583 X X 28-5284 115460 5123 1,493,853 86,550 X 28-13605 83721 2829 583,112 33,784 X X 28-13605 33494 99 191 16,742 970 X 28-13663 970 48,328 2,800 X X 28-13663 2800 NEW YORK TIMES CO CL A 650111107 22,633 2,390 X 28-5284 1035 1355 8,532 901 X X 28-5284 901 34,045 3,595 X 28-13605 525 3070 NEWCASTLE INVT CORP COM 65105M108 153,440 25,404 X 28-13605 25404 NEWELL RUBBERMAID INC COM 651229106 1,062,901 55,562 X 28-5284 40736 14826 495,945 25,925 X X 28-5284 24512 28 1385 193,270 10,103 X 28-13605 1475 8628 536 28 X X 28-13605 28 NEWFIELD EXPL CO COM 651290108 7,682,027 101,066 X 28-5284 86660 14406 2,202,694 28,979 X X 28-5284 17279 11700 366,596 4,823 X 28-13605 755 4068 69,017 908 X X 28-13605 908 12,618 166 X 28-13663 166 60,808 800 X X 28-13663 800 NEWMARKET CORP COM 651587107 3,323 21 X 28-5284 21 NEWMONT MINING CORP NOTE 1.250% 7 651639AH9 395,625 3,000 X 28-5284 3000 COLUMN TOTAL 22,363,299 FILE NO. 28-1235 PAGE 162 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NEWMONT MINING CORP NOTE 1.625% 7 651639AJ5 405,750 3,000 X 28-5284 3000 NEWMONT MINING CORP NOTE 3.000% 2 651639AK2 490,000 4,000 X X 28-5284 4000 NEWMONT MINING CORP COM 651639106 6,309,612 115,603 X 28-5284 108950 6653 6,076,664 111,335 X X 28-5284 110859 22 454 3,093,704 56,682 X 28-13605 41096 15586 304,065 5,571 X X 28-13605 5571 7,587 139 X 28-13663 139 155,553 2,850 X X 28-13663 2850 NEWPORT CORP COM 651824104 2,426 136 X 28-5284 136 NEWS CORP CL A 65248E104 4,542,830 258,409 X 28-5284 160221 98188 3,927,038 223,381 X X 28-5284 147717 193 75471 1,430,309 81,360 X 28-13605 11882 69478 3,393 193 X X 28-13605 193 8,192 466 X 28-13663 466 489,814 27,862 X X 28-13663 27862 NEWS CORP CL B 65248E203 1,130,793 60,730 X 28-5284 60730 299,782 16,100 X X 28-5284 15700 400 NEXEN INC COM 65334H102 119,566 4,798 X 28-5284 1744 3054 53,055 2,129 X X 28-5284 2129 NFJ DIVID INT & PREM STRTGY COM SHS 65337H109 33,251 1,829 X X 28-5284 1829 NEXTERA ENERGY INC COM 65339F101 53,542,796 971,386 X 28-5284 964120 7266 43,835,834 795,280 X X 28-5284 761010 3428 30842 4,827,354 87,579 X 28-13605 74169 13410 466,260 8,459 X X 28-13605 8384 27 48 517,026 9,380 X 28-13663 9234 146 1,059,241 19,217 X X 28-13663 19217 NICE SYS LTD SPONSORED ADR 653656108 65,938 1,785 X 28-5284 1785 1,404 38 X X 28-5284 38 NICOR INC COM 654086107 109,763 2,044 X 28-5284 2000 44 184,298 3,432 X X 28-5284 2732 700 422,565 7,869 X 28-13605 6505 1364 COLUMN TOTAL 133,915,863 FILE NO. 28-1235 PAGE 163 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NIDEC CORP SPONSORED ADR 654090109 454 21 X 28-5284 21 2,769 128 X X 28-5284 128 NIKE INC CL B 654106103 49,327,634 651,620 X 28-5284 642925 8695 27,657,903 365,362 X X 28-5284 350690 192 14480 1,014,531 13,402 X 28-13605 1902 11500 1,287 17 X X 28-13605 17 402,875 5,322 X 28-13663 5262 60 96,442 1,274 X X 28-13663 1095 179 99 CENTS ONLY STORES COM 65440K106 5,978 305 X 28-5284 105 200 NIPPON TELEG & TEL CORP SPONSORED ADR 654624105 176,367 7,842 X 28-5284 2926 4916 4,948 220 X X 28-5284 220 NISOURCE INC COM 65473P105 313,018 16,320 X 28-5284 7598 8722 178,508 9,307 X X 28-5284 9278 29 204,766 10,676 X 28-13605 1560 9116 556 29 X X 28-13605 29 7,672 400 X 28-13663 400 11,604 605 X X 28-13663 605 NOAH HLDGS LTD SPONSORED ADS 65487X102 41,696 2,850 X X 28-5284 2850 NOKIA CORP SPONSORED ADR 654902204 2,286,450 268,678 X 28-5284 260421 8257 1,658,701 194,912 X X 28-5284 168012 26900 45,103 5,300 X 28-13663 5000 300 9,361 1,100 X X 28-13663 1100 NOBLE ENERGY INC COM 655044105 1,475,072 15,262 X 28-5284 2930 12332 1,441,438 14,914 X X 28-5284 6599 15 8300 566,176 5,858 X 28-13605 857 5001 1,450 15 X X 28-13605 15 2,513 26 X 28-13663 26 NOMURA HLDGS INC SPONSORED ADR 65535H208 11,981 2,304 X 28-5284 2304 21,434 4,122 X X 28-5284 4122 NORDSON CORP COM 655663102 4,622,420 40,174 X 28-5284 40174 51,777 450 X X 28-5284 450 COLUMN TOTAL 91,642,884 FILE NO. 28-1235 PAGE 164 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NORDSTROM INC COM 655664100 1,932,353 43,056 X 28-5284 41217 1839 2,542,452 56,650 X X 28-5284 56535 15 100 265,331 5,912 X 28-13605 863 5049 673 15 X X 28-13605 15 8,976 200 X X 28-13663 200 NORFOLK SOUTHERN CORP COM 655844108 27,244,653 393,311 X 28-5284 390005 3306 36,187,964 522,419 X X 28-5284 506458 715 15246 1,185,071 17,108 X 28-13605 5672 11436 84,163 1,215 X X 28-13605 1215 96,909 1,399 X 28-13663 1320 79 13,854 200 X X 28-13663 200 NORTEL INVERSORA S A SPON ADR PFD B 656567401 103,881 3,597 X 28-13605 3597 NORTH EUROPEAN OIL RTY TR SH BEN INT 659310106 238,685 7,867 X 28-5284 7867 91,020 3,000 X X 28-5284 2000 1000 NORTHEAST UTILS COM 664397106 9,022,400 260,763 X 28-5284 250627 10136 1,588,970 45,924 X X 28-5284 38861 7063 18,953,361 547,785 X 28-13605 491437 56348 3,532,383 102,092 X X 28-13605 96467 396 5229 11,902 344 X 28-13663 130 214 57,920 1,674 X X 28-13663 1674 NORTHERN DYNASTY MINERALS LT COM NEW 66510M204 1,504 100 X X 28-5284 100 NORTHERN TR CORP COM 665859104 8,102,390 159,653 X 28-5284 158136 1517 6,086,803 119,937 X X 28-5284 118381 56 1500 5,004,813 98,617 X 28-13605 92018 6599 115,812 2,282 X X 28-13605 2282 5,278 104 X 28-13663 104 NORTHGATE MINERALS CORP COM 666416102 902,108 334,114 X 28-13605 334114 5,951 2,204 X X 28-13605 2204 189,851 70,313 X 28-13605 70313 NORTHROP GRUMMAN CORP COM 666807102 7,131,695 113,725 X 28-5284 111279 2446 10,965,220 174,856 X X 28-5284 169642 14 5200 697,774 11,127 X 28-13605 1625 9502 878 14 X X 28-13605 14 225,192 3,591 X 28-13663 3498 93 47,095 751 X X 28-13663 663 88 COLUMN TOTAL 142,645,285 FILE NO. 28-1235 PAGE 165 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NORTHSTAR RLTY FIN CORP COM 66704R100 3,349 626 X X 28-5284 626 NORTHWEST BANCSHARES INC MD COM 667340103 337,552 26,918 X 28-5284 26918 63,941 5,099 X X 28-5284 2699 2400 NORTHWEST NAT GAS CO COM 667655104 65,043 1,410 X 28-5284 1200 210 243,336 5,275 X X 28-5284 3400 1875 NORTHWEST PIPE CO COM 667746101 3,806 166 X 28-5284 166 NORTHWESTERN CORP COM NEW 668074305 88,628 2,925 X X 28-5284 25 2900 290,547 9,589 X 28-13605 9589 NORWOOD FINANCIAL CORP COM 669549107 109,845 4,031 X 28-5284 4031 7,140 262 X X 28-5284 262 NOVAGOLD RES INC COM NEW 66987E206 43,615 3,355 X 28-5284 3355 2,600 200 X X 28-5284 200 NOVABAY PHARMACEUTICALS INC COM 66987P102 36,000 16,000 X X 28-5284 16000 NOVARTIS A G SPONSORED ADR 66987V109 15,839,764 291,440 X 28-5284 271145 20295 8,126,521 149,522 X X 28-5284 125324 900 23298 3,352,254 61,679 X 28-13605 36909 24770 240,771 4,430 X X 28-13605 4285 145 270,283 4,973 X 28-13663 3658 1315 114,135 2,100 X X 28-13663 2100 NOVELL INC COM 670006105 2,651 447 X 28-5284 447 13,734 2,316 X X 28-5284 2316 73,093 12,326 X 28-13605 1800 10526 NOVELLUS SYS INC COM 670008101 8,020 216 X 28-5284 6 210 29,258 788 X X 28-5284 782 6 432,230 11,641 X 28-13605 8929 2712 223 6 X X 28-13605 6 NOVO-NORDISK A S ADR 670100205 2,027,599 16,191 X 28-5284 15827 364 5,884,432 46,989 X X 28-5284 45289 400 1300 5,385 43 X 28-13663 43 COLUMN TOTAL 37,715,755 FILE NO. 28-1235 PAGE 166 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NSTAR COM 67019E107 10,906,672 235,718 X 28-5284 228141 7577 2,759,034 59,629 X X 28-5284 58291 188 1150 1,708,982 36,935 X 28-13605 35740 1195 658,422 14,230 X X 28-13605 14104 46 80 73,430 1,587 X 28-13663 1587 NUANCE COMMUNICATIONS INC COM 67020Y100 16,285 833 X 28-5284 833 456,043 23,327 X X 28-5284 5827 17500 NUCOR CORP COM 670346105 2,011,856 43,717 X 28-5284 38136 5581 963,383 20,934 X X 28-5284 20726 8 200 520,486 11,310 X 28-13605 1535 9775 368 8 X X 28-13605 8 NUMEREX CORP PA CL A 67053A102 36,489 3,700 X X 28-5284 3700 NUSTAR ENERGY LP UNIT COM 67058H102 1,240,079 18,266 X 28-5284 18266 3,275,693 48,250 X X 28-5284 44750 3500 NUSTAR GP HOLDINGS LLC UNIT RESTG LLC 67059L102 18,225 500 X 28-5284 500 NUVEEN INSD PREM INCOME MUN COM 6706D8104 306,414 26,100 X X 28-5284 26100 NUVEEN EQTY PRM OPPORTUNITYF COM 6706EM102 38,160 3,000 X 28-5284 3000 NUVEEN FLTNG RTE INCM OPP FD COM SHS 6706EN100 42,875 3,500 X X 28-5284 3500 NUVEEN DIVERSIFIED DIV INCM COM 6706EP105 33,960 3,000 X X 28-5284 3000 NUVEEN EQUITY PREM INCOME FD COM 6706ER101 9,700 768 X X 28-5284 768 NUVEEN PREM INCOME MUN FD 4 COM 6706K4105 41,580 3,600 X X 28-5284 3600 NUVEEN PA PREM INCOME MUN FD COM 67061F101 347,483 28,529 X 28-5284 28529 317,630 26,078 X X 28-5284 20631 5447 NUVEEN MD PREM INCOME MUN FD COM 67061Q107 27,087 1,960 X 28-5284 1960 13,820 1,000 X X 28-5284 1000 NUVEEN ARIZ PREM INCOME MUN COM 67061W104 54,503 4,442 X X 28-5284 4442 NUVEEN INVT QUALITY MUN FD I COM 67062E103 24,084 1,800 X 28-5284 1800 39,538 2,955 X X 28-5284 2955 COLUMN TOTAL 25,942,281 FILE NO. 28-1235 PAGE 167 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NUVEEN SELECT TAX FREE INCM SH BEN INT 67062F100 21,863 1,650 X X 28-5284 1650 NUVEEN MUN ADVANTAGE FD INC COM 67062H106 97,231 7,394 X 28-5284 7394 92,103 7,004 X X 28-5284 7004 NUVEEN MUN INCOME FD INC COM 67062J102 79,302 7,970 X X 28-5284 7970 NUVEEN INSD QUALITY MUN FD I COM 67062N103 18,825 1,500 X 28-5284 1500 NUVEEN PERFORMANCE PLUS MUN COM 67062P108 47,838 3,570 X X 28-5284 3570 NUVEEN PREM INCOME MUN FD COM 67062T100 16,998 1,329 X 28-5284 1329 63,950 5,000 X X 28-5284 5000 NUVEEN MUN MKT OPPORTUNITY F COM 67062W103 1,248 100 X 28-5284 100 NUVEEN PREM INCOME MUN FD 2 COM 67063W102 70,753 5,430 X 28-5284 5430 268,770 20,627 X X 28-5284 20627 NUVEEN TAX FREE ADV MUN FD COM 670657105 219,531 16,669 X X 28-5284 16669 NVIDIA CORP COM 67066G104 113,123 6,128 X 28-5284 3148 2980 154,307 8,359 X X 28-5284 8359 450,479 24,403 X 28-13605 3567 20836 4,781 259 X 28-13663 259 NUVEEN DIVID ADVANTAGE MUN F COM 67066V101 34,916 2,758 X 28-5284 2758 NUVEEN SR INCOME FD COM 67067Y104 22,830 3,000 X X 28-5284 3000 NUVEEN CA DIV ADVANTG MUN FD COM 67069X104 12,790 1,000 X 28-5284 1000 NUVEEN OH DIV ADVANTAGE MUN COM 67070C107 87,845 6,665 X X 28-5284 6665 NUVEEN PA DIV ADVANTAGE MUN COM 67070E103 92,693 7,270 X 28-5284 7270 8,670 680 X X 28-5284 680 NUVEEN OH DIV ADV MUNI FD 2 COM SH BEN INT 67070R104 36,456 2,800 X 28-5284 2800 26,040 2,000 X X 28-5284 2000 NUVEEN DIV ADV MUNI FD 3 COM SH BEN INT 67070X101 87,978 6,665 X X 28-5284 6665 COLUMN TOTAL 2,131,320 FILE NO. 28-1235 PAGE 168 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NUVASIVE INC COM 670704105 310,119 12,248 X 28-5284 12248 13,622 538 X 28-13663 538 NUVEEN INSD DIVID ADVANTAGE COM 67071L106 13,380 1,000 X X 28-5284 1000 NUVEEN QUALITY PFD INCOME FD COM 67071S101 7,566 980 X 28-5284 980 33,760 4,373 X X 28-5284 4373 NUVEEN OHIO DIVID ADVANTAGE COM 67071V104 22,643 1,666 X 28-5284 1666 72,032 5,300 X X 28-5284 1300 4000 NUVEEN PA DIVID ADVANTAGE MU COM 67071W102 38,550 3,000 X X 28-5284 1000 2000 NUVEEN QUALITY PFD INCOME FD COM 67072C105 44,215 5,340 X 28-5284 5340 102,291 12,354 X X 28-5284 12354 NUVEEN QUALITY PFD INC FD 3 COM 67072W101 9,624 1,200 X 28-5284 1200 NUVEEN MULTI STRAT INC & GR COM 67073B106 17,421 2,052 X 28-5284 2052 29,715 3,500 X X 28-5284 3500 NUVEEN GLB GOVT ENHANCED IN COM 67073C104 2,479 169 X 28-5284 169 44,083 3,005 X X 28-5284 3005 NUVEEN MULTI STRAT INC GR FD COM SHS 67073D102 21,614 2,415 X X 28-5284 2415 NV ENERGY INC COM 67073Y106 52,860 3,550 X 28-5284 3550 23,273 1,563 X X 28-5284 1563 NUVEEN BUILD AMER BD FD COM 67074C103 54,180 3,000 X X 28-5284 3000 O CHARLEYS INC COM 670823103 1,015 170 X 28-5284 170 OGE ENERGY CORP COM 670837103 2,113,863 41,809 X 28-5284 40457 1352 772,708 15,283 X X 28-5284 13636 1647 8,896,740 175,964 X 28-13605 116996 58968 1,158,886 22,921 X X 28-13605 22471 40 410 14,460 286 X 28-13663 286 OM GROUP INC COM 670872100 82,946 2,270 X 28-5284 1980 290 NUVEEN CORE EQUITY ALPHA FUN COM 67090X107 18,382 1,300 X 28-5284 1300 COLUMN TOTAL 13,972,427 FILE NO. 28-1235 PAGE 169 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ NUVEEN MUN VALUE FD INC COM 670928100 260,596 28,827 X 28-5284 28827 276,823 30,622 X X 28-5284 30622 NUVEEN NJ INVT QUALITY MUN F COM 670971100 15,688 1,250 X 28-5284 1250 12,550 1,000 X X 28-5284 1000 NUVEEN PA INVT QUALITY MUN F COM 670972108 355,658 27,191 X 28-5284 27191 1,065,575 81,466 X X 28-5284 77495 3971 NUVEEN QUALITY INCOME MUN FD COM 670977107 30,856 2,350 X 28-5284 2350 36,331 2,767 X X 28-5284 2767 NUVEEN MICH QUALITY INCOME M COM 670979103 13,738 1,060 X 28-5284 1060 NUVEEN OHIO QUALITY INCOME M COM 670980101 30,784 2,097 X 28-5284 2097 56,445 3,845 X X 28-5284 3845 NUVEEN INSD MUN OPPORTUNITY COM 670984103 147,614 11,016 X 28-5284 11016 NUVEEN PREMIER MUN INCOME FD COM 670988104 12,680 1,000 X X 28-5284 1000 NUVEEN MICH PREM INCOME MUN COM 67101Q109 12,700 1,000 X 28-5284 1000 O REILLY AUTOMOTIVE INC NEW COM 67103H107 1,318,247 22,942 X 28-5284 22430 512 943,206 16,415 X X 28-5284 16415 4,351,963 75,739 X 28-13605 71484 4255 586,322 10,204 X X 28-13605 10204 1,839 32 X 28-13663 32 OSI SYSTEMS INC COM 671044105 16,100 429 X 28-5284 429 1,305,969 34,798 X 28-13605 34798 7,806 208 X X 28-13605 208 269,907 7,192 X 28-13605 7192 O2MICRO INTERNATIONAL LTD SPONS ADR 67107W100 5,320 700 X X 28-5284 700 OYO GEOSPACE CORP COM 671074102 15,378 156 X 28-5284 156 207,018 2,100 X X 28-5284 2100 OASIS PETE INC NEW COM 674215108 131,223 4,150 X 28-5284 4150 OBAGI MEDICAL PRODUCTS INC COM 67423R108 63,200 5,000 X 28-5284 5000 COLUMN TOTAL 11,551,536 FILE NO. 28-1235 PAGE 170 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ OCCIDENTAL PETE CORP DEL COM 674599105 58,649,088 561,289 X 28-5284 550696 10593 17,473,236 167,224 X X 28-5284 157618 906 8700 2,976,189 28,483 X 28-13605 4112 24371 4,284 41 X X 28-13605 41 722,026 6,910 X 28-13663 5682 1228 661,526 6,331 X X 28-13663 6065 266 OCEANEERING INTL INC COM 675232102 59,216 662 X 28-5284 662 202,783 2,267 X X 28-5284 1867 400 268,350 3,000 X 28-13605 3000 OCLARO INC COM NEW 67555N206 112,125 9,750 X X 28-5284 9750 OFFICEMAX INC DEL COM 67622P101 4,322 334 X 28-5284 334 815 63 X X 28-5284 63 OFFICE DEPOT INC COM 676220106 14,418 3,114 X 28-5284 2955 159 5,704 1,232 X X 28-5284 1232 OIL DRI CORP AMER COM 677864100 39,618 1,860 X 28-5284 1860 4,260 200 X X 28-5284 200 OIL SVC HOLDRS TR DEPOSTRY RCPT 678002106 187,042 1,138 X 28-5284 1138 102,889 626 X X 28-5284 200 426 OIL STS INTL INC COM 678026105 370,802 4,870 X 28-5284 1070 3800 388,619 5,104 X X 28-5284 338 4766 2,527,163 33,191 X 28-13605 33191 192,939 2,534 X X 28-13605 2534 346,742 4,554 X 28-13605 4554 OLD LINE BANCSHARES INC COM 67984M100 281,100 30,000 X X 28-5284 30000 OLD NATL BANCORP IND COM 680033107 129,358 12,067 X 28-5284 12067 OLD REP INTL CORP COM 680223104 117,801 9,283 X 28-5284 9282 1 2,045,577 161,196 X X 28-5284 160396 800 OLIN CORP COM PAR $1 680665205 36,810 1,606 X 28-5284 1606 242,631 10,586 X X 28-5284 10586 OMNICARE INC COM 681904108 43,695 1,457 X 28-5284 1457 48,434 1,615 X X 28-5284 1415 200 COLUMN TOTAL 88,259,562 FILE NO. 28-1235 PAGE 171 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ OMNICOM GROUP INC COM 681919106 7,182,237 146,397 X 28-5284 143159 3238 9,311,490 189,798 X X 28-5284 168200 1815 19783 486,773 9,922 X 28-13605 1451 8471 736 15 X X 28-13605 15 121,718 2,481 X 28-13663 2401 80 14,718 300 X X 28-13663 300 OMEGA HEALTHCARE INVS INC COM 681936100 11,170 500 X 28-5284 500 OMEGA FLEX INC COM 682095104 2,018 150 X X 28-5284 150 OMNIVISION TECHNOLOGIES INC COM 682128103 14,283 402 X 28-5284 220 182 41,108 1,157 X X 28-5284 1157 OMNOVA SOLUTIONS INC COM 682129101 47,220 6,000 X X 28-5284 2700 3300 OMNICELL INC COM 68213N109 38,100 2,500 X X 28-5284 2500 ON ASSIGNMENT INC COM 682159108 2,554 270 X 28-5284 270 21,758 2,300 X X 28-5284 2300 ON SEMICONDUCTOR CORP COM 682189105 23,575 2,391 X 28-5284 947 1444 34,056 3,454 X X 28-5284 3454 ONCOTHYREON INC COM 682324108 673 174 X 28-5284 174 ONE LIBERTY PPTYS INC COM 682406103 8,505 564 X 28-5284 564 ONEOK PARTNERS LP UNIT LTD PARTN 68268N103 3,291,118 39,965 X 28-5284 39965 3,960,129 48,089 X X 28-5284 46139 1950 597,038 7,250 X X 28-13663 7250 ONEOK INC NEW COM 682680103 471,236 7,046 X 28-5284 5189 1857 850,112 12,711 X X 28-5284 4051 8660 270,396 4,043 X 28-13605 590 3453 2,742 41 X 28-13663 41 ONLINE RES CORP COM 68273G101 1,727 457 X 28-5284 457 ONYX PHARMACEUTICALS INC COM 683399109 24,626 700 X 28-5284 700 OPEN TEXT CORP COM 683715106 1,793,383 28,777 X 28-13605 28777 11,467 184 X X 28-13605 184 397,170 6,373 X 28-13605 6373 COLUMN TOTAL 29,033,836 FILE NO. 28-1235 PAGE 172 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ OPENTABLE INC COM 68372A104 14,145 133 X 28-5284 28 105 26,800 252 X X 28-5284 252 OPNET TECHNOLOGIES INC COM 683757108 7,798 200 X 28-5284 200 ORACLE CORP COM 68389X105 146,762,278 4,389,743 X 28-5284 4311671 78072 65,472,780 1,958,328 X X 28-5284 1845012 4471 108845 47,036,821 1,406,898 X 28-13605 1266086 140812 8,932,462 267,175 X X 28-13605 252875 899 13401 1,450,925 43,398 X 28-13663 36741 6657 1,264,403 37,819 X X 28-13663 37204 615 OPTIMER PHARMACEUTICALS INC COM 68401H104 923 78 X X 28-5284 78 OPTIONSXPRESS HLDGS INC COM 684010101 6,213 340 X 28-5284 340 ORASURE TECHNOLOGIES INC COM 68554V108 78,600 10,000 X 28-5284 10000 ORBITAL SCIENCES CORP COM 685564106 5,676 300 X 28-5284 300 ORION ENERGY SYSTEMS INC COM 686275108 4,035 1,000 X X 28-5284 1000 ORIX CORP SPONSORED ADR 686330101 745 16 X 28-5284 16 8,057 173 X X 28-5284 173 ORMAT TECHNOLOGIES INC COM 686688102 25,330 1,000 X X 28-5284 1000 ORRSTOWN FINL SVCS INC COM 687380105 46,200 1,650 X 28-5284 1500 150 OSHKOSH CORP COM 688239201 41,041 1,160 X 28-5284 1160 692,351 19,569 X X 28-5284 1069 18500 86,681 2,450 X 28-13605 2450 3,290 93 X X 28-13605 93 OTTER TAIL CORP COM 689648103 9,092 400 X 28-5284 400 OVERSEAS SHIPHOLDING GROUP I COM 690368105 17,998 560 X X 28-5284 560 OWENS & MINOR INC NEW COM 690732102 63,336 1,950 X X 28-5284 1950 7,698 237 X 28-13663 237 OWENS CORNING NEW COM 690742101 12,956 360 X 28-5284 360 67,301 1,870 X X 28-5284 1870 COLUMN TOTAL 272,145,935 FILE NO. 28-1235 PAGE 173 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ OWENS ILL INC COM NEW 690768403 502,271 16,637 X 28-5284 16336 301 1,113,498 36,883 X X 28-5284 36813 70 171,962 5,696 X 28-13605 832 4864 OXFORD INDS INC COM 691497309 5,129 150 X 28-5284 150 41,028 1,200 X X 28-5284 1200 PAA NAT GAS STORAGE L P COM UNIT LTD 693139107 5,885 250 X 28-5284 250 PC-TEL INC COM 69325Q105 1,074 140 X 28-5284 140 PDL BIOPHARMA INC COM 69329Y104 58,000 10,000 X 28-5284 10000 PG&E CORP COM 69331C108 633,850 14,347 X 28-5284 12061 2286 289,998 6,564 X X 28-5284 6550 14 667,251 15,103 X 28-13605 3748 11355 3,579 81 X X 28-13605 81 2,165 49 X 28-13663 49 PHH CORP COM NEW 693320202 4,354 200 X X 28-5284 200 P F CHANGS CHINA BISTRO INC COM 69333Y108 9,700 210 X 28-5284 210 122,404 2,650 X 28-13605 2650 PGT INC COM 69336V101 3,126,010 1,330,217 X 28-5284 1330217 PICO HLDGS INC COM NEW 693366205 4,148 138 X 28-5284 138 PMC COML TR SH BEN INT 693434102 13,005 1,500 X 28-5284 1500 PMC-SIERRA INC COM 69344F106 563 75 X 28-5284 75 7,578 1,009 X X 28-5284 1009 PMI GROUP INC COM 69344M101 174,744 64,720 X X 28-5284 64720 PNC FINL SVCS GROUP INC COM 693475105 92,029,461 1,461,017 X 28-5284 1445323 15694 75,732,499 1,202,294 X X 28-5284 1082922 21045 98327 748,825 11,888 X 28-13605 11888 212,591 3,375 X 28-13663 3375 194,261 3,084 X X 28-13663 3084 POSCO SPONSORED ADR 693483109 11,315 99 X 28-5284 99 57,602 504 X X 28-5284 504 COLUMN TOTAL 175,944,750 FILE NO. 28-1235 PAGE 174 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PPG INDS INC COM 693506107 75,945,304 797,661 X 28-5284 784667 12994 56,909,778 597,729 X X 28-5284 554101 682 42946 27,741,528 291,372 X 28-13605 253649 37723 5,289,582 55,557 X X 28-13605 52866 201 2490 370,367 3,890 X 28-13663 3656 234 1,098,628 11,539 X X 28-13663 11370 169 PPL CORP COM 69351T106 9,193,615 363,384 X 28-5284 357839 5545 10,647,227 420,839 X X 28-5284 408867 1155 10817 406,748 16,077 X 28-13605 2348 13729 455 18 X X 28-13605 18 2,631 104 X 28-13663 104 PSS WORLD MED INC COM 69366A100 203,890 7,520 X 28-13605 7520 PACCAR INC COM 693718108 60,371 1,153 X 28-5284 856 297 284,786 5,439 X X 28-5284 4437 2 1000 624,550 11,928 X 28-13605 1741 10187 105 2 X X 28-13605 2 1,518 29 X 28-13663 29 PACER INTL INC TENN COM 69373H106 46,258 8,811 X 28-13605 8811 PACHOLDER HIGH YIELD FD INC COM 693742108 9,558 1,105 X 28-5284 1105 PACIFIC ETHANOL INC COM 69423U107 27 43 X 28-5284 43 PACIFIC SUNWEAR CALIF INC COM 694873100 10,860 3,000 X 28-5284 3000 PACKAGING CORP AMER COM 695156109 255,850 8,856 X 28-5284 802 8054 66,043 2,286 X X 28-5284 1686 600 PALL CORP COM 696429307 999,015 17,341 X 28-5284 15720 1621 248,990 4,322 X X 28-5284 4305 17 5,352,718 92,913 X 28-13605 89225 3688 759,069 13,176 X X 28-13605 13176 57,610 1,000 X X 28-13663 1000 PAN AMERICAN SILVER CORP COM 697900108 33,231 895 X 28-5284 750 145 84,025 2,263 X X 28-5284 2263 PANASONIC CORP ADR 69832A205 74,155 5,890 X 28-5284 1891 3999 3,273 260 X X 28-5284 260 COLUMN TOTAL 196,781,765 FILE NO. 28-1235 PAGE 175 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PANERA BREAD CO CL A 69840W108 200,660 1,580 X 28-5284 1580 251,714 1,982 X X 28-5284 1957 25 253,238 1,994 X 28-13605 1994 PANHANDLE OIL AND GAS INC CL A 698477106 34,815 1,100 X X 28-5284 1100 PAPA JOHNS INTL INC COM 698813102 93,300 2,946 X 28-5284 2946 257,382 8,127 X 28-13605 8127 PAR PHARMACEUTICAL COS INC COM 69888P106 193,566 6,228 X 28-13605 6228 PARAGON SHIPPING INC CL A 69913R309 7,125 2,500 X X 28-5284 2500 PARAMETRIC TECHNOLOGY CORP COM NEW 699173209 2,789 124 X 28-5284 124 PAREXEL INTL CORP COM 699462107 25,647 1,030 X 28-5284 520 510 965,846 38,789 X X 28-5284 58 38731 1,644,844 66,058 X 28-13605 66058 9,910 398 X X 28-13605 398 344,933 13,853 X 28-13605 13853 PARK ELECTROCHEMICAL CORP COM 700416209 5,805 180 X 28-5284 180 29,025 900 X X 28-5284 900 PARK OHIO HLDGS CORP COM 700666100 152,120 7,363 X 28-13605 7363 PARKE BANCORP INC COM 700885106 216,806 23,643 X X 28-5284 23643 PARKER DRILLING CO COM 701081101 691 100 X X 28-5284 100 PARKER HANNIFIN CORP COM 701094104 11,958,841 126,308 X 28-5284 124239 2069 37,513,447 396,213 X X 28-5284 394885 1328 757,156 7,997 X 28-13605 3097 4900 70,063 740 X X 28-13605 740 39,103 413 X 28-13663 350 63 24,143 255 X X 28-13663 200 55 PARKVALE FINL CORP COM 701492100 12,256 1,257 X 28-5284 1257 PARKWAY PPTYS INC COM 70159Q104 11,050 650 X X 28-5284 650 PATRICK INDS INC COM 703343103 5,865 2,150 X 28-5284 2150 COLUMN TOTAL 55,082,140 FILE NO. 28-1235 PAGE 176 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PATRIOT COAL CORP COM 70336T104 71,807 2,780 X 28-5284 2780 31,564 1,222 X X 28-5284 1222 PATTERSON COMPANIES INC COM 703395103 276,931 8,603 X 28-5284 8323 280 966,569 30,027 X X 28-5284 30012 15 105,583 3,280 X 28-13605 479 2801 483 15 X X 28-13605 15 PATTERSON UTI ENERGY INC COM 703481101 24,217 824 X 28-5284 625 199 59,456 2,023 X X 28-5284 1523 500 PAYCHEX INC COM 704326107 3,227,320 102,830 X 28-5284 97055 5775 2,246,224 71,570 X X 28-5284 44292 1000 26278 351,104 11,187 X 28-13605 1634 9553 12,617 402 X X 28-13663 170 232 PEABODY ENERGY CORP SDCV 4.750%12 704549AG9 397,500 3,000 X 28-5284 3000 PEABODY ENERGY CORP COM 704549104 4,573,634 63,558 X 28-5284 57174 6384 3,777,540 52,495 X X 28-5284 43857 3523 5115 617,345 8,579 X 28-13605 1253 7326 216 3 X X 28-13605 3 249,989 3,474 X 28-13663 1082 2392 15,831 220 X X 28-13663 220 PEAPACK-GLADSTONE FINL CORP COM 704699107 16,045 1,210 X X 28-5284 1210 PEARSON PLC SPONSORED ADR 705015105 8,117 456 X 28-5284 456 PEBBLEBROOK HOTEL TR COM 70509V100 110,750 5,000 X 28-5284 5000 PENGROWTH ENERGY CORP COM 70706P104 273,516 19,777 X 28-5284 19777 81,694 5,907 X X 28-5284 5907 PENN NATL GAMING INC COM 707569109 51,513 1,390 X 28-5284 1390 164,954 4,451 X X 28-5284 451 4000 1,224,981 33,054 X 28-13605 33054 95,430 2,575 X X 28-13605 2575 216,246 5,835 X 28-13605 5835 PENN VA CORP COM 707882106 274,752 16,200 X X 28-5284 1200 15000 72,385 4,268 X 28-13605 4268 2,731 161 X X 28-13605 161 COLUMN TOTAL 19,599,044 FILE NO. 28-1235 PAGE 177 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PENN VA RESOURCES PARTNERS L COM 707884102 205,257 7,410 X 28-5284 7210 200 682,196 24,628 X X 28-5284 24628 PENN WEST PETE LTD NEW COM 707887105 559,318 20,192 X 28-5284 20088 104 233,843 8,442 X X 28-5284 8092 350 PENNEY J C INC COM 708160106 581,167 16,184 X 28-5284 11219 4965 788,045 21,945 X X 28-5284 12312 5 9628 309,257 8,612 X 28-13605 1257 7355 180 5 X X 28-13605 5 PENNS WOODS BANCORP INC COM 708430103 28,030 720 X X 28-5284 720 PENNSYLVANIA RL ESTATE INVT SH BEN INT 709102107 145,212 10,176 X 28-5284 10176 73,933 5,181 X X 28-5284 5181 PENTAIR INC COM 709631105 351,447 9,300 X 28-5284 9300 1,267,023 33,528 X X 28-5284 33528 PEOPLES UNITED FINANCIAL INC COM 712704105 44,017 3,499 X 28-5284 3213 286 277,288 22,042 X X 28-5284 8320 13722 195,191 15,516 X 28-13605 4324 11192 843 67 X X 28-13605 67 PEP BOYS MANNY MOE & JACK COM 713278109 4,957 390 X 28-5284 390 PEPCO HOLDINGS INC COM 713291102 562,726 30,173 X 28-5284 28398 1775 772,875 41,441 X X 28-5284 36943 1600 2898 146,533 7,857 X 28-13605 1148 6709 PEPSICO INC COM 713448108 194,354,019 3,017,451 X 28-5284 2975485 41966 155,423,133 2,413,028 X X 28-5284 2176530 7747 228751 5,656,873 87,826 X 28-13605 39785 48041 920,612 14,293 X X 28-13605 14180 41 72 1,234,160 19,161 X 28-13663 18654 507 1,343,142 20,853 X X 28-13663 20396 457 PERFECT WORLD CO LTD SPON ADR REP B 71372U104 997 47 X X 28-5284 47 PERICOM SEMICONDUCTOR CORP COM 713831105 2,385 230 X 28-5284 230 COLUMN TOTAL 366,164,659 FILE NO. 28-1235 PAGE 178 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PERKINELMER INC COM 714046109 224,976 8,564 X 28-5284 6785 1779 206,036 7,843 X X 28-5284 5529 14 2300 201,832 7,683 X 28-13605 1123 6560 368 14 X X 28-13605 14 PERMIAN BASIN RTY TR UNIT BEN INT 714236106 6,546 300 X 28-5284 300 74,712 3,424 X X 28-5284 3424 380,672 17,446 X 28-13605 17446 PERRIGO CO COM 714290103 657,630 8,270 X 28-5284 3330 4940 119,837 1,507 X X 28-5284 682 825 155,700 1,958 X 28-13605 1958 P T TELEKOMUNIKASI INDONESIA SPONSORED ADR 715684106 112,896 3,362 X 28-5284 381 2981 3,727 111 X X 28-5284 111 PETMED EXPRESS INC COM 716382106 23,267 1,467 X 28-5284 1467 31,720 2,000 X X 28-5284 2000 PETROCHINA CO LTD SPONSORED ADR 71646E100 251,974 1,655 X 28-5284 1655 278,009 1,826 X X 28-5284 1626 200 PETROBRAS ARGENTINA S A SPONS ADR 71646J109 4,418 200 X X 28-5284 200 PETROHAWK ENERGY CORP COM 716495106 264,762 10,789 X 28-5284 7809 2980 303,167 12,354 X X 28-5284 2704 9650 PETROLEO BRASILEIRO SA PETRO SP ADR NON VTG 71654V101 93,541 2,632 X 28-5284 2632 4,691 132 X X 28-5284 132 9,596 270 X 28-13663 270 PETROLEO BRASILEIRO SA PETRO SPONSORED ADR 71654V408 396,174 9,799 X 28-5284 9799 871,226 21,549 X X 28-5284 16899 4650 PETROLEUM & RES CORP COM 716549100 104,594 3,417 X 28-5284 3417 PETSMART INC COM 716768106 204,709 4,999 X 28-5284 2899 2100 584,070 14,263 X X 28-5284 5699 8564 COLUMN TOTAL 5,570,850 FILE NO. 28-1235 PAGE 179 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PFIZER INC COM 717081103 165,397,389 8,143,643 X 28-5284 7905777 237866 147,841,811 7,279,262 X X 28-5284 6848035 44303 386924 63,614,880 3,132,195 X 28-13605 2601498 530697 10,424,168 513,253 X X 28-13605 487348 1776 24129 722,142 35,556 X 28-13663 31187 4369 1,529,262 75,296 X X 28-13663 73682 1614 PHARMACEUTICAL PROD DEV INC COM 717124101 98,169 3,544 X 28-5284 2084 1460 46,841 1,691 X X 28-5284 1691 PHARMERICA CORP COM 71714F104 9,907 866 X 28-5284 866 394,611 34,494 X 28-13605 34494 PHILIP MORRIS INTL INC COM 718172109 110,159,692 1,678,496 X 28-5284 1653116 25380 226,688,186 3,454,033 X X 28-5284 3274452 1497 178084 13,213,616 201,335 X 28-13605 144529 56806 2,025,407 30,861 X X 28-13605 30736 44 81 689,706 10,509 X 28-13663 10180 329 1,682,425 25,635 X X 28-13663 25394 241 PHILLIPS VAN HEUSEN CORP COM 718592108 679,303 10,446 X 28-5284 6200 4246 82,068 1,262 X X 28-5284 562 700 PHOENIX COS INC NEW COM 71902E109 843 310 X X 28-5284 310 PHOTRONICS INC COM 719405102 164,034 18,287 X 28-13605 18287 PIEDMONT NAT GAS INC COM 720186105 139,762 4,605 X 28-5284 3955 650 100,155 3,300 X X 28-5284 1300 2000 169,535 5,586 X 28-13605 5586 PIEDMONT OFFICE REALTY TR IN COM CL A 720190206 1,960,332 100,996 X 28-5284 100996 30,221 1,557 X X 28-5284 357 1200 PIER 1 IMPORTS INC COM 720279108 2,284 225 X 28-5284 225 PILGRIMS PRIDE CORP NEW COM 72147K108 1,311 170 X X 28-5284 170 PIMCO CORPORATE INCOME FD COM 72200U100 25,963 1,565 X 28-5284 1565 94,563 5,700 X X 28-5284 5700 PIMCO MUN INCOME FD II COM 72200W106 160,105 15,852 X X 28-5284 15852 COLUMN TOTAL 748,148,691 FILE NO. 28-1235 PAGE 180 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PIMCO STRATEGIC GBL GOV FD I COM 72200X104 96,863 8,750 X 28-5284 8750 33,210 3,000 X X 28-5284 3000 PIMCO MUN INCOME FD III COM 72201A103 21,160 2,000 X 28-5284 2000 158,912 15,020 X X 28-5284 15020 PIMCO CORPORATE OPP FD COM 72201B101 79,341 3,820 X 28-5284 3820 218,085 10,500 X X 28-5284 10500 PIMCO CALIF MUN INCOME FD II COM 72201C109 90,300 10,000 X X 28-13663 10000 PIMCO INCOME STRATEGY FUND COM 72201H108 455,772 38,108 X 28-5284 500 37608 71,760 6,000 X X 28-5284 6000 PIMCO INCOME STRATEGY FUND I COM 72201J104 5,215 500 X 28-5284 500 PIMCO ETF TR 1-5 US TIP IDX 72201R205 270,305 5,060 X 28-5284 5060 50,749 950 X X 28-5284 950 PIMCO ETF TR BLD AMER BD FD 72201R825 34,592 736 X X 28-5284 736 PIMCO GLOBAL STOCKSPLS INCM COM 722011103 2,448 100 X X 28-5284 100 PIMCO HIGH INCOME FD COM SHS 722014107 2,777,847 198,276 X 28-5284 167581 30695 25,919 1,850 X X 28-5284 1850 PIMCO INCOME OPPORTUNITY FD COM 72202B100 150,700 5,500 X X 28-5284 5500 PINNACLE ENTMT INC COM 723456109 5,502 404 X 28-5284 404 PINNACLE FINL PARTNERS INC COM 72346Q104 54,582 3,300 X X 28-5284 3300 PINNACLE WEST CAP CORP COM 723484101 77,108 1,802 X 28-5284 1486 316 305,735 7,145 X X 28-5284 7145 177,236 4,142 X 28-13605 604 3538 899 21 X 28-13663 21 PIONEER FLOATING RATE TR COM 72369J102 11,339 850 X X 28-5284 850 PIONEER MUN HIGH INCOME ADV COM 723762100 9,488 750 X 28-5284 750 PIONEER MUN HIGH INCOME TR COM SHS 723763108 24,206 1,862 X 28-5284 1862 COLUMN TOTAL 5,209,273 FILE NO. 28-1235 PAGE 181 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PIONEER NAT RES CO COM 723787107 73,077 717 X 28-5284 392 325 955,704 9,377 X X 28-5284 9377 390,252 3,829 X 28-13605 560 3269 2,752 27 X 28-13663 27 16,409 161 X X 28-13663 161 PIONEER SOUTHWST ENRG PRTNR UNIT LP INT 72388B106 178,880 5,200 X 28-5284 5200 270,040 7,850 X X 28-5284 7850 PIPER JAFFRAY COS COM 724078100 414 10 X 28-5284 10 56,138 1,355 X X 28-5284 755 600 PITNEY BOWES INC COM 724479100 6,749,868 262,743 X 28-5284 254172 8571 8,971,565 349,224 X X 28-5284 346871 1603 750 117,095 4,558 X 28-13605 666 3892 77 3 X X 28-13605 3 46,242 1,800 X X 28-13663 1800 PLAINS ALL AMERN PIPELINE L UNIT LTD PARTN 726503105 9,332,812 146,443 X 28-5284 145523 920 10,062,903 157,899 X X 28-5284 155289 1000 1610 12,746 200 X 28-13663 200 19,119 300 X X 28-13663 300 PLAINS EXPL& PRODTN CO COM 726505100 6,920 191 X 28-5284 191 44,635 1,232 X X 28-5284 1232 PLANTRONICS INC NEW COM 727493108 74,522 2,035 X 28-5284 1985 50 7,397 202 X X 28-5284 202 105,136 2,871 X 28-13605 2871 PLATINUM GROUP METALS LTD COM NEW 72765Q205 23,285 11,820 X 28-5284 11820 PLEXUS CORP COM 729132100 43,755 1,248 X 28-5284 1248 701 20 X X 28-5284 20 PLUG POWER INC COM 72919P103 1,140 1,500 X 28-5284 1500 1,292 1,700 X X 28-5284 1700 PLUM CREEK TIMBER CO INC COM 729251108 920,040 21,097 X 28-5284 17999 3098 3,483,349 79,875 X X 28-5284 56005 23870 193,672 4,441 X 28-13605 649 3792 COLUMN TOTAL 42,161,937 FILE NO. 28-1235 PAGE 182 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ POLARIS INDS INC COM 731068102 48,731 560 X 28-5284 560 17,404 200 X X 28-5284 200 POLO RALPH LAUREN CORP CL A 731572103 363,531 2,940 X 28-5284 2854 86 69,491 562 X X 28-5284 561 1 317,781 2,570 X 28-13605 376 2194 124 1 X X 28-13605 1 2,102 17 X 28-13663 17 POLYCOM INC COM 73172K104 6,792 131 X 28-5284 131 329,818 6,361 X X 28-5284 1119 5242 POLYONE CORP COM 73179P106 13,485 949 X 28-5284 199 750 35,525 2,500 X X 28-5284 2500 94,241 6,632 X 28-13605 6632 POLYPORE INTL INC COM 73179V103 2,994 52 X 28-5284 52 276,326 4,799 X X 28-5284 4799 POOL CORPORATION COM 73278L105 36,165 1,500 X X 28-5284 1500 POPULAR INC COM 733174106 15,748 5,393 X X 28-5284 5393 PORTFOLIO RECOVERY ASSOCS IN COM 73640Q105 21,623 254 X 28-5284 254 2,875,862 33,782 X 28-13605 33782 14,302 168 X X 28-13605 168 508,062 5,968 X 28-13605 5968 PORTUGAL TELECOM SGPS S A SPONSORED ADR 737273102 11,967 1,029 X 28-5284 1029 POTASH CORP SASK INC COM 73755L107 769,979 13,066 X 28-5284 11100 1966 1,804,260 30,617 X X 28-5284 11531 19086 POTLATCH CORP NEW COM 737630103 118,590 2,950 X 28-5284 2950 40,200 1,000 X X 28-5284 400 600 POWER ONE INC NEW COM 73930R102 8,750 1,000 X 28-5284 1000 POWERSHARES QQQ TRUST UNIT SER 1 73935A104 15,381,592 267,832 X 28-5284 267832 5,570,308 96,993 X X 28-5284 89796 7197 68,169 1,187 X X 28-13663 1187 POWERSHARES ACTIVE MNG ETF T US REAL EST FD 73935B508 61,738 1,250 X X 28-5284 1250 COLUMN TOTAL 28,885,660 FILE NO. 28-1235 PAGE 183 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ POWERSHARES INDIA ETF TR INDIA PORT 73935L100 95,920 4,000 X X 28-5284 4000 POWERSHARES DB CMDTY IDX TRA UNIT BEN INT 73935S105 1,654,862 54,240 X 28-5284 54240 2,244,773 73,575 X X 28-5284 73575 POWERSHARES ETF TRUST DWA TECH LDRS 73935X153 25,640 1,000 X X 28-5284 1000 POWERSHARES ETF TRUST WILDERHILL PRO 73935X161 18,732 615 X X 28-5284 615 POWERSHARES ETF TRUST FINL PFD PTFL 73935X229 96,142 5,300 X X 28-5284 5300 POWERSHARES ETF TRUST CLEANTECH PORT 73935X278 16,063 545 X 28-5284 545 POWERSHARES ETF TRUST BNKING SEC POR 73935X336 520,143 40,011 X 28-5284 40011 POWERSHARES ETF TRUST GOLDEN DRG USX 73935X401 60,809 2,185 X X 28-5284 2185 POWERSHARES ETF TRUST BASIC MAT SECT 73935X427 15,628 400 X X 28-5284 400 POWERSHARES ETF TRUST WNDRHLL CLN EN 73935X500 113,160 10,507 X 28-5284 10507 81,055 7,526 X X 28-5284 7526 POWERSHARES ETF TRUST WATER RESOURCE 73935X575 24,001 1,180 X 28-5284 1180 1,214,298 59,700 X X 28-5284 59500 200 POWERSHARES ETF TRUST FTSE RAFI 1000 73935X583 5,829,410 98,553 X 28-5284 89806 8747 3,543,322 59,904 X X 28-5284 9904 50000 311,247 5,262 X 28-13663 5262 798,880 13,506 X X 28-13663 13506 POWERSHARES ETF TRUST DYNM LRG CP GR 73935X609 18,278 1,072 X X 28-5284 1072 POWERSHARES ETF TRUST LX NANOTCH PTF 73935X633 960 100 X X 28-5284 100 POWERSHARES ETF TRUST INTL DIV ACHV 73935X716 3,238 200 X 28-5284 200 16,190 1,000 X X 28-5284 1000 POWERSHARES ETF TRUST DYNM MC GRWTH 73935X807 19,166 829 X X 28-5284 829 POWERSHARES ETF TRUST DYNM SM CP GRW 73935X872 20,439 1,112 X X 28-5284 1112 POWERSHS DB MULTI SECT COMM DB ENERGY FUND 73936B101 424,072 13,484 X 28-5284 6790 6694 30,349 965 X X 28-5284 965 COLUMN TOTAL 17,196,777 FILE NO. 28-1235 PAGE 184 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ POWERSHS DB MULTI SECT COMM DB PREC MTLS 73936B200 89,243 1,642 X 28-5284 1642 POWERSHS DB MULTI SECT COMM DB AGRICULT FD 73936B408 20,509,623 599,171 X 28-5284 594283 4888 1,156,324 33,781 X X 28-5284 33556 225 63,805 1,864 X 28-13663 1864 308,070 9,000 X X 28-13663 9000 POWERSHS DB MULTI SECT COMM DB OIL FUND 73936B507 1,613 50 X X 28-5284 50 POWERSHS DB MULTI SECT COMM DB BASE METALS 73936B705 97,436 3,990 X 28-5284 3990 POWERSHS DB US DOLLAR INDEX DOLL INDX BEAR 73936D206 8,442 300 X 28-5284 300 POWERSECURE INTL INC COM 73936N105 43,860 5,100 X X 28-5284 5100 POWERSHARES ETF TRUST II DWA EMRG MKTS 73936Q207 18,440 1,000 X X 28-5284 1000 POWERSHARES ETF TRUST II GLOBL AGRI ETF 73936Q702 16,500 500 X X 28-5284 500 POWERSHARES ETF TRUST II CEF INC COMPST 73936Q843 5,144 200 X X 28-5284 200 POWERSHARES GLOBAL ETF TRUST WK VRDO TX FR 73936T433 99,960 4,000 X 28-5284 4000 POWERSHARES GLOBAL ETF TRUST SOVEREIGN DEBT 73936T573 5,284 200 X 28-5284 200 89,828 3,400 X X 28-5284 3400 POWERSHARES GLOBAL ETF TRUST GBL CLEAN ENER 73936T615 14,541 925 X 28-5284 925 POWERSHARES GLOBAL ETF TRUST GBL WTR PORT 73936T623 31,667 1,550 X 28-5284 1550 38,817 1,900 X X 28-5284 1900 POWERSHARES ETF TR II GLB NUCLR ENRG 73937B100 1,976 100 X 28-5284 100 POWERSHARES ETF TR II EMRG MKTS INFR 73937B209 318,010 5,900 X X 28-5284 5900 POWERSHARES ETF TR II BUILD AMER ETF 73937B407 4,938,222 196,039 X 28-5284 192039 4000 2,974,410 118,079 X X 28-5284 116879 1200 145,346 5,770 X 28-13663 2179 3591 836,308 33,200 X X 28-13663 33200 POZEN INC COM 73941U102 3,759 700 X 28-5284 700 COLUMN TOTAL 31,816,628 FILE NO. 28-1235 PAGE 185 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PRAXAIR INC COM 74005P104 48,179,533 474,208 X 28-5284 450166 24042 24,998,375 246,047 X X 28-5284 227452 321 18274 1,091,489 10,743 X 28-13605 1569 9174 2,134 21 X X 28-13605 21 454,762 4,476 X 28-13663 4427 49 362,610 3,569 X X 28-13663 3390 179 PRE PAID LEGAL SVCS INC COM 740065107 5,280 80 X 28-5284 80 PRECISION CASTPARTS CORP COM 740189105 2,076,857 14,111 X 28-5284 12912 1199 1,690,362 11,485 X X 28-5284 11082 13 390 1,029,671 6,996 X 28-13605 2636 4360 93,165 633 X X 28-13605 633 71,824 488 X 28-13663 488 228,129 1,550 X X 28-13663 1550 PRECISION DRILLING CORP COM 2010 74022D308 588,286 43,448 X 28-5284 43448 271 20 X X 28-5284 120 100- 299,369 22,110 X 28-13605 22110 25,780 1,904 X 28-13663 1904 PRESIDENTIAL LIFE CORP COM 740884101 2,097 220 X 28-5284 220 PRESTIGE BRANDS HLDGS INC COM 74112D101 329,452 28,648 X 28-13605 28648 PRICE T ROWE GROUP INC COM 74144T108 62,921,592 947,329 X 28-5284 928774 18555 54,105,533 814,597 X X 28-5284 793084 109 21404 24,823,479 373,735 X 28-13605 356864 16871 5,485,960 82,595 X X 28-13605 78307 335 3953 473,774 7,133 X 28-13663 6883 250 531,227 7,998 X X 28-13663 7998 PRICELINE COM INC COM NEW 741503403 3,875,279 7,652 X 28-5284 7060 592 1,888,515 3,729 X X 28-5284 3699 30 867,532 1,713 X 28-13605 251 1462 154,464 305 X 28-13663 300 5 400,088 790 X X 28-13663 790 PRICESMART INC COM 741511109 143,446 3,915 X 28-13605 3915 PRIDE INTL INC DEL COM 74153Q102 8,590 200 X 28-5284 200 58,068 1,352 X X 28-5284 1352 COLUMN TOTAL 237,266,993 FILE NO. 28-1235 PAGE 186 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PRINCIPAL FINL GROUP INC COM 74251V102 765,502 23,840 X 28-5284 21202 2638 775,553 24,153 X X 28-5284 24153 426,132 13,271 X 28-13605 1940 11331 PROCTER & GAMBLE CO COM 742718109 516,652,998 8,387,224 X 28-5284 8295837 200 91187 351,402,066 5,704,579 X X 28-5284 4813948 11735 878896 50,706,533 823,158 X 28-13605 687687 135471 8,592,830 139,494 X X 28-13605 132363 511 6620 2,557,755 41,522 X 28-13663 40104 1418 1,490,658 24,199 X X 28-13663 23492 707 PRIVATEBANCORP INC COM 742962103 3,318 217 X 28-5284 217 PROGENICS PHARMACEUTICALS IN COM 743187106 2,398 388 X 28-5284 388 618 100 X X 28-5284 100 PROGRESS ENERGY INC COM 743263105 2,331,085 50,522 X 28-5284 48362 2160 1,811,410 39,259 X X 28-5284 37319 16 1924 462,231 10,018 X 28-13605 1463 8555 738 16 X X 28-13605 16 98,048 2,125 X 28-13663 2100 25 96,894 2,100 X X 28-13663 2100 PROGRESS SOFTWARE CORP COM 743312100 18,647 641 X 28-5284 86 555 PROGRESSIVE CORP OHIO COM 743315103 3,007,243 142,321 X 28-5284 93351 48970 3,285,039 155,468 X X 28-5284 132321 27 23120 524,256 24,811 X 28-13605 3624 21187 571 27 X X 28-13605 27 3,529 167 X 28-13663 167 14,220 673 X X 28-13663 673 PROLOGIS NOTE 2.625% 5 743410AS1 198,750 2,000 X X 28-5284 2000 PROLOGIS SH BEN INT 743410102 92,716 5,802 X 28-5284 890 4912 85,669 5,361 X X 28-5284 5338 23 321,566 20,123 X 28-13605 2938 17185 368 23 X X 28-13605 23 3,691 231 X 28-13663 231 PROSHARES TR PSHS ULT S&P 5 74347R107 15,981 300 X 28-5284 300 359,573 6,750 X X 28-5284 6750 COLUMN TOTAL 946,108,586 FILE NO. 28-1235 PAGE 187 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PROSHARES TR PSHS ULTRA QQQ 74347R206 111,563 1,240 X 28-5284 1240 PROSHARES TR PSHS ULTSH 20Y 74347R297 1,149,595 30,705 X 28-5284 29105 1600 16,848 450 X X 28-5284 450 PROSHARES TR PSHS ULTRA DOW 74347R305 15,483 250 X 28-5284 250 PROSHARES TR PSHS ULSHT 7-1 74347R313 870,734 20,575 X 28-5284 20575 PROSHARES TR PSHS SHRT S&P5 74347R503 537,186 13,048 X 28-5284 13048 PROSHARES TR PSHS SHORT QQQ 74347R602 188,732 5,800 X 28-5284 5800 PROSHARES TR PSHS SHORT DOW 74347R701 253,319 6,150 X 28-5284 6150 PROSHARES TR PSHS ULTRA O&G 74347R719 30,945 500 X 28-5284 500 3,095 50 X X 28-5284 50 PROSHARES TR PSHS ULT BASMA 74347R776 16,770 300 X X 28-5284 300 PROSHARES TR PSHS SH MDCAP4 74347R800 39,563 1,314 X 28-5284 1314 PROSHARES TR PSHS SHTRUSS20 74347R826 39,169 1,330 X 28-5284 1330 PROSHARES TR PSHS ULTASH DW 74347R867 512,295 28,700 X 28-5284 28700 492,660 27,600 X X 28-5284 27600 PROSHARES TR PSHS ULSHT SP5 74347R883 941,337 44,997 X 28-5284 44997 733,874 35,080 X X 28-5284 35080 PROSHARES TR II ULTRA GOLD 74347W601 7,113 100 X 28-5284 100 PROSHARES TR PSHS ULTSHRT Q 74347X237 6,829 134 X 28-5284 134 PROSHARES TR REAL EST NEW 74347X583 3,092 200 X 28-5284 200 PROSHARES TR ULTRA FNCLS NE 74347X633 29,231 418 X X 28-5284 418 PROSHARES TR PSHS ULSHRUS20 74348A202 14,703 352 X 28-5284 352 65,078 1,558 X X 28-5284 1558 PROSHARES TR PSHS ULSH SC 6 74348A400 252,485 5,520 X 28-5284 5520 243,337 5,320 X X 28-5284 5320 COLUMN TOTAL 6,575,036 FILE NO. 28-1235 PAGE 188 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PROSPERITY BANCSHARES INC COM 743606105 330,270 7,722 X 28-5284 2520 5202 42,770 1,000 X X 28-5284 1000 1,646,559 38,498 X 28-13605 38498 6,843 160 X X 28-13605 160 240,703 5,628 X 28-13605 5628 PROTECTIVE LIFE CORP COM 743674103 55,277 2,082 X 28-5284 2082 97,545 3,674 X X 28-5284 3424 250 PROVIDENT FINL SVCS INC COM 74386T105 128,168 8,660 X X 28-5284 5660 3000 PROVIDENT ENERGY LTD NEW COM 74386V100 201,159 21,700 X 28-5284 21700 126,999 13,700 X X 28-5284 13700 PROVIDENT NEW YORK BANCORP COM 744028101 34,056 3,300 X X 28-5284 3300 PRUDENTIAL FINL INC COM 744320102 3,381,789 54,917 X 28-5284 50522 4395 727,691 11,817 X X 28-5284 11480 24 313 9,154,175 148,655 X 28-13605 91280 57375 1,119,401 18,178 X X 28-13605 17841 34 303 24,447 397 X 28-13663 117 280 PRUDENTIAL PLC ADR 74435K204 27,378 1,205 X 28-5284 1205 11,360 500 X X 28-5284 500 PUBLIC SVC ENTERPRISE GROUP COM 744573106 6,255,838 198,535 X 28-5284 195437 200 2898 9,035,934 286,764 X X 28-5284 271218 2 15544 535,386 16,991 X 28-13605 2481 14510 63 2 X X 28-13605 2 3,592 114 X 28-13663 114 38,883 1,234 X X 28-13663 1076 158 PUBLIC STORAGE COM 74460D109 1,641,135 14,797 X 28-5284 13254 1543 905,247 8,162 X X 28-5284 8157 5 3,493,887 31,502 X 28-13605 26916 4586 422,456 3,809 X X 28-13605 3809 PULSE ELECTRONICS CORP COM 74586W106 40,535 6,700 X X 28-5284 6700 PULTE GROUP INC COM 745867101 16,317 2,205 X 28-5284 300 1905 10,456 1,413 X X 28-5284 1413 40,833 5,518 X 28-13605 808 4710 PUTNAM MANAGED MUN INCOM TR COM 746823103 24,150 3,500 X 28-5284 3500 COLUMN TOTAL 39,821,302 FILE NO. 28-1235 PAGE 189 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ PUTNAM PREMIER INCOME TR SH BEN INT 746853100 7,128 1,100 X 28-5284 1100 PUTNAM MASTER INTER INCOME T SH BEN INT 746909100 9,090 1,538 X 28-5284 1538 16,548 2,800 X X 28-5284 2800 PUTNAM MUN OPPORTUNITIES TR SH BEN INT 746922103 26,016 2,400 X 28-5284 2400 8,130 750 X X 28-5284 750 QLOGIC CORP COM 747277101 167,098 9,008 X 28-5284 525 8483 26,842 1,447 X X 28-5284 847 600 2,226 120 X 28-13663 120 QUAD / GRAPHICS INC COM CL A 747301109 2,355,270 55,366 X X 28-5284 55366 QUAKER CHEM CORP COM 747316107 4,419 110 X 28-5284 110 228,969 5,700 X X 28-5284 1500 4200 QKL STORES INC COM 74732Y105 1,478 560 X 28-5284 560 QLIK TECHNOLOGIES INC COM 74733T105 25,142 967 X 28-5284 967 154,050 5,925 X X 28-5284 55 5870 QEP RES INC COM 74733V100 1,713,423 42,265 X 28-5284 41724 541 6,607,736 162,993 X X 28-5284 158982 11 4000 252,848 6,237 X 28-13605 910 5327 446 11 X X 28-13605 11 12,162 300 X 28-13663 300 QR ENERGY LP UNIT LTD PRTNS 74734R108 2,245 100 X X 28-5284 100 QUALCOMM INC COM 747525103 82,440,469 1,503,565 X 28-5284 1440978 62587 41,734,841 761,168 X X 28-5284 692687 2114 66367 35,165,769 641,360 X 28-13605 580407 60953 6,694,743 122,100 X X 28-13605 116865 421 4814 690,694 12,597 X 28-13663 9244 3353 570,616 10,407 X X 28-13663 10209 198 QUALITY SYS INC COM 747582104 494,540 5,934 X 28-5284 1357 4577 300,024 3,600 X X 28-5284 3600 16,751 201 X 28-13663 201 COLUMN TOTAL 179,729,713 FILE NO. 28-1235 PAGE 190 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ QUANTA SVCS INC COM 74762E102 1,122,868 50,061 X 28-5284 49016 1045 903,122 40,264 X X 28-5284 25055 15209 171,522 7,647 X 28-13605 1116 6531 942 42 X 28-13663 42 1,323 59 X X 28-13663 59 QUANTUM CORP COM DSSG 747906204 6,295 2,498 X 28-5284 2498 QUATERRA RES INC COM 747952109 41,750 25,000 X 28-5284 25000 QUEST DIAGNOSTICS INC COM 74834L100 1,468,281 25,438 X 28-5284 24589 849 1,037,921 17,982 X X 28-5284 15268 14 2700 321,327 5,567 X 28-13605 815 4752 808 14 X X 28-13605 14 QUESTCOR PHARMACEUTICALS INC COM 74835Y101 173,986 12,074 X 28-13605 12074 QUESTAR CORP COM 748356102 1,044,627 59,864 X 28-5284 57423 2441 3,131,804 179,473 X X 28-5284 167492 11 11970 192 11 X X 28-13605 11 10,470 600 X 28-13663 600 QUICKSILVER RESOURCES INC COM 74837R104 6,440 450 X 28-5284 450 11,334 792 X X 28-5284 792 QUIKSILVER INC COM 74838C106 4,420 1,000 X 28-5284 1000 QUIDEL CORP COM 74838J101 74,750 6,250 X X 28-5284 6250 QWEST COMMUNICATIONS INTL IN COM 749121109 568,037 83,168 X 28-5284 72948 10220 398,838 58,395 X X 28-5284 58284 111 462,261 67,681 X 28-13605 9893 57788 758 111 X X 28-13605 111 RAIT FINANCIAL TRUST COM 749227104 7,380 3,000 X 28-5284 3000 1,845 750 X X 28-5284 750 RC2 CORP COM 749388104 19,670 700 X X 28-5284 700 RGC RES INC COM 74955L103 29,028 850 X X 28-5284 850 COLUMN TOTAL 11,021,999 FILE NO. 28-1235 PAGE 191 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ RLI CORP COM 749607107 12,107 210 X 28-5284 70 140 5,765 100 X X 28-5284 100 1,202,579 20,860 X 28-13605 20860 7,149 124 X X 28-13605 124 253,905 4,404 X 28-13605 4404 RPC INC COM 749660106 256,365 10,125 X 28-5284 10125 67,098 2,650 X X 28-5284 2250 400 RPM INTL INC COM 749685103 1,259,802 53,089 X 28-5284 50089 3000 694,197 29,254 X X 28-5284 29254 RTI INTL METALS INC COM 74973W107 8,411 270 X 28-5284 270 18,690 600 X X 28-5284 600 RF MICRODEVICES INC COM 749941100 17,974 2,804 X X 28-5284 304 2500 198,454 30,960 X 28-13605 30960 RACKSPACE HOSTING INC COM 750086100 6,428 150 X 28-5284 150 34,280 800 X X 28-5284 600 200 406,261 9,481 X 28-13605 9481 RADIAN GROUP INC COM 750236101 132,114 19,400 X 28-5284 19400 RADIANT SYSTEMS INC COM 75025N102 10,873 615 X 28-5284 355 260 26,520 1,500 X X 28-5284 1500 RADIOSHACK CORP COM 750438103 51,785 3,450 X 28-5284 3269 181 31,581 2,104 X X 28-5284 2104 90,510 6,030 X 28-13605 880 5150 RADISYS CORP COM 750459109 4,936 570 X 28-5284 350 220 RAMBUS INC DEL COM 750917106 16,630 842 X X 28-5284 842 RALCORP HLDGS INC NEW COM 751028101 234,099 3,421 X 28-5284 1321 2100 318,405 4,653 X X 28-5284 2008 2645 13,686 200 X 28-13663 200 RANGE RES CORP COM 75281A109 497,027 8,502 X 28-5284 4791 3711 1,425,898 24,391 X X 28-5284 6926 303 17162 191,515 3,276 X 28-13605 480 2796 175 3 X X 28-13605 3 COLUMN TOTAL 7,495,219 FILE NO. 28-1235 PAGE 192 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ RAVEN INDS INC COM 754212108 6,142 100 X 28-5284 100 RAYMOND JAMES FINANCIAL INC COM 754730109 512,837 13,411 X 28-5284 529 12882 343,204 8,975 X X 28-5284 1605 7370 160,608 4,200 X 28-13605 4200 20,267 530 X 28-13663 530 RAYONIER INC COM 754907103 459,225 7,370 X 28-5284 6904 466 491,314 7,885 X X 28-5284 7496 389 RAYTHEON CO *W EXP 06/16/2 755111119 65,333 5,045 X 28-5284 518 4527 RAYTHEON CO COM NEW 755111507 7,837,744 154,074 X 28-5284 150017 4057 14,325,246 281,605 X X 28-5284 267360 95 14150 648,440 12,747 X 28-13605 1863 10884 2,798 55 X X 28-13605 55 112,677 2,215 X X 28-13663 1976 239 RBC BEARINGS INC COM 75524B104 1,529 40 X X 28-5284 40 REALPAGE INC COM 75606N109 943 34 X X 28-5284 34 REALTY INCOME CORP COM 756109104 83,880 2,400 X 28-5284 2400 89,297 2,555 X X 28-5284 1855 700 RED HAT INC COM 756577102 427,892 9,427 X 28-5284 6014 3413 872,487 19,222 X X 28-5284 15632 3590 305,293 6,726 X 28-13605 982 5744 80,113 1,765 X 28-13663 1765 REDDY ICE HLDGS INC COM 75734R105 939 313 X X 28-5284 313 REDWOOD TR INC COM 758075402 16,903 1,087 X 28-5284 1087 REED ELSEVIER N V SPONS ADR NEW 758204200 31,668 1,226 X 28-5284 1226 6,406 248 X X 28-5284 248 REED ELSEVIER P L C SPONS ADR NEW 758205207 38,000 1,097 X 28-5284 930 167 REGAL BELOIT CORP COM 758750103 27,686 375 X 28-5284 375 73,756 999 X X 28-5284 299 700 1,896,693 25,690 X 28-13605 25690 9,893 134 X X 28-13605 134 346,846 4,698 X 28-13605 4698 COLUMN TOTAL 29,296,059 FILE NO. 28-1235 PAGE 193 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ REGAL ENTMT GROUP CL A 758766109 25,650 1,900 X 28-5284 1900 7,587 562 X X 28-5284 562 REGENCY CTRS CORP COM 758849103 42,654 981 X X 28-5284 981 REGENCY ENERGY PARTNERS L P COM UNITS L P 75885Y107 72,781 2,665 X 28-5284 2665 388,130 14,212 X X 28-5284 14212 REGENERON PHARMACEUTICALS COM 75886F107 35,143 782 X 28-5284 142 640 25,301 563 X X 28-5284 563 REGIS CORP MINN COM 758932107 1,189 67 X 28-5284 67 REGIONS FINANCIAL CORP NEW COM 7591EP100 669,895 92,272 X 28-5284 84276 7996 507,249 69,869 X X 28-5284 68761 138 970 338,628 46,643 X 28-13605 6811 39832 1,002 138 X X 28-13605 138 REHABCARE GROUP INC COM 759148109 22,859 620 X 28-5284 400 220 REINSURANCE GROUP AMER INC COM NEW 759351604 24,610 392 X 28-5284 392 39,928 636 X X 28-5284 636 127,506 2,031 X 28-13605 2031 4,834 77 X X 28-13605 77 REIS INC COM 75936P105 395 50 X X 28-5284 50 RELIANCE STEEL & ALUMINUM CO COM 759509102 14,329 248 X 28-5284 248 31,201 540 X X 28-5284 540 RENESOLA LTD SPONS ADS 75971T103 2,110 200 X X 28-5284 200 RENTECH INC COM 760112102 2,500 2,000 X 28-5284 2000 1,250 1,000 X X 28-5284 1000 REPUBLIC BANCORP KY CL A 760281204 376,860 19,346 X 28-5284 19346 REPUBLIC FIRST BANCORP INC COM 760416107 41,244 14,804 X 28-5284 14804 COLUMN TOTAL 2,804,835 FILE NO. 28-1235 PAGE 194 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ REPUBLIC SVCS INC COM 760759100 547,149 18,214 X 28-5284 12579 5635 291,478 9,703 X X 28-5284 4732 1 4970 389,529 12,967 X 28-13605 1896 11071 30 1 X X 28-13605 1 1,862 62 X 28-13663 62 RESEARCH IN MOTION LTD COM 760975102 592,935 10,487 X 28-5284 10387 100 112,741 1,994 X X 28-5284 1994 RESMED INC COM 761152107 198,000 6,600 X 28-5284 6600 780,900 26,030 X X 28-5284 14046 11984 RESOLUTE ENERGY CORP COM 76116A108 119,724 6,600 X 28-5284 6600 209,354 11,541 X 28-13605 11541 RESOURCE AMERICA INC CL A 761195205 21,813 3,403 X 28-5284 3403 RESOURCES CONNECTION INC COM 76122Q105 1,377 71 X X 28-5284 71 RETAIL VENTURES INC COM 76128Y102 316,727 18,361 X 28-13605 18361 REX ENERGY CORPORATION COM 761565100 75,660 6,500 X 28-5284 6500 REYNOLDS AMERICAN INC COM 761713106 1,241,063 34,930 X 28-5284 24482 10448 671,233 18,892 X X 28-5284 18494 398 370,009 10,414 X 28-13605 1521 8893 41,712 1,174 X X 28-13663 792 382 RICKS CABARET INTL INC COM NEW 765641303 2,180 200 X 28-5284 200 RIGHTNOW TECHNOLOGIES INC COM 76657R106 545,852 17,431 X 28-5284 17431 1,098,123 35,067 X X 28-5284 34967 100 23,956 765 X 28-13663 765 RIO TINTO PLC SPONSORED ADR 767204100 1,932,544 27,173 X 28-5284 25976 1197 1,761,642 24,770 X X 28-5284 13230 11540 40,752 573 X 28-13663 573 RITCHIE BROS AUCTIONEERS COM 767744105 14,075 500 X 28-5284 500 244,905 8,700 X X 28-5284 8700 1,245,018 44,228 X 28-13605 44228 7,910 281 X X 28-13605 281 282,902 10,050 X 28-13605 10050 COLUMN TOTAL 13,183,155 FILE NO. 28-1235 PAGE 195 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ RITE AID CORP COM 767754104 9,823 9,267 X 28-5284 8500 767 9,964 9,400 X X 28-5284 8800 600 RIVERBED TECHNOLOGY INC COM 768573107 48,569 1,290 X 28-5284 1012 278 44,239 1,175 X X 28-5284 1175 150,525 3,998 X 28-13605 3998 RMR ASIA PAC REAL EST FD NEW COM 76970B101 34,980 2,000 X X 28-5284 2000 ROBBINS & MYERS INC COM 770196103 28,606 622 X 28-5284 242 380 5,976,860 129,960 X X 28-5284 129960 ROBERT HALF INTL INC COM 770323103 36,536 1,194 X 28-5284 1021 173 141,525 4,625 X X 28-5284 1325 3300 107,345 3,508 X 28-13605 512 2996 ROCK-TENN CO CL A 772739207 5,271 76 X 28-5284 76 125,870 1,815 X 28-13605 1815 ROCKWELL AUTOMATION INC COM 773903109 22,049,380 232,957 X 28-5284 230484 2473 7,149,388 75,535 X X 28-5284 65565 205 9765 463,974 4,902 X 28-13605 715 4187 473 5 X X 28-13605 5 99,666 1,053 X 28-13663 1000 53 30,004 317 X X 28-13663 125 192 ROCKWELL COLLINS INC COM 774341101 1,195,530 18,441 X 28-5284 18040 401 2,964,222 45,723 X X 28-5284 32140 11 13572 358,575 5,531 X 28-13605 807 4724 713 11 X X 28-13605 11 4,149 64 X 28-13663 64 ROCKWOOD HLDGS INC COM 774415103 182,409 3,706 X 28-5284 250 3456 372,743 7,573 X X 28-5284 45 7528 702,369 14,270 X 28-13605 14270 ROFIN SINAR TECHNOLOGIES INC COM 775043102 10,349 262 X 28-5284 262 80,936 2,049 X X 28-5284 2049 871,370 22,060 X 28-13605 22060 4,701 119 X X 28-13605 119 169,592 4,293 X 28-13605 4293 ROGERS COMMUNICATIONS INC CL B 775109200 123,614 3,396 X 28-5284 3136 260 18,200 500 X X 28-5284 500 COLUMN TOTAL 43,572,470 FILE NO. 28-1235 PAGE 196 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ROGERS CORP COM 775133101 8,156 181 X 28-5284 31 150 ROLLINS INC COM 775711104 170,581 8,403 X 28-5284 8403 195,245 9,618 X X 28-5284 9618 ROPER INDS INC NEW COM 776696106 1,542,446 17,840 X 28-5284 8385 9455 919,848 10,639 X X 28-5284 7473 3166 486,683 5,629 X 28-13605 2805 2824 1,816 21 X 28-13663 21 121,044 1,400 X X 28-13663 1400 ROSETTA RESOURCES INC COM 777779307 1,190 25 X X 28-5284 25 ROSETTA STONE INC COM 777780107 201,717 15,270 X 28-5284 800 14470 7,979 604 X 28-13663 604 ROSS STORES INC COM 778296103 14,723,476 207,023 X 28-5284 204041 2982 6,680,444 93,932 X X 28-5284 91272 100 2560 307,096 4,318 X 28-13605 630 3688 165,425 2,326 X 28-13663 2202 124 101,275 1,424 X X 28-13663 1424 ROVI CORP COM 779376102 13,466 251 X 28-5284 251 55,206 1,029 X X 28-5284 879 150 ROWAN COS INC COM 779382100 20,588 466 X 28-5284 110 356 380,832 8,620 X X 28-5284 2070 6550 344,737 7,803 X 28-13605 2479 5324 2,607 59 X X 28-13605 59 ROYAL BK CDA MONTREAL QUE COM 780087102 139,123 2,245 X 28-5284 2245 664,690 10,726 X X 28-5284 6676 4050 123,940 2,000 X X 28-13663 2000 ROYAL BK SCOTLAND GROUP PLC SP ADR PREF T 780097713 25,676 1,310 X 28-5284 1310 ROYAL BK SCOTLAND GROUP PLC SP ADR PREF S 780097739 52,530 3,000 X 28-5284 3000 17,510 1,000 X X 28-5284 1000 ROYAL BK SCOTLAND GROUP PLC ADR PREF SHS Q 780097754 5,382 300 X 28-5284 300 17,940 1,000 X X 28-5284 1000 ROYAL BK SCOTLAND GROUP PLC ADR PREF SER N 780097770 34,020 2,000 X X 28-5284 2000 COLUMN TOTAL 27,532,668 FILE NO. 28-1235 PAGE 197 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ROYAL BK SCOTLAND GROUP PLC SP ADR PREF M 780097796 8,605 500 X 28-5284 500 13,768 800 X X 28-5284 800 ROYAL BK SCOTLAND GROUP PLC SPON ADR SER H 780097879 7,875 350 X 28-5284 350 ROYAL DUTCH SHELL PLC SPON ADR B 780259107 512,021 6,991 X 28-5284 5323 1668 3,440,522 46,976 X X 28-5284 46523 453 40,355 551 X 28-13663 551 ROYAL DUTCH SHELL PLC SPONS ADR A 780259206 25,190,325 345,736 X 28-5284 344346 1390 28,422,613 390,099 X X 28-5284 358611 200 31288 89,108 1,223 X 28-13663 1223 34,900 479 X X 28-13663 479 ROYAL GOLD INC COM 780287108 486,482 9,284 X 28-5284 9284 19,231 367 X X 28-5284 367 21,117 403 X 28-13663 403 ROYCE VALUE TR INC COM 780910105 35,397 2,300 X X 28-5284 2300 RUBICON TECHNOLOGY INC COM 78112T107 55,360 2,000 X 28-5284 2000 88,576 3,200 X X 28-5284 3200 RUBY TUESDAY INC COM 781182100 26,220 2,000 X 28-5284 2000 39,330 3,000 X X 28-5284 3000 RUDDICK CORP COM 781258108 174,967 4,534 X 28-13605 4534 RUDOLPH TECHNOLOGIES INC COM 781270103 2,516 230 X 28-5284 230 RUE21 INC COM 781295100 2,875 100 X 28-5284 100 RURBAN FINL CORP COM 78176P108 30,300 10,000 X 28-5284 10000 RUSH ENTERPRISES INC CL A 781846209 1,901 96 X X 28-5284 96 RYANAIR HLDGS PLC SPONSORED ADR 783513104 61,716 2,220 X X 28-5284 2220 RYDER SYS INC COM 783549108 118,252 2,337 X 28-5284 6 2331 223,956 4,426 X X 28-5284 397 4029 87,842 1,736 X 28-13605 253 1483 COLUMN TOTAL 59,236,130 FILE NO. 28-1235 PAGE 198 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ RYDEX ETF TRUST S&P 500 EQ TRD 78355W106 20,184 400 X 28-5284 400 90,828 1,800 X X 28-5284 1800 RYDEX ETF TRUST TOP 50 ETF 78355W205 16,835 180 X 28-5284 180 RYLAND GROUP INC COM 783764103 19,080 1,200 X X 28-5284 1200 S & T BANCORP INC COM 783859101 433,837 20,113 X 28-5284 20113 109,489 5,076 X X 28-5284 4676 400 SBA COMMUNICATIONS CORP COM 78388J106 7,936 200 X 28-5284 200 387,753 9,772 X X 28-5284 983 8789 SAIC INC COM 78390X101 7,648 452 X 28-5284 452 41,962 2,480 X X 28-5284 2480 171,095 10,112 X 28-13605 1476 8636 SEI INVESTMENTS CO COM 784117103 308,649 12,925 X 28-5284 6275 6650 59,748 2,502 X X 28-5284 2502 SJW CORP COM 784305104 32,410 1,400 X X 28-5284 1400 SK TELECOM LTD SPONSORED ADR 78440P108 154,994 8,240 X 28-5284 2447 5793 3,612 192 X X 28-5284 192 SL GREEN RLTY CORP COM 78440X101 124,080 1,650 X 28-5284 1650 351,184 4,670 X X 28-5284 530 4140 S L INDS INC COM 784413106 15,106 825 X 28-5284 825 SLM CORP COM 78442P106 151,531 9,904 X 28-5284 7388 2516 70,977 4,639 X X 28-5284 5030 9 400- 326,701 21,353 X 28-13605 3118 18235 138 9 X X 28-13605 9 6,105 399 X X 28-13663 399 SM ENERGY CO COM 78454L100 11,129 150 X 28-5284 150 35,463 478 X X 28-5284 478 COLUMN TOTAL 2,958,474 FILE NO. 28-1235 PAGE 199 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SPDR S&P 500 ETF TR TR UNIT 78462F103 500,143,535 3,772,106 X 28-5284 3732879 39227 202,720,298 1,528,926 X X 28-5284 1452846 1620 74460 1,759,867 13,273 X 28-13605 13273 6,458,061 48,707 X 28-13663 48707 1,827,753 13,785 X X 28-13663 13785 SPDR GOLD TRUST GOLD SHS 78463V107 44,915,340 321,145 X 28-5284 316327 4818 21,989,069 157,222 X X 28-5284 148071 1498 7653 228,391 1,633 X 28-13663 1633 483,916 3,460 X X 28-13663 3256 204 SPDR INDEX SHS FDS EURO STOXX 50 78463X202 407 10 X X 28-5284 10 SPDR INDEX SHS FDS S&P CHINA ETF 78463X400 23,382 291 X 28-5284 291 SPDR INDEX SHS FDS EMERG MKTS ETF 78463X509 15,361 204 X X 28-5284 204 SPDR INDEX SHS FDS S&PINTL MC ETF 78463X764 64,360 2,000 X 28-5284 2000 128,334 3,988 X X 28-5284 3988 SPDR INDEX SHS FDS MIDEAST AFRICA 78463X806 22,548 300 X 28-5284 300 SPDR INDEX SHS FDS MSCI ACWI EXUS 78463X848 3,569,177 101,657 X 28-5284 101657 41,956 1,195 X X 28-5284 1195 SPDR INDEX SHS FDS MACQU GLBIN100 78463X855 21,440 500 X 28-5284 500 SPDR INDEX SHS FDS DJ INTL RL ETF 78463X863 19,515 500 X 28-5284 500 246,865 6,325 X X 28-5284 525 5800 SPDR INDEX SHS FDS S&P INTL SMLCP 78463X871 119,916 3,796 X X 28-5284 3796 SPDR INDEX SHS FDS S&P WRLD EX US 78463X889 11,336 420 X 28-5284 420 SPX CORP COM 784635104 828,593 10,437 X 28-5284 7722 2715 1,703,471 21,457 X X 28-5284 16734 4723 SPDR SERIES TRUST MORGAN TECH ET 78464A102 1,616,234 23,877 X 28-5284 23877 420,355 6,210 X X 28-5284 6010 200 SPDR SERIES TRUST S&P 600 SMCP V 78464A300 30,345 415 X X 28-5284 415 COLUMN TOTAL 789,409,825 FILE NO. 28-1235 PAGE 200 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SPDR SERIES TRUST BRCLYS CAP CON 78464A359 1,610,425 38,207 X 28-5284 37207 1000 392,543 9,313 X X 28-5284 9063 250 SPDR SERIES TRUST INTR TRM CORP 78464A375 97,577 2,984 X X 28-5284 2984 SPDR SERIES TRUST BRCLYS YLD ETF 78464A417 27,497,094 678,773 X 28-5284 677329 1444 6,066,332 149,749 X X 28-5284 137488 1291 10970 527,643 13,025 X 28-13663 13025 2,403,134 59,322 X X 28-13663 59322 SPDR SERIES TRUST NUVN BR SHT MU 78464A425 46,042,300 1,932,115 X 28-5284 1918006 14109 12,028,717 504,772 X X 28-5284 418370 86402 1,029,885 43,218 X 28-13663 37155 6063 200,672 8,421 X X 28-13663 8421 SPDR SERIES TRUST DB INT GVT ETF 78464A490 209,762 3,470 X X 28-5284 1720 1750 SPDR SERIES TRUST BRCLYS INTL ET 78464A516 522,495 8,733 X 28-5284 7884 849 91,241 1,525 X X 28-5284 1525 SPDR SERIES TRUST DJ REIT ETF 78464A607 8,644,901 133,822 X 28-5284 133522 300 2,674,246 41,397 X X 28-5284 39464 328 1605 5,814 90 X 28-13663 90 SPDR SERIES TRUST BRCLYS INTER E 78464A672 4,091 70 X 28-5284 70 SPDR SERIES TRUST BRCLYS 1-3MT E 78464A680 44,245 965 X X 28-5284 965 SPDR SERIES TRUST KBW REGN BK ET 78464A698 124,868 4,689 X 28-5284 250 4439 SPDR SERIES TRUST DJ GLB TITANS 78464A706 610 10 X X 28-5284 10 SPDR SERIES TRUST S&P OILGAS EXP 78464A730 1,832,749 28,450 X 28-5284 28450 84,519 1,312 X X 28-5284 1312 SPDR SERIES TRUST OILGAS EQUIP 78464A748 37,375 850 X 28-5284 850 SPDR SERIES TRUST S&P METALS MNG 78464A755 371,450 5,000 X 28-5284 5000 743 10 X X 28-5284 10 SPDR SERIES TRUST S&P DIVID ETF 78464A763 1,122,746 20,734 X 28-5284 20734 2,089,053 38,579 X X 28-5284 38579 21,660 400 X X 28-13663 400 COLUMN TOTAL 115,778,890 FILE NO. 28-1235 PAGE 201 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SPDR SERIES TRUST SPDR KBW BK ET 78464A797 12,910 500 X 28-5284 500 160,652 6,222 X X 28-5284 6222 20,656 800 X X 28-13663 800 SPDR SERIES TRUST S&P BIOTECH 78464A870 1,669 25 X 28-5284 25 SPDR SERIES TRUST S&P HOMEBUILD 78464A888 218,520 12,000 X 28-5284 12000 SRA INTL INC CL A 78464R105 134,285 4,735 X 28-5284 596 4139 18,859 665 X X 28-5284 665 SS&C TECHNOLOGIES HLDGS INC COM 78467J100 70,245 3,440 X X 28-5284 3440 SPDR DOW JONES INDL AVRG ETF UT SER 1 78467X109 17,809,482 144,769 X 28-5284 144486 283 9,206,694 74,839 X X 28-5284 66574 8265 SPDR S&P MIDCAP 400 ETF TR UTSER1 S&PDCRP 78467Y107 83,486,082 464,974 X 28-5284 431356 33618 70,897,472 394,862 X X 28-5284 393803 30 1029 1,150,018 6,405 X 28-13663 6405 1,971,459 10,980 X X 28-13663 10980 SVB FINL GROUP COM 78486Q101 130,768 2,297 X 28-13605 2297 SWS GROUP INC COM 78503N107 1,578 260 X 28-5284 260 SXC HEALTH SOLUTIONS CORP COM 78505P100 26,907 491 X X 28-5284 491 S Y BANCORP INC COM 785060104 258,393 10,270 X 28-5284 10270 997,217 39,635 X X 28-5284 39635 SABINE ROYALTY TR UNIT BEN INT 785688102 12,130 200 X 28-5284 200 6,065 100 X X 28-5284 100 88,306 1,456 X 28-13605 1456 SABRA HEALTH CARE REIT INC COM 78573L106 81,006 4,600 X X 28-5284 4600 SAFEGUARD SCIENTIFICS INC COM NEW 786449207 14,978 736 X 28-5284 736 672 33 X X 28-5284 33 SAFETY INS GROUP INC COM 78648T100 9,222 200 X X 28-5284 200 COLUMN TOTAL 186,786,245 FILE NO. 28-1235 PAGE 202 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SAFEWAY INC COM NEW 786514208 135,732 5,766 X 28-5284 5590 176 135,331 5,749 X X 28-5284 5739 10 1,843,158 78,299 X 28-13605 67238 11061 155,882 6,622 X X 28-13605 6622 3,931 167 X 28-13663 167 ST JOE CO COM 790148100 31,037 1,238 X 28-5284 1238 524,640 20,927 X X 28-5284 9927 11000 ST JUDE MED INC COM 790849103 7,062,090 137,770 X 28-5284 135587 2183 7,778,090 151,738 X X 28-5284 139200 12538 6,997,964 136,519 X 28-13605 125463 11056 934,624 18,233 X X 28-13605 18233 113,285 2,210 X 28-13663 2120 90 250,251 4,882 X X 28-13663 4635 247 SALESFORCE COM INC COM 79466L302 2,570,079 19,240 X 28-5284 10658 8582 313,779 2,349 X X 28-5284 1519 830 528,977 3,960 X 28-13605 578 3382 2,404 18 X 28-13663 18 SALIX PHARMACEUTICALS INC NOTE 2.750% 5 795435AC0 430,500 4,000 X X 28-5284 4000 SALIX PHARMACEUTICALS INC COM 795435106 6,060 173 X 28-5284 173 SALLY BEAUTY HLDGS INC COM 79546E104 771 55 X 28-5284 55 282,400 20,157 X 28-13605 20157 SAN JUAN BASIN RTY TR UNIT BEN INT 798241105 114,333 4,150 X 28-5284 4150 35,292 1,281 X X 28-5284 1281 91,494 3,321 X 28-13605 3321 SANDISK CORP COM 80004C101 302,627 6,566 X 28-5284 4386 2180 322,492 6,997 X X 28-5284 2691 6 4300 387,986 8,418 X 28-13605 1230 7188 277 6 X X 28-13605 6 SANDRIDGE ENERGY INC COM 80007P307 23,322 1,822 X 28-5284 1822 39,680 3,100 X X 28-5284 3100 SANDY SPRING BANCORP INC COM 800363103 28,650 1,552 X 28-5284 1552 31,382 1,700 X X 28-5284 300 1400 COLUMN TOTAL 31,478,520 FILE NO. 28-1235 PAGE 203 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SANGAMO BIOSCIENCES INC COM 800677106 833 100 X 28-5284 100 SANMINA SCI CORP COM NEW 800907206 527 47 X 28-5284 47 SANOFI AVENTIS SPONSORED ADR 80105N105 568,592 16,144 X 28-5284 12759 3385 506,464 14,380 X X 28-5284 6510 7870 7,044 200 X 28-13663 200 35,220 1,000 X X 28-13663 1000 SANTARUS INC COM 802817304 37,278 10,900 X X 28-5284 10900 SAP AG SPON ADR 803054204 1,763,916 28,747 X 28-5284 6406 22341 569,789 9,286 X X 28-5284 2231 7055 52,095 849 X 28-13663 229 620 SAPIENT CORP COM 803062108 4,466 390 X 28-5284 390 SARA LEE CORP COM 803111103 3,752,260 212,352 X 28-5284 209318 3034 4,141,548 234,383 X X 28-5284 225597 36 8750 388,581 21,991 X 28-13605 3212 18779 636 36 X X 28-13605 36 SASOL LTD SPONSORED ADR 803866300 56,559 976 X 28-5284 976 3,883 67 X X 28-5284 67 6,317 109 X 28-13663 109 SATCON TECHNOLOGY CORP COM 803893106 11,580 3,000 X X 28-5284 3000 SAUER-DANFOSS INC COM 804137107 20,372 400 X X 28-5284 400 146,627 2,879 X 28-13605 2879 SAUL CTRS INC COM 804395101 22,275 500 X 28-5284 500 11,538 259 X X 28-5284 259 SAVIENT PHARMACEUTICALS INC COM 80517Q100 125,239 11,815 X 28-5284 11815 SAVVIS INC COM NEW 805423308 307,847 8,300 X X 28-5284 8300 COLUMN TOTAL 12,541,486 FILE NO. 28-1235 PAGE 204 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SCANA CORP NEW COM 80589M102 200,275 5,087 X 28-5284 4655 432 340,432 8,647 X X 28-5284 8573 12 62 155,000 3,937 X 28-13605 575 3362 472 12 X X 28-13605 12 3,386 86 X 28-13663 86 16,339 415 X X 28-13663 415 SCHEIN HENRY INC COM 806407102 100,273 1,429 X 28-5284 1429 70,240 1,001 X X 28-5284 1001 SCHIFF NUTRITION INTL INC COM 806693107 13,665 1,500 X X 28-5284 1500 SCHLUMBERGER LTD COM 806857108 102,787,815 1,102,164 X 28-5284 1057116 45048 93,959,450 1,007,500 X X 28-5284 931232 1360 74908 4,149,137 44,490 X 28-13605 6502 37988 14,922 160 X X 28-13605 160 741,697 7,953 X 28-13663 5477 2476 484,019 5,190 X X 28-13663 4668 522 SCHNITZER STL INDS CL A 806882106 69,561 1,070 X 28-5284 100 970 219,279 3,373 X X 28-5284 343 3030 223,894 3,444 X 28-13605 3444 SCHOOL SPECIALTY INC COM 807863105 2,431 170 X 28-5284 170 572 40 X X 28-5284 40 SCHULMAN A INC COM 808194104 37,080 1,500 X X 28-5284 1500 SCHWAB CHARLES CORP NEW COM 808513105 2,570,122 142,547 X 28-5284 85655 56892 2,139,602 118,669 X X 28-5284 80988 16 37665 657,230 36,452 X 28-13605 5064 31388 288 16 X X 28-13605 16 SCICLONE PHARMACEUTICALS INC COM 80862K104 210,242 52,040 X 28-13605 52040 SCOTTS MIRACLE GRO CO CL A 810186106 1,317,476 22,774 X 28-5284 7868 14906 3,889,256 67,230 X X 28-5284 63470 3760 57,272 990 X 28-13663 990 SCRIPPS E W CO OHIO CL A NEW 811054402 438,293 44,272 X 28-5284 44272 91,377 9,230 X X 28-5284 9230 19,216 1,941 X 28-13663 1941 COLUMN TOTAL 214,980,313 FILE NO. 28-1235 PAGE 205 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SCRIPPS NETWORKS INTERACT IN CL A COM 811065101 2,429,916 48,511 X 28-5284 46676 1835 3,094,410 61,777 X X 28-5284 60687 1090 146,413 2,923 X 28-13605 359 2564 10,018 200 X 28-13663 200 SEABOARD CORP COM 811543107 144,780 60 X 28-13605 60 SEACHANGE INTL INC COM 811699107 322,164 33,912 X 28-5284 33912 14,146 1,489 X 28-13663 1489 SEACOAST BKG CORP FLA COM 811707306 329 208 X 28-5284 208 316 200 X X 28-5284 200 SEACOR HOLDINGS INC COM 811904101 307,892 3,330 X 28-5284 3330 13,037 141 X X 28-5284 141 346,540 3,748 X 28-13605 3748 SEABRIDGE GOLD INC COM 811916105 477 15 X 28-5284 15 SEALED AIR CORP NEW COM 81211K100 126,048 4,728 X 28-5284 4127 601 471,082 17,670 X X 28-5284 15785 565 1320 145,990 5,476 X 28-13605 800 4676 SEARS HLDGS CORP COM 812350106 156,374 1,892 X 28-5284 1463 429 256,711 3,106 X X 28-5284 3029 77 128,273 1,552 X 28-13605 227 1325 3,637 44 X 28-13663 44 SEATTLE GENETICS INC COM 812578102 51,568 3,312 X 28-5284 3312 SELECT SECTOR SPDR TR SBI MATERIALS 81369Y100 10,108,652 252,590 X 28-5284 247445 5145 3,856,407 96,362 X X 28-5284 92862 3500 348,094 8,698 X 28-13663 8548 150 SELECT SECTOR SPDR TR SBI HEALTHCARE 81369Y209 84,795 2,561 X 28-5284 2561 1,194,046 36,063 X X 28-5284 36063 45,692 1,380 X X 28-13663 1380 SELECT SECTOR SPDR TR SBI CONS STPLS 81369Y308 353,565 11,817 X X 28-5284 11817 SELECT SECTOR SPDR TR SBI CONS DISCR 81369Y407 2,433,908 62,328 X 28-5284 62328 771,667 19,761 X X 28-5284 19761 COLUMN TOTAL 27,366,947 FILE NO. 28-1235 PAGE 206 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SELECT SECTOR SPDR TR SBI INT-ENERGY 81369Y506 18,788,622 235,594 X 28-5284 235594 6,472,829 81,164 X X 28-5284 77848 3316 75,444 946 X X 28-13663 946 SELECT SECTOR SPDR TR SBI INT-FINL 81369Y605 6,716,393 409,786 X 28-5284 409786 1,981,715 120,910 X X 28-5284 116360 4550 86,867 5,300 X 28-13663 5300 485,308 29,610 X X 28-13663 29610 SELECT SECTOR SPDR TR SBI INT-INDS 81369Y704 5,559,392 147,601 X 28-5284 147601 735,560 19,529 X X 28-5284 18029 1500 363,015 9,638 X 28-13663 9638 3,126 83 X X 28-13663 83 SELECT SECTOR SPDR TR SBI INT-TECH 81369Y803 6,860,303 263,220 X 28-5284 261720 1500 8,240,261 316,167 X X 28-5284 315324 843 130,315 5,000 X 28-13663 5000 333,346 12,790 X X 28-13663 11917 873 SELECT SECTOR SPDR TR SBI INT-UTILS 81369Y886 6,842,170 214,690 X 28-5284 213690 1000 3,948,279 123,887 X X 28-5284 122587 1300 83,372 2,616 X 28-13663 2616 138,125 4,334 X X 28-13663 4334 SELECT COMFORT CORP COM 81616X103 12,060 1,000 X 28-5284 1000 SELECT MED HLDGS CORP COM 81619Q105 241,800 30,000 X 28-5284 30000 SELECTIVE INS GROUP INC COM 816300107 242,027 13,990 X 28-5284 13500 490 226,630 13,100 X X 28-5284 9900 3200 SEMTECH CORP COM 816850101 21,767 870 X 28-5284 870 SEMPRA ENERGY COM 816851109 425,593 7,955 X 28-5284 6151 1804 517,987 9,682 X X 28-5284 8780 902 433,083 8,095 X 28-13605 1182 6913 3,906 73 X 28-13663 73 SENIOR HSG PPTYS TR SH BEN INT 81721M109 55,319 2,401 X 28-5284 2309 92 30,943 1,343 X X 28-5284 945 398 240,699 10,447 X 28-13605 10447 COLUMN TOTAL 70,296,256 FILE NO. 28-1235 PAGE 207 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SENSIENT TECHNOLOGIES CORP COM 81725T100 221,025 6,167 X 28-5284 1000 5167 24,013 670 X X 28-5284 500 170 257,833 7,194 X 28-13605 7194 SEQUENOM INC COM NEW 817337405 5,516 870 X 28-5284 870 SERVICE CORP INTL COM 817565104 18,736 1,694 X X 28-5284 1694 SHAW GROUP INC COM 820280105 153,254 4,328 X 28-5284 4328 224,074 6,328 X X 28-5284 3978 2350 SHERWIN WILLIAMS CO COM 824348106 1,062,222 12,647 X 28-5284 12347 300 974,872 11,607 X X 28-5284 11405 2 200 278,259 3,313 X 28-13605 423 2890 168 2 X X 28-13605 2 SHIRE PLC SPONSORED ADR 82481R106 17,344,992 199,299 X 28-5284 195001 4298 3,243,782 37,272 X X 28-5284 35847 1425 27,287,821 313,545 X 28-13605 307058 6487 5,808,295 66,739 X X 28-13605 63371 248 3120 105,480 1,212 X 28-13663 1212 104,436 1,200 X X 28-13663 1200 SHORE BANCSHARES INC COM 825107105 5,850 600 X 28-5284 600 1,262,547 129,492 X X 28-5284 129492 SHUFFLE MASTER INC COM 825549108 11,353 1,063 X 28-5284 1063 SHUTTERFLY INC COM 82568P304 2,985 57 X 28-5284 57 3,299 63 X X 28-5284 63 SIEMENS A G SPONSORED ADR 826197501 553,206 4,028 X 28-5284 3158 870 653,464 4,758 X X 28-5284 2333 2425 SIERRA BANCORP COM 82620P102 2,236 200 X X 28-5284 200 SIFCO INDS INC COM 826546103 31,770 1,800 X X 28-5284 1800 SIGMA ALDRICH CORP COM 826552101 838,648 13,178 X 28-5284 9505 3673 3,709,448 58,288 X X 28-5284 44707 6 13575 300,508 4,722 X 28-13605 1372 3350 382 6 X X 28-13605 6 2,800 44 X 28-13663 44 COLUMN TOTAL 64,493,274 FILE NO. 28-1235 PAGE 208 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SIGNATURE BK NEW YORK N Y COM 82669G104 27,072 480 X 28-5284 480 1,297 23 X X 28-5284 23 377,485 6,693 X 28-13605 6693 SILICON LABORATORIES INC COM 826919102 128,247 2,968 X 28-5284 612 2356 15,944 369 X X 28-5284 369 SILGAN HOLDINGS INC COM 827048109 258,093 6,767 X 28-5284 6767 1,602 42 X X 28-5284 42 202,295 5,304 X 28-13605 5304 SILICON IMAGE INC COM 82705T102 35,840 4,000 X X 28-5284 4000 SILICONWARE PRECISION INDS L SPONSD ADR SPL 827084864 12,787 2,117 X 28-5284 2117 105,609 17,485 X X 28-5284 12 17473 SILVER STD RES INC COM 82823L106 73,743 2,350 X 28-5284 2350 83,314 2,655 X X 28-5284 2655 SILVER WHEATON CORP COM 828336107 272,691 6,289 X 28-5284 6029 260 459,746 10,603 X X 28-5284 10603 SILVERCORP METALS INC COM 82835P103 84,506 5,800 X 28-5284 5800 31,326 2,150 X X 28-5284 2150 SIMON PPTY GROUP INC NEW COM 828806109 2,388,596 22,290 X 28-5284 16508 5782 1,291,064 12,048 X X 28-5284 12041 7 1,155,721 10,785 X 28-13605 1575 9210 750 7 X X 28-13605 7 61,617 575 X 28-13663 534 41 21,432 200 X X 28-13663 200 SIMPSON MANUFACTURING CO INC COM 829073105 10,606 360 X 28-5284 360 SINCLAIR BROADCAST GROUP INC CL A 829226109 22,572 1,800 X X 28-5284 1800 SINGAPORE FD INC COM 82929L109 4,450 305 X 28-5284 305 SIRONA DENTAL SYSTEMS INC COM 82966C103 10,534 210 X 28-5284 210 1,304 26 X X 28-5284 26 SIRIUS XM RADIO INC COM 82967N108 4,523,675 2,741,621 X 28-5284 2659826 81795 338,308 205,035 X X 28-5284 35116 169919 COLUMN TOTAL 12,002,226 FILE NO. 28-1235 PAGE 209 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SKECHERS U S A INC CL A 830566105 4,026 196 X 28-5284 196 102,351 4,983 X 28-13605 4983 3,923 191 X X 28-13605 191 SKILLED HEALTHCARE GROUP INC CL A 83066R107 17,268 1,200 X 28-5284 1200 203,244 14,124 X 28-13605 14124 SKYLINE CORP COM 830830105 1,805 90 X 28-5284 90 SKYWEST INC COM 830879102 9,137 540 X 28-5284 540 SKYWORKS SOLUTIONS INC COM 83088M102 19,440 600 X 28-5284 600 164,333 5,072 X X 28-5284 5002 70 361,649 11,162 X 28-13605 11162 SMART BALANCE INC COM 83169Y108 10,098 2,200 X X 28-5284 2200 SMITH & NEPHEW PLC SPDN ADR NEW 83175M205 9,195 163 X 28-5284 163 SMITH A O COM 831865209 132,887 2,997 X 28-5284 150 2847 62,076 1,400 X X 28-5284 1400 SMITH MICRO SOFTWARE INC COM 832154108 351,168 37,518 X 28-5284 429 37089 1,059,206 113,163 X 28-13605 113163 6,355 679 X X 28-13605 679 15,247 1,629 X 28-13663 1629 226,815 24,234 X 28-13605 24234 SMITHFIELD FOODS INC COM 832248108 81,563 3,390 X 28-5284 3390 70,183 2,917 X X 28-5284 2917 SMUCKER J M CO COM NEW 832696405 33,662,669 471,532 X 28-5284 464955 6577 9,531,065 133,507 X X 28-5284 121479 85 11943 28,490,535 399,083 X 28-13605 345358 53725 5,068,047 70,991 X X 28-13605 67229 259 3503 290,700 4,072 X 28-13663 4025 47 193,752 2,714 X X 28-13663 2650 64 SNAP ON INC COM 833034101 177,477 2,955 X 28-5284 2757 198 90,210 1,502 X X 28-5284 1502 121,802 2,028 X 28-13605 296 1732 SNYDERS-LANCE INC COM 833551104 5,955 300 X 28-5284 300 COLUMN TOTAL 80,544,181 FILE NO. 28-1235 PAGE 210 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SOCIEDAD QUIMICA MINERA DE C SPON ADR SER B 833635105 918,919 16,629 X 28-5284 28 16601 172,411 3,120 X X 28-5284 3120 66,865 1,210 X 28-13663 1210 SOLAR CAP LTD COM 83413U100 7,164 300 X 28-5284 300 SOLARWINDS INC COM 83416B109 4,692 200 X 28-5284 200 201,756 8,600 X X 28-5284 8600 SOLAR SR CAP LTD COM 83416M105 18,630 1,000 X 28-5284 1000 SOLERA HOLDINGS INC COM 83421A104 30,149 590 X X 28-5284 590 SOLUTIA INC COM NEW 834376501 348,742 13,730 X X 28-5284 30 13700 SONIC AUTOMOTIVE INC CL A 83545G102 460,999 32,905 X 28-13605 32905 SONIC FDRY INC COM NEW 83545R207 15,000 1,000 X 28-5284 1000 SONIC CORP COM 835451105 5,113 565 X 28-5284 565 1,213 134 X X 28-5284 134 SONOCO PRODS CO COM 835495102 383,386 10,582 X 28-5284 10582 510,408 14,088 X X 28-5284 14088 SONOSITE INC COM 83568G104 666 20 X 28-5284 20 1,766 53 X X 28-5284 33 20 666 20 X X 28-13605 20 SONY CORP ADR NEW 835699307 54,397 1,709 X 28-5284 1709 145,718 4,578 X X 28-5284 4578 SOTHEBYS COM 835898107 195,251 3,712 X 28-5284 1077 2635 511,219 9,719 X X 28-5284 126 9593 SONUS NETWORKS INC COM 835916107 94,000 25,000 X X 28-5284 25000 SOUFUN HLDGS LTD ADR 836034108 3,210 172 X 28-5284 28 144 SOURCE CAP INC COM 836144105 376,770 6,490 X X 28-5284 6490 SOURCEFIRE INC COM 83616T108 2,751 100 X 28-5284 100 COLUMN TOTAL 4,531,861 FILE NO. 28-1235 PAGE 211 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SOUTH JERSEY INDS INC COM 838518108 2,781,541 49,697 X 28-5284 49697 137,686 2,460 X X 28-5284 510 1950 59,216 1,058 X 28-13605 1058 SOUTHCOAST FINANCIAL CORP COM 84129R100 37,950 11,000 X X 28-5284 11000 SOUTHERN CO COM 842587107 21,149,487 554,959 X 28-5284 531200 23759 15,336,264 402,421 X X 28-5284 385040 49 17332 1,149,893 30,173 X 28-13605 4259 25914 1,867 49 X X 28-13605 49 291,694 7,654 X 28-13663 7565 89 140,283 3,681 X X 28-13663 3335 346 SOUTHERN COPPER CORP COM 84265V105 148,838 3,696 X 28-5284 3307 389 1,614,827 40,100 X X 28-5284 39100 1000 SOUTHERN FIRST BANCSHARES IN COM 842873101 87,011 10,890 X 28-5284 10890 SOUTHERN NATL BANCORP OF VA COM 843395104 96,911 13,535 X 28-5284 13535 SOUTHERN UN CO NEW COM 844030106 523,460 18,290 X 28-5284 18104 186 320,802 11,209 X X 28-5284 11209 SOUTHWEST AIRLS CO COM 844741108 126,477 10,014 X 28-5284 8590 1424 754,920 59,772 X X 28-5284 57136 36 2600 355,648 28,159 X 28-13605 5215 22944 1,036 82 X X 28-13605 82 SOUTHWEST BANCORP INC OKLA COM 844767103 1,135,200 80,000 X 28-5284 80000 SOUTHWEST GAS CORP COM 844895102 167,454 4,297 X 28-5284 3897 400 155,880 4,000 X X 28-5284 4000 309,928 7,953 X 28-13605 7953 SOUTHWESTERN ENERGY CO COM 845467109 253,781 5,906 X 28-5284 1636 4270 1,942,846 45,214 X X 28-5284 43003 11 2200 524,621 12,209 X 28-13605 1783 10426 473 11 X X 28-13605 11 SOVRAN SELF STORAGE INC COM 84610H108 47,460 1,200 X X 28-5284 1200 SPECTRA ENERGY PARTNERS LP COM 84756N109 81,189 2,470 X X 28-5284 2470 COLUMN TOTAL 49,734,643 FILE NO. 28-1235 PAGE 212 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SPECTRA ENERGY CORP COM 847560109 4,892,835 180,016 X 28-5284 171776 8240 4,451,839 163,791 X X 28-5284 135404 145 28242 622,123 22,889 X 28-13605 3343 19546 1,223 45 X X 28-13605 45 70,342 2,588 X 28-13663 2331 257 SPEEDWAY MOTORSPORTS INC COM 847788106 3,196 200 X 28-5284 200 SPIRIT AEROSYSTEMS HLDGS INC COM CL A 848574109 121,676 4,740 X 28-5284 4740 396,011 15,427 X X 28-5284 727 14700 4,569 178 X X 28-13605 178 SPREADTRUM COMMUNICATIONS IN ADR 849415203 2,133 115 X 28-5284 115 85,182 4,592 X 28-13605 4592 SPRINT NEXTEL CORP COM SER 1 852061100 263,153 56,714 X 28-5284 39780 16934 484,829 104,489 X X 28-5284 101537 1751 1201 420,328 90,588 X 28-13605 13242 77346 515 111 X X 28-13605 111 SPROTT PHYSICAL GOLD TRUST UNIT 85207H104 7,584 600 X 28-5284 600 84,574 6,691 X X 28-5284 6691 SPROTT PHYSICAL SILVER TR TR UNIT 85207K107 55,584 3,160 X 28-5284 3160 133,403 7,584 X X 28-5284 7584 STANCORP FINL GROUP INC COM 852891100 14,989 325 X X 28-5284 325 STANDARD MICROSYSTEMS CORP COM 853626109 5,918 240 X 28-5284 40 200 STANDARD MTR PRODS INC COM 853666105 2,075 150 X 28-5284 150 STANDARD PAC CORP NEW COM 85375C101 6,863 1,840 X 28-5284 1000 840 STANDARD REGISTER CO COM 853887107 299 90 X 28-5284 90 2,254 679 X X 28-5284 679 STANDEX INTL CORP COM 854231107 4,926 130 X 28-5284 130 110,828 2,925 X 28-13605 2925 COLUMN TOTAL 12,249,251 FILE NO. 28-1235 PAGE 213 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ STANLEY BLACK & DECKER INC COM 854502101 2,151,694 28,090 X 28-5284 26809 1281 1,300,132 16,973 X X 28-5284 16572 11 390 438,841 5,729 X 28-13605 786 4943 843 11 X X 28-13605 11 14,324 187 X X 28-13663 187 STANLEY WKS FRNT 5 854616AM1 248,920 2,000 X X 28-5284 2000 STANTEC INC COM 85472N109 3,001 100 X 28-5284 100 STAPLES INC COM 855030102 2,981,514 153,528 X 28-5284 151000 2528 1,994,046 102,680 X X 28-5284 95300 505 6875 482,432 24,842 X 28-13605 3627 21215 1,068 55 X X 28-13605 55 9,710 500 X 28-13663 500 31,460 1,620 X X 28-13663 1620 STARBUCKS CORP COM 855244109 23,865,192 645,878 X 28-5284 617949 27929 5,843,458 158,145 X X 28-5284 156328 35 1782 30,070,612 813,819 X 28-13605 774906 38913 6,171,352 167,019 X X 28-13605 158550 621 7848 222,402 6,019 X 28-13663 6019 120,827 3,270 X X 28-13663 3270 STARTEK INC COM 85569C107 353 70 X 28-5284 70 1,890 375 X X 28-5284 375 STATE AUTO FINL CORP COM 855707105 5,029 276 X 28-5284 276 1,093 60 X X 28-5284 60 STARWOOD HOTELS&RESORTS WRLD COM 85590A401 1,039,651 17,888 X 28-5284 13508 4380 590,848 10,166 X X 28-5284 7128 3038 3,554,329 61,155 X 28-13605 55118 6037 456,707 7,858 X X 28-13605 7858 66,664 1,147 X 28-13663 1147 STATE STR CORP COM 857477103 11,889,956 264,574 X 28-5284 260181 4393 14,515,350 322,994 X X 28-5284 307390 19 15585 798,988 17,779 X 28-13605 2597 15182 854 19 X X 28-13605 19 35,323 786 X 28-13663 700 86 33,705 750 X X 28-13663 750 COLUMN TOTAL 108,942,568 FILE NO. 28-1235 PAGE 214 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ STATOIL ASA SPONSORED ADR 85771P102 130,295 4,714 X 28-5284 3220 1494 458,575 16,591 X X 28-5284 10392 6199 9,867 357 X X 28-13663 357 STEEL DYNAMICS INC COM 858119100 76,863 4,095 X 28-5284 4095 332,980 17,740 X X 28-5284 17740 STEELCASE INC CL A 858155203 30,726 2,700 X X 28-5284 600 2100 STEIN MART INC COM 858375108 2,228 220 X 28-5284 220 STELLARONE CORP COM 85856G100 43,200 3,053 X 28-5284 3053 STEMCELLS INC COM 85857R105 4,095 4,500 X 28-5284 500 4000 STERLING BANCSHARES INC COM 858907108 5,683 660 X 28-5284 660 STERICYCLE INC COM 858912108 600,739 6,775 X 28-5284 5272 1503 1,587,991 17,909 X X 28-5284 11821 407 5681 268,315 3,026 X 28-13605 442 2584 621 7 X X 28-13605 7 1,153 13 X 28-13663 13 STERIS CORP COM 859152100 20,586 596 X 28-5284 596 120,890 3,500 X X 28-5284 3500 STEREOTAXIS INC COM 85916J102 5,805 1,500 X 28-5284 1500 STERLITE INDS INDIA LTD ADS 859737207 4,632 300 X 28-5284 300 2,331 151 X X 28-5284 151 STEWART ENTERPRISES INC CL A 860370105 277,332 36,300 X X 28-5284 36300 STEWART INFORMATION SVCS COR COM 860372101 2,201 210 X 28-5284 210 STIFEL FINL CORP COM 860630102 394,701 5,498 X 28-5284 5498 50,253 700 X X 28-5284 700 17,301 241 X 28-13663 241 STILLWATER MNG CO COM 86074Q102 23,687 1,033 X X 28-5284 33 1000 STMICROELECTRONICS N V NY REGISTRY 861012102 28,131 2,265 X 28-5284 2265 COLUMN TOTAL 4,501,181 FILE NO. 28-1235 PAGE 215 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ STONE ENERGY CORP COM 861642106 14,349 430 X 28-5284 430 STONERIDGE INC COM 86183P102 219,300 15,000 X 28-5284 15000 STRATASYS INC COM 862685104 65,800 1,400 X 28-5284 1400 425,350 9,050 X X 28-5284 9050 STRATTEC SEC CORP COM 863111100 150,438 4,480 X X 28-5284 4480 STRAYER ED INC COM 863236105 14,615 112 X X 28-5284 112 889,159 6,814 X 28-13605 6814 5,220 40 X X 28-13605 40 180,221 1,381 X 28-13605 1381 STRYKER CORP COM 863667101 12,378,880 203,600 X 28-5284 201305 2295 35,869,507 589,959 X X 28-5284 304933 8019 277007 727,533 11,966 X 28-13605 1750 10216 1,155 19 X X 28-13605 19 89,680 1,475 X 28-13663 1475 200,275 3,294 X X 28-13663 3075 219 STURM RUGER & CO INC COM 864159108 13,323 580 X 28-5284 400 180 45,940 2,000 X X 28-5284 2000 SUBURBAN PROPANE PARTNERS L UNIT LTD PARTN 864482104 109,643 1,943 X 28-5284 1943 327,745 5,808 X X 28-5284 5108 700 SUCCESSFACTORS INC COM 864596101 9,147 234 X 28-5284 234 3,326,012 85,086 X X 28-5284 85086 SUMITOMO MITSUI FINL GROUP I SPONSORED ADR 86562M209 33,294 5,327 X 28-5284 1077 4250 306 49 X X 28-5284 49 SUN COMMUNITIES INC COM 866674104 17,825 500 X 28-5284 500 32,085 900 X X 28-5284 500 400 SUN HEALTHCARE GROUP INC NEW COM 86677E100 122,409 8,700 X X 28-5284 8700 SUN LIFE FINL INC COM 866796105 354,216 11,270 X 28-5284 11270 158,187 5,033 X X 28-5284 1744 3289 SUNCOR ENERGY INC NEW COM 867224107 288,770 6,440 X 28-5284 5010 1430 1,037,060 23,128 X X 28-5284 14348 8780 COLUMN TOTAL 57,107,444 FILE NO. 28-1235 PAGE 216 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SUNOPTA INC COM 8676EP108 87,332 11,754 X 28-13605 11754 SUNOCO LOGISTICS PRTNRS L P COM UNITS 86764L108 105,004 1,210 X 28-5284 1210 887,065 10,222 X X 28-5284 6422 2500 1300 SUNOCO INC COM 86764P109 391,071 8,578 X 28-5284 8210 368 746,764 16,380 X X 28-5284 15380 1000 187,056 4,103 X 28-13605 600 3503 SUNPOWER CORP COM CL A 867652109 182,987 10,676 X 28-5284 10676 19,077 1,113 X X 28-5284 1113 SUNPOWER CORP COM CL B 867652307 949 57 X 28-5284 57 30,803 1,850 X X 28-5284 1850 131,468 7,896 X 28-13605 7896 SUNSTONE HOTEL INVS INC NEW COM 867892101 27,513 2,700 X 28-5284 2700 SUNTRUST BKS INC COM 867914103 1,368,198 47,441 X 28-5284 43671 3770 3,065,144 106,281 X X 28-5284 105826 51 404 541,875 18,789 X 28-13605 2744 16045 1,471 51 X X 28-13605 51 2,884 100 X 28-13663 100 SUNTECH PWR HLDGS CO LTD ADR 86800C104 93,611 9,494 X X 28-5284 1994 7500 SUPERIOR ENERGY SVCS INC COM 868157108 14,350 350 X 28-5284 350 318,980 7,780 X X 28-5284 530 7250 SUPERTEX INC COM 868532102 2,451 110 X 28-5284 110 SUPERVALU INC COM 868536103 22,897 2,564 X 28-5284 214 2350 25,531 2,859 X X 28-5284 2759 100 66,475 7,444 X 28-13605 1088 6356 SURMODICS INC COM 868873100 2,250 180 X 28-5284 180 SUSQUEHANNA BANCSHARES INC P COM 869099101 216,322 23,136 X 28-5284 21652 1484 112,537 12,036 X X 28-5284 10029 2007 SUSSEX BANCORP COM 869245100 63,900 10,650 X X 28-5284 10650 SWEDISH EXPT CR CORP ROG AGRI ETN22 870297603 6,515 575 X 28-5284 575 COLUMN TOTAL 8,722,480 FILE NO. 28-1235 PAGE 217 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SWIFT ENERGY CO COM 870738101 36,150 847 X 28-5284 477 370 SWISHER HYGIENE INC COM 870808102 6,145 1,000 X 28-5284 1000 147,480 24,000 X X 28-5284 24000 SWISS HELVETIA FD INC COM 870875101 195,402 14,135 X 28-5284 13839 296 SYKES ENTERPRISES INC COM 871237103 1,680 85 X 28-5284 85 SYMANTEC CORP NOTE 1.000% 6 871503AF5 241,250 2,000 X X 28-5284 2000 SYMANTEC CORP COM 871503108 1,591,288 85,830 X 28-5284 63429 22401 925,610 49,925 X X 28-5284 43119 56 6750 420,524 22,682 X 28-13605 3316 19366 1,038 56 X X 28-13605 56 58,067 3,132 X 28-13663 3132 8,343 450 X X 28-13663 450 SYMETRA FINL CORP COM 87151Q106 2,720 200 X 28-5284 200 3,278 241 X X 28-5284 241 479,740 35,275 X 28-13605 35275 SYMMETRICOM INC COM 871543104 1,778 290 X 28-5284 290 150,534 24,557 X 28-13605 24557 SYMMETRY MED INC COM 871546206 980 100 X X 28-5284 100 SYNAPTICS INC COM 87157D109 2,702 100 X X 28-5284 100 SYNGENTA AG SPONSORED ADR 87160A100 26,329 404 X 28-5284 404 551,664 8,465 X X 28-5284 3325 5140 SYNOPSYS INC COM 871607107 316,565 11,449 X 28-5284 11449 160,619 5,809 X X 28-5284 5809 SYNOVUS FINL CORP COM 87161C105 12,811 5,338 X X 28-5284 5338 SYSCO CORP COM 871829107 21,704,695 783,563 X 28-5284 771404 12159 15,941,710 575,513 X X 28-5284 518470 1748 55295 1,698,619 61,322 X 28-13605 42327 18995 433,505 15,650 X X 28-13605 15511 50 89 55,649 2,009 X 28-13663 1484 525 301,570 10,887 X X 28-13663 10887 COLUMN TOTAL 45,478,445 FILE NO. 28-1235 PAGE 218 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ SYSTEMAX INC COM 871851101 135,200 10,000 X 28-5284 10000 TCF FINL CORP COM 872275102 141,741 8,937 X 28-5284 8937 704,025 44,390 X X 28-5284 33890 10500 294,425 18,564 X 28-13605 18564 TC PIPELINES LP UT COM LTD PRT 87233Q108 353,736 6,800 X 28-5284 6800 119,906 2,305 X X 28-5284 1805 500 TD AMERITRADE HLDG CORP COM 87236Y108 7,722 370 X 28-5284 370 42,011 2,013 X X 28-5284 2013 344,355 16,500 X X 28-13663 16500 TECO ENERGY INC COM 872375100 846,095 45,101 X 28-5284 41885 3216 948,825 50,577 X X 28-5284 46927 3650 154,132 8,216 X 28-13605 1200 7016 6,904 368 X 28-13663 368 TF FINL CORP COM 872391107 131,229 6,300 X X 28-5284 5250 1050 TFS FINL CORP COM 87240R107 531,000 50,000 X 28-5284 50000 5,767 543 X X 28-5284 543 TGC INDS INC COM NEW 872417308 391,927 50,441 X 28-5284 50441 TICC CAPITAL CORP COM 87244T109 13,588 1,250 X X 28-5284 1250 THQ INC COM NEW 872443403 2,768 607 X 28-5284 607 TJX COS INC NEW COM 872540109 2,714,960 54,594 X 28-5284 50208 4386 2,421,752 48,698 X X 28-5284 42064 19 6615 713,626 14,350 X 28-13605 2096 12254 945 19 X X 28-13605 19 155,854 3,134 X 28-13663 3050 84 132,829 2,671 X X 28-13663 2400 271 TRW AUTOMOTIVE HLDGS CORP COM 87264S106 32,773 595 X X 28-5284 595 TTM TECHNOLOGIES INC COM 87305R109 38,136 2,100 X X 28-5284 2100 TW TELECOM INC COM 87311L104 23,366 1,217 X X 28-5284 1217 COLUMN TOTAL 11,409,597 FILE NO. 28-1235 PAGE 219 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR 874039100 1,585,020 130,133 X 28-5284 130133 1,298,181 106,583 X X 28-5284 92789 13794 10,097 829 X 28-13663 829 27,807 2,283 X X 28-13663 2283 TAKE-TWO INTERACTIVE SOFTWAR COM 874054109 134,828 8,775 X 28-5284 250 8525 260,852 16,977 X X 28-5284 16977 TALBOTS INC COM 874161102 5,043 835 X 28-5284 835 TALECRIS BIOTHERAPEUTICS HLD COM 874227101 10,988 410 X X 28-5284 410 TALEO CORP CL A 87424N104 4,884 137 X 28-5284 137 149,980 4,207 X X 28-5284 297 3910 TALISMAN ENERGY INC COM 87425E103 2,477,459 100,302 X 28-5284 99952 350 573,732 23,228 X X 28-5284 22833 250 145 3,705 150 X 28-13663 150 TANGER FACTORY OUTLET CTRS I COM 875465106 26,240 1,000 X 28-5284 1000 73,472 2,800 X X 28-5284 2800 TARGA RESOURCES PARTNERS LP COM UNIT 87611X105 520,200 15,000 X 28-5284 15000 316,594 9,129 X X 28-5284 8129 1000 TARGET CORP COM 87612E106 87,648,426 1,752,618 X 28-5284 1742960 9658 18,802,010 375,965 X X 28-5284 349502 1513 24950 6,828,165 136,536 X 28-13605 115270 21266 93,369 1,867 X X 28-13605 1867 136,927 2,738 X 28-13663 2695 43 75,015 1,500 X X 28-13663 1500 TASEKO MINES LTD COM 876511106 11,860 2,000 X 28-5284 2000 2,372 400 X X 28-5284 400 TASTY BAKING CO COM 876553306 1,478 750 X X 28-5284 750 TATA MTRS LTD SPONSORED ADR 876568502 61,972 2,230 X 28-5284 2230 6,948 250 X X 28-5284 250 TAUBMAN CTRS INC COM 876664103 3,108 58 X 28-5284 58 697,451 13,017 X X 28-5284 372 12645 COLUMN TOTAL 121,848,183 FILE NO. 28-1235 PAGE 220 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ TEAM HEALTH HOLDINGS INC COM 87817A107 168,158 9,620 X X 28-5284 9620 TECH DATA CORP DBCV 2.750%12 878237AE6 646,500 6,000 X X 28-5284 6000 TECH DATA CORP COM 878237106 122,013 2,399 X 28-5284 229 2170 385,010 7,570 X X 28-5284 1060 6510 TECHNE CORP COM 878377100 192,219 2,685 X 28-5284 2685 2,516,317 35,149 X X 28-5284 30134 5015 TECK RESOURCES LTD CL B 878742204 255,503 4,819 X 28-5284 4364 455 79,477 1,499 X X 28-5284 349 1150 TEKELEC COM 879101103 4,872 600 X 28-5284 600 TELECOM ITALIA S P A NEW SPON ADR ORD 87927Y102 11,904 774 X 28-5284 774 TELECOM ITALIA S P A NEW SPON ADR SVGS 87927Y201 111,420 8,284 X 28-5284 2261 6023 4,546 338 X X 28-5284 338 TELECOM CORP NEW ZEALAND LTD SPONSORED ADR 879278208 16,970 2,201 X 28-5284 2201 204,377 26,508 X X 28-5284 26508 TELEDYNE TECHNOLOGIES INC COM 879360105 38,007 735 X 28-5284 415 320 1,810 35 X X 28-5284 35 TELEFLEX INC COM 879369106 2,311,373 39,865 X 28-5284 29026 10839 610,066 10,522 X X 28-5284 10522 18,728 323 X 28-13663 323 347,880 6,000 X X 28-13663 6000 TELEFONICA S A SPONSORED ADR 879382208 482,433 19,129 X 28-5284 18710 419 797,658 31,628 X X 28-5284 27036 4592 TELEFONOS DE MEXICO S A B SPON ADR A SHS 879403707 38,462 2,096 X 28-5284 2096 TELEFONOS DE MEXICO S A B SPON ADR ORD L 879403780 326,306 17,870 X 28-5284 17870 52,954 2,900 X X 28-5284 1400 1500 21,912 1,200 X X 28-13663 1200 TELEPHONE & DATA SYS INC COM 879433100 60,660 1,800 X 28-5284 1800 12,233 363 X X 28-5284 363 COLUMN TOTAL 9,839,768 FILE NO. 28-1235 PAGE 221 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ TELEPHONE & DATA SYS INC SPL COM 879433860 53,136 1,800 X 28-5284 1800 TELLABS INC COM 879664100 8,583 1,638 X 28-5284 102 1536 3,385 646 X X 28-5284 591 55 69,142 13,195 X 28-13605 1928 11267 288 55 X X 28-13605 55 5,843 1,115 X X 28-13663 1115 TELULAR CORP COM NEW 87970T208 10,571 1,456 X X 28-5284 1456 TELUS CORP NON-VTG SHS 87971M202 252,148 5,200 X X 28-5284 5200 TEMPLE INLAND INC COM 879868107 21,037 899 X 28-5284 899 478,132 20,433 X X 28-5284 18549 584 1300 13,666 584 X X 28-13605 584 TEMPLETON DRAGON FD INC COM 88018T101 155,000 5,000 X X 28-5284 5000 TEMPLETON EMERGING MKTS FD I COM 880191101 79,662 3,400 X X 28-5284 3400 TEMPLETON EMERG MKTS INCOME COM 880192109 24,157 1,450 X 28-5284 1450 220,928 13,261 X X 28-5284 9800 3461 TEMPLETON GLOBAL INCOME FD COM 880198106 247,186 23,564 X 28-5284 23564 131,125 12,500 X X 28-5284 12500 TEMPUR PEDIC INTL INC COM 88023U101 27,660 546 X X 28-5284 546 TENARIS S A SPONSORED ADR 88031M109 4,946 100 X 28-5284 100 66,771 1,350 X X 28-5284 100 1250 TENET HEALTHCARE CORP COM 88033G100 89,013 11,948 X 28-5284 11660 288 48,425 6,500 X X 28-5284 6500 214,202 28,752 X 28-13605 4203 24549 TENNANT CO COM 880345103 1,177 28 X 28-5284 28 TENNECO INC COM 880349105 194,421 4,580 X 28-5284 644 3936 377,381 8,890 X X 28-5284 30 30 8830 1,274 30 X X 28-13605 30 COLUMN TOTAL 2,799,259 FILE NO. 28-1235 PAGE 222 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ TERADATA CORP DEL COM 88076W103 289,041 5,701 X 28-5284 3060 2641 493,463 9,733 X X 28-5284 4540 91 5102 300,499 5,927 X 28-13605 865 5062 4,614 91 X X 28-13605 91 2,434 48 X 28-13663 48 5,121 101 X X 28-13663 101 TERADYNE INC COM 880770102 24,774 1,391 X 28-5284 829 562 68,408 3,841 X X 28-5284 3841 198,154 11,126 X 28-13605 1625 9501 15,085 847 X X 28-13663 847 TEREX CORP NEW COM 880779103 457,074 12,340 X 28-5284 310 12030 1,514,825 40,897 X X 28-5284 40897 19,557 528 X 28-13663 528 TERNIUM SA SPON ADR 880890108 7,260 202 X X 28-5284 202 TERRA NITROGEN CO L P COM UNIT 881005201 181,195 1,550 X 28-5284 1550 23,380 200 X X 28-5284 200 TESLA MTRS INC COM 88160R101 53,114 1,914 X 28-5284 1914 2,192 79 X X 28-5284 79 TESORO CORP COM 881609101 21,947 818 X 28-5284 501 317 712,846 26,569 X X 28-5284 24869 1700 140,106 5,222 X 28-13605 764 4458 TETRA TECHNOLOGIES INC DEL COM 88162F105 10,534 684 X 28-5284 684 TETRA TECH INC NEW COM 88162G103 21,233 860 X 28-5284 300 560 26,295 1,065 X X 28-5284 1065 TEVA PHARMACEUTICAL INDS LTD ADR 881624209 31,461,206 627,092 X 28-5284 549519 77573 21,428,761 427,123 X X 28-5284 361635 702 64786 100 2 X X 28-13605 2 445,459 8,879 X 28-13663 5739 3140 105,859 2,110 X X 28-13663 2110 TEVA PHARMACEUTICAL FIN LLC DBCV 0.250% 2 88163VAE9 457,500 4,000 X X 28-5284 4000 TEXAS CAPITAL BANCSHARES INC COM 88224Q107 26,718 1,028 X X 28-5284 28 1000 COLUMN TOTAL 58,518,754 FILE NO. 28-1235 PAGE 223 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ TEXAS INDS INC COM 882491103 549,409 12,147 X 28-5284 820 11327 316,610 7,000 X X 28-5284 7000 22,389 495 X 28-13663 495 TEXAS INSTRS INC COM 882508104 22,139,482 640,610 X 28-5284 620849 19761 9,891,279 286,206 X X 28-5284 264271 35 21900 16,808,014 486,343 X 28-13605 440970 45373 3,311,608 95,822 X X 28-13605 90377 402 5043 49,905 1,444 X 28-13663 1040 404 114,497 3,313 X X 28-13663 2725 588 TEXAS PAC LD TR SUB CTF PROP I 882610108 169,708 3,800 X 28-5284 3800 216,601 4,850 X X 28-5284 4850 TEXAS ROADHOUSE INC COM 882681109 5,199,127 306,011 X 28-5284 281109 24902 18,621 1,096 X 28-13663 1096 TEXTRON INC COM 883203101 420,163 15,340 X 28-5284 13471 1869 476,175 17,385 X X 28-5284 16765 20 600 265,930 9,709 X 28-13605 1418 8291 548 20 X X 28-13605 20 THERMO FISHER SCIENTIFIC INC COM 883556102 3,510,982 63,204 X 28-5284 38645 24559 6,022,898 108,423 X X 28-5284 78257 33 30133 783,255 14,100 X 28-13605 1959 12141 1,833 33 X X 28-13605 33 15,276 275 X X 28-13663 275 THOMAS & BETTS CORP COM 884315102 531,543 8,938 X 28-5284 6883 2055 434,190 7,301 X X 28-5284 2211 5090 90,989 1,530 X 28-13605 1530 THOMPSON CREEK METALS CO INC COM 884768102 107,606 8,581 X 28-5284 8581 41,382 3,300 X X 28-5284 1400 1900 THOMSON REUTERS CORP COM 884903105 424,184 10,810 X X 28-5284 10810 THOR INDS INC COM 885160101 16,351 490 X 28-5284 490 8,977 269 X X 28-5284 269 THORATEC CORP COM NEW 885175307 29,794 1,149 X 28-5284 1149 28,341 1,093 X X 28-5284 1093 COLUMN TOTAL 72,017,667 FILE NO. 28-1235 PAGE 224 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ 3M CO NOTE 11 88579YAB7 188,500 2,000 X 28-5284 2000 3M CO COM 88579Y101 163,912,606 1,753,076 X 28-5284 1708221 44855 147,843,322 1,581,212 X X 28-5284 1486550 744 93918 3,909,609 41,814 X 28-13605 19732 22082 692,555 7,407 X X 28-13605 7350 20 37 1,404,183 15,018 X 28-13663 14771 247 1,777,622 19,012 X X 28-13663 18766 246 TIBCO SOFTWARE INC COM 88632Q103 81,232 2,981 X 28-5284 2981 266,151 9,767 X 28-13605 9767 TIDEWATER INC COM 886423102 93,905 1,569 X 28-5284 1569 50,573 845 X X 28-5284 845 TIFFANY & CO NEW COM 886547108 13,877,883 225,877 X 28-5284 218276 7601 4,045,824 65,850 X X 28-5284 60547 110 5193 23,290,245 379,073 X 28-13605 367382 11691 4,747,653 77,273 X X 28-13605 73254 294 3725 103,219 1,680 X 28-13663 1680 41,472 675 X X 28-13663 675 TIM HORTONS INC COM 88706M103 68,373 1,509 X 28-5284 1489 20 90,484 1,997 X X 28-5284 1997 TIM PARTICIPACOES S A SPONS ADR PFD 88706P106 480 11 X 28-5284 11 TIMBERLAND CO CL A 887100105 12,882 312 X 28-5284 312 49,548 1,200 X X 28-5284 1200 TIME WARNER INC COM NEW 887317303 1,405,759 39,377 X 28-5284 33279 6098 1,426,322 39,953 X X 28-5284 38387 1566 1,419,575 39,764 X 28-13605 5807 33957 20,206 566 X X 28-13605 566 10,353 290 X 28-13663 290 19,028 533 X X 28-13663 533 TIME WARNER CABLE INC COM 88732J207 693,282 9,718 X 28-5284 7958 1760 700,345 9,817 X X 28-5284 6349 393 3075 4,351,526 60,997 X 28-13605 50163 10834 10,130 142 X X 28-13605 142 5,208 73 X 28-13663 73 9,488 133 X X 28-13663 133 COLUMN TOTAL 376,619,543 FILE NO. 28-1235 PAGE 225 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ TIMKEN CO COM 887389104 95,029 1,817 X 28-5284 951 866 147,172 2,814 X X 28-5284 748 2066 7,427 142 X 28-13663 142 TITAN INTL INC ILL COM 88830M102 194,253 7,300 X X 28-5284 7300 TITAN MACHY INC COM 88830R101 2,020 80 X 28-5284 80 12,625 500 X X 28-5284 500 TITANIUM METALS CORP COM NEW 888339207 106,352 5,724 X 28-5284 5358 366 47,286 2,545 X X 28-5284 2545 28,818 1,551 X 28-13605 226 1325 TIVO INC COM 888706108 26,250 3,000 X 28-5284 3000 TOLL BROTHERS INC COM 889478103 198,491 10,040 X 28-5284 5040 5000 275,890 13,955 X X 28-5284 2259 11696 TOLLGRADE COMMUNICATIONS INC COM 889542106 806 80 X 28-5284 80 TOMPKINS FINANCIAL CORPORATI COM 890110109 12,133 292 X 28-5284 292 TOOTSIE ROLL INDS INC COM 890516107 204,646 7,216 X X 28-5284 875 6341 TORCHMARK CORP COM 891027104 1,083,690 16,301 X 28-5284 15974 327 2,579,158 38,796 X X 28-5284 38796 179,961 2,707 X 28-13605 396 2311 TORO CO COM 891092108 243,027 3,670 X 28-5284 3400 270 1,035,019 15,630 X X 28-5284 13630 2000 278,786 4,210 X 28-13605 4210 TORONTO DOMINION BK ONT COM NEW 891160509 2,925,242 33,020 X 28-5284 32938 82 754,167 8,513 X X 28-5284 6266 2247 TORTOISE ENERGY INFRSTRCTR C COM 89147L100 1,334,268 33,199 X 28-5284 33199 575,521 14,320 X X 28-5284 13940 380 TORTOISE CAP RES CORP COM 89147N304 9,042 1,031 X X 28-5284 1031 TORTOISE NORTH AMRN ENRGY CO COM 89147T103 25,360 1,000 X 28-5284 1000 TORTOISE MLP FD INC COM 89148B101 26,300 1,000 X 28-5284 1000 COLUMN TOTAL 12,408,739 FILE NO. 28-1235 PAGE 226 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ TOTAL S A SPONSORED ADR 89151E109 2,039,142 33,445 X 28-5284 32085 1360 1,631,130 26,753 X X 28-5284 17396 500 8857 62,189 1,020 X 28-13663 1020 TOWER BANCORP INC COM 891709107 84,702 3,800 X 28-5284 3800 73,557 3,300 X X 28-5284 3300 TOWER GROUP INC COM 891777104 165,398 6,883 X 28-5284 35 6848 16,821 700 X X 28-5284 700 TOWERS WATSON & CO CL A 891894107 495,646 8,937 X 28-5284 8937 156,675 2,825 X X 28-5284 323 2502 TOTAL SYS SVCS INC COM 891906109 246,856 13,699 X 28-5284 42 13657 20,074 1,114 X X 28-5284 1104 10 101,344 5,624 X 28-13605 822 4802 180 10 X X 28-13605 10 2,685 149 X 28-13663 149 TOYOTA MOTOR CORP SP ADR REP2COM 892331307 683,730 8,520 X 28-5284 7187 1333 349,168 4,351 X X 28-5284 4071 280 TRACTOR SUPPLY CO COM 892356106 799,191 13,351 X 28-5284 661 12690 292,895 4,893 X X 28-5284 583 4310 2,430,077 40,596 X 28-13605 40596 14,606 244 X X 28-13605 244 66,445 1,110 X 28-13663 1110 508,456 8,494 X 28-13605 8494 TRANSATLANTIC HLDGS INC COM 893521104 80,841 1,661 X 28-5284 1661 17,813 366 X X 28-5284 366 78,359 1,610 X 28-13605 1610 2,969 61 X X 28-13605 61 TRANSCANADA CORP COM 89353D107 94,435 2,330 X 28-5284 2330 518,784 12,800 X X 28-5284 700 12100 TRANSDIGM GROUP INC COM 893641100 22,047 263 X 28-5284 263 165,983 1,980 X X 28-5284 395 1585 TRANSOCEAN INC NOTE 1.500%12 893830AW9 389,500 4,000 X X 28-5284 4000 TRANSWITCH CORP COM NEW 894065309 167 37 X 28-5284 37 COLUMN TOTAL 11,611,865 FILE NO. 28-1235 PAGE 227 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ TRAVELERS COMPANIES INC COM 89417E109 17,844,119 300,002 X 28-5284 296624 3378 15,324,070 257,634 X X 28-5284 248863 730 8041 5,893,219 99,079 X 28-13605 85562 13517 575,885 9,682 X X 28-13605 9598 30 54 392,449 6,598 X 28-13663 6249 349 319,943 5,379 X X 28-13663 5379 TRAVELCENTERS OF AMERICA LLC COM 894174101 280 37 X X 28-5284 37 TREDEGAR CORP COM 894650100 47,044 2,180 X 28-5284 2000 180 TREE COM INC COM 894675107 12 2 X X 28-5284 2 TREEHOUSE FOODS INC COM 89469A104 477,651 8,399 X 28-5284 96 8303 1,242,553 21,849 X 28-13605 21849 6,824 120 X X 28-13605 120 20,758 365 X 28-13663 365 246,858 4,341 X 28-13605 4341 TREX CO INC COM 89531P105 1,272 39 X 28-5284 39 1,337 41 X X 28-5284 41 TRI CONTL CORP COM 895436103 396,991 27,154 X X 28-5284 27154 TRIMAS CORP COM NEW 896215209 2,021 94 X 28-5284 94 222,031 10,327 X 28-13605 10327 TRIMBLE NAVIGATION LTD COM 896239100 3,169,616 62,715 X 28-5284 54537 8178 2,710,309 53,627 X X 28-5284 37861 15766 388,602 7,689 X 28-13605 7689 121,801 2,410 X X 28-13605 2410 107,398 2,125 X X 28-13663 2125 TRINA SOLAR LIMITED SPON ADR 89628E104 1,807 60 X 28-5284 60 TRINITY INDS INC COM 896522109 221,010 6,027 X 28-5284 2247 3780 696,290 18,988 X X 28-5284 6578 12410 TRIQUINT SEMICONDUCTOR INC COM 89674K103 63,801 4,942 X 28-5284 4942 34,857 2,700 X X 28-5284 2700 946,690 73,330 X 28-13605 73330 5,706 442 X X 28-13605 442 194,830 15,092 X 28-13605 15092 COLUMN TOTAL 51,678,034 FILE NO. 28-1235 PAGE 228 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ TRIUMPH GROUP INC NEW COM 896818101 47,851 541 X 28-5284 401 140 194,590 2,200 X X 28-5284 2200 891,222 10,076 X 28-13605 10076 4,511 51 X X 28-13605 51 163,811 1,852 X 28-13605 1852 TRUE RELIGION APPAREL INC COM 89784N104 2,699 115 X 28-5284 115 TRUSTCO BK CORP N Y COM 898349105 7,828 1,320 X 28-5284 710 610 TRUSTMARK CORP COM 898402102 7,073 302 X 28-5284 302 1,522 65 X X 28-5284 65 TUPPERWARE BRANDS CORP COM 899896104 181,817 3,045 X 28-5284 3045 107,478 1,800 X X 28-5284 1800 TURKCELL ILETISIM HIZMETLERI SPON ADR NEW 900111204 8,762 583 X 28-5284 583 15,030 1,000 X X 28-5284 1000 TURKISH INVT FD INC COM 900145103 97,206 6,000 X 28-5284 6000 TUTOR PERINI CORP COM 901109108 7,308 300 X 28-5284 300 853 35 X X 28-5284 35 TWIN DISC INC COM 901476101 9,666 300 X 28-5284 300 218,903 6,794 X 28-13605 6794 TWO HBRS INVT CORP COM 90187B101 10,470 1,000 X 28-5284 1000 II VI INC COM 902104108 243,775 4,900 X 28-5284 4900 551,330 11,082 X X 28-5284 7800 600 2682 TYLER TECHNOLOGIES INC COM 902252105 101,147 4,266 X 28-5284 340 3926 1,374,184 57,958 X 28-13605 57958 7,398 312 X X 28-13605 312 264,526 11,156 X 28-13605 11156 TYSON FOODS INC CL A 902494103 36,768 1,916 X 28-5284 1058 858 118,479 6,174 X X 28-5284 5955 69 150 257,108 13,398 X 28-13605 1959 11439 1,324 69 X X 28-13605 69 UBS AG JERSEY BRH CMCI ETN 38 902641778 9,595 380 X 28-5284 380 COLUMN TOTAL 4,944,234 FILE NO. 28-1235 PAGE 229 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ UDR INC COM 902653104 103,134 4,232 X 28-5284 4232 202,174 8,296 X X 28-5284 8296 108,666 4,459 X 28-13605 4459 UGI CORP NEW COM 902681105 312,353 9,494 X 28-5284 9494 595,556 18,102 X X 28-5284 18102 1,345,972 40,911 X 28-13605 40911 8,093 246 X X 28-13605 246 290,361 8,826 X 28-13605 8826 UIL HLDG CORP COM 902748102 10,987 360 X 28-5284 360 64,092 2,100 X X 28-5284 1000 1100 UMB FINL CORP COM 902788108 401,076 10,734 X 28-5284 477 10257 183,836 4,920 X X 28-5284 4920 14,311 383 X 28-13663 383 US BANCORP DEL COM NEW 902973304 45,300,227 1,713,970 X 28-5284 1685402 28568 17,994,469 680,835 X X 28-5284 646707 56 34072 3,269,867 123,718 X 28-13605 66039 57679 591,239 22,370 X X 28-13605 22172 69 129 115,367 4,365 X 28-13663 4014 351 344,171 13,022 X X 28-13663 12814 208 UQM TECHNOLOGIES INC COM 903213106 6,854 2,300 X 28-5284 2300 URS CORP NEW COM 903236107 824,387 17,902 X 28-5284 17902 263,084 5,713 X X 28-5284 5613 100 USANA HEALTH SCIENCES INC COM 90328M107 207,060 6,000 X X 28-5284 6000 USA TECHNOLOGIES INC *W EXP 12/31/2 90328S179 1,654 3,180 X 28-5284 3180 USA TECHNOLOGIES INC COM NO PAR 90328S500 13,938 5,620 X 28-5284 5620 950 383 X X 28-5284 383 U S G CORP COM NEW 903293405 79,801 4,790 X X 28-5284 4790 USEC INC COM 90333E108 6,600 1,500 X 28-5284 1500 147,400 33,500 X X 28-5284 33500 U S PHYSICAL THERAPY INC COM 90337L108 102,965 4,609 X 28-13605 4609 USA MOBILITY INC COM 90341G103 84,563 5,840 X 28-13605 5840 COLUMN TOTAL 72,995,207 FILE NO. 28-1235 PAGE 230 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ULTA SALON COSMETCS & FRAG I COM 90384S303 101,362 2,106 X 28-5284 2106 63,724 1,324 X X 28-5284 44 1280 196,804 4,089 X 28-13605 4089 ULTIMATE SOFTWARE GROUP INC COM 90385D107 1,763 30 X X 28-5284 30 ULTRA PETROLEUM CORP COM 903914109 1,070,991 21,746 X 28-5284 4296 17450 1,568,760 31,853 X X 28-5284 7398 24455 67,965 1,380 X 28-13663 1380 ULTRAPAR PARTICIPACOES S A SP ADR REP PFD 90400P101 1,085 64 X 28-5284 64 ULTRATECH INC COM 904034105 6,468 220 X 28-5284 220 UMPQUA HLDGS CORP COM 904214103 320 28 X 28-5284 28 217,932 19,050 X X 28-5284 19050 UNDER ARMOUR INC CL A 904311107 247,906 3,643 X 28-5284 3643 274,922 4,040 X X 28-5284 3940 100 UNILEVER PLC SPON ADR NEW 904767704 307,210 10,033 X 28-5284 9089 944 671,252 21,922 X X 28-5284 21645 277 4,624 151 X 28-13663 151 UNILEVER N V N Y SHS NEW 904784709 7,394,280 235,787 X 28-5284 232538 3249 12,379,611 394,758 X X 28-5284 373984 5352 15422 144,946 4,622 X X 28-13663 4622 UNION BANKSHARES INC COM 905400107 76,160 4,000 X X 28-5284 4000 UNION PAC CORP COM 907818108 80,225,972 815,885 X 28-5284 802259 13626 46,483,443 472,729 X X 28-5284 449956 1211 21562 30,287,607 308,020 X 28-13605 267323 40697 5,596,550 56,916 X X 28-13605 53419 216 3281 719,579 7,318 X 28-13663 5916 1402 940,625 9,566 X X 28-13663 9345 221 UNISOURCE ENERGY CORP COM 909205106 11,562 320 X 28-5284 320 UNISYS CORP COM NEW 909214306 8,148 261 X 28-5284 261 781 25 X X 28-5284 25 COLUMN TOTAL 189,072,352 FILE NO. 28-1235 PAGE 231 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ UNIT CORP COM 909218109 529,858 8,553 X 28-5284 4000 4553 475,962 7,683 X X 28-5284 1267 6416 UNITED BANKSHARES INC WEST V COM 909907107 173,494 6,542 X 28-5284 6192 350 80,753 3,045 X X 28-5284 3045 UNITED BANCORP INC OHIO COM 909911109 47,886 5,700 X 28-5284 5700 16,802 2,000 X X 28-5284 2000 UNITED CONTL HLDGS INC COM 910047109 19,450 846 X 28-5284 846 51,911 2,258 X X 28-5284 2258 UNITED FINANCIAL BANCORP INC COM 91030T109 49,530 3,000 X X 28-5284 3000 UNITED FIRE & CAS CO COM 910331107 86,054 4,258 X 28-5284 4258 65,844 3,258 X X 28-5284 58 3200 UNITED MICROELECTRONICS CORP SPON ADR NEW 910873405 292 107 X X 28-5284 107 UNITED NAT FOODS INC COM 911163103 544,070 12,139 X 28-5284 1900 10239 73,684 1,644 X X 28-5284 1644 242,790 5,417 X 28-13605 5417 19,362 432 X 28-13663 432 UNITED ONLINE INC COM 911268100 148,168 23,500 X X 28-5284 23500 UNITED PARCEL SERVICE INC CL B 911312106 91,846,737 1,235,828 X 28-5284 1008258 227570 28,007,864 376,855 X X 28-5284 367227 692 8936 3,855,201 51,873 X 28-13605 21385 30488 495,491 6,667 X X 28-13605 6609 21 37 1,678,963 22,591 X 28-13663 20554 2037 126,716 1,705 X X 28-13663 1534 171 UNITED RENTALS INC COM 911363109 9,119 274 X 28-5284 274 UNITED STATES CELLULAR CORP COM 911684108 5,252 102 X X 28-5284 102 UNITED STATES NATL GAS FUND UNIT NEW 912318110 10,350 900 X 28-5284 900 UNITED STATES OIL FUND LP UNITS 91232N108 40,087 941 X 28-5284 941 15,379 361 X X 28-5284 361 U STORE IT TR COM 91274F104 99,414 9,450 X 28-5284 9450 COLUMN TOTAL 128,816,483 FILE NO. 28-1235 PAGE 232 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ UNITED STATES STL CORP NEW COM 912909108 5,043,120 93,495 X 28-5284 93079 416 531,794 9,859 X X 28-5284 9856 3 255,945 4,745 X 28-13605 692 4053 162 3 X X 28-13605 3 UNITED STATIONERS INC COM 913004107 14,921 210 X 28-5284 210 UNITED TECHNOLOGIES CORP COM 913017109 161,223,713 1,904,592 X 28-5284 1867330 37262 112,818,727 1,332,767 X X 28-5284 1271393 5302 56072 37,784,120 446,357 X 28-13605 392241 54116 7,087,321 83,725 X X 28-13605 79513 280 3932 1,105,614 13,061 X 28-13663 11264 1797 1,902,847 22,479 X X 28-13663 22166 313 UNITED THERAPEUTICS CORP DEL COM 91307C102 303,400 4,527 X 28-5284 4527 652,574 9,737 X X 28-5284 936 8801 7,104 106 X 28-13663 106 UNITEDHEALTH GROUP INC COM 91324P102 36,826,112 814,737 X 28-5284 767062 47675 11,433,702 252,958 X X 28-5284 225200 240 27518 42,569,902 941,812 X 28-13605 830646 111166 7,374,470 163,152 X X 28-13605 155811 561 6780 204,214 4,518 X 28-13663 4097 421 104,819 2,319 X X 28-13663 2319 UNITRIN INC COM 913275103 19,732 639 X 28-5284 639 10,715 347 X X 28-5284 347 UNIVERSAL AMERICAN CORP COM 913377107 140,324 6,125 X 28-13605 6125 UNIVERSAL CORP VA COM 913456109 21,770 500 X X 28-5284 500 UNIVERSAL DISPLAY CORP COM 91347P105 33,024 600 X 28-5284 600 170,074 3,090 X X 28-5284 2590 500 UNIVERSAL ELECTRS INC COM 913483103 10,523 356 X 28-5284 356 937,318 31,709 X 28-13605 31709 5,616 190 X X 28-13605 190 201,112 6,804 X 28-13605 6804 UNIVERSAL FST PRODS INC COM 913543104 6,964 190 X 28-5284 190 UNIVERSAL HEALTH RLTY INCM T SH BEN INT 91359E105 79,034 1,950 X X 28-5284 600 1350 COLUMN TOTAL 428,880,787 FILE NO. 28-1235 PAGE 233 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ UNIVERSAL INS HLDGS INC COM 91359V107 186,990 34,500 X 28-5284 34500 UNIVERSAL HLTH SVCS INC CL B 913903100 193,440 3,915 X 28-5284 3915 95,707 1,937 X X 28-5284 1337 600 34,587 700 X 28-13663 700 UNUM GROUP COM 91529Y106 210,604 8,023 X 28-5284 4786 3237 261,214 9,951 X X 28-5284 9951 294,105 11,204 X 28-13605 1637 9567 7,376 281 X 28-13663 281 URANIUM ENERGY CORP COM 916896103 1,596 400 X X 28-5284 400 URBAN OUTFITTERS INC COM 917047102 322,522 10,812 X 28-5284 10740 72 633,798 21,247 X X 28-5284 21247 111,117 3,725 X 28-13605 544 3181 URSTADT BIDDLE PPTYS INS COM 917286106 8,035 500 X X 28-5284 500 URSTADT BIDDLE PPTYS INS CL A 917286205 32,334 1,700 X 28-5284 1700 38,040 2,000 X X 28-5284 2000 99,760 5,245 X 28-13605 5245 VCA ANTECH INC COM 918194101 25,925 1,030 X 28-5284 1030 29,927 1,189 X X 28-5284 1189 V F CORP COM 918204108 1,980,552 20,101 X 28-5284 18668 1433 2100,666,103 21,320,066 X X 28-5284 21319707 9 350 294,112 2,985 X 28-13605 436 2549 887 9 X X 28-13605 9 10,838 110 X 28-13663 85 25 34,200,256 347,105 X X 28-13663 347105 VAALCO ENERGY INC COM NEW 91851C201 249,872 32,200 X 28-13605 32200 VAIL RESORTS INC COM 91879Q109 100,446 2,060 X 28-5284 2060 348,634 7,150 X X 28-5284 7150 VALASSIS COMMUNICATIONS INC COM 918866104 189,410 6,500 X 28-5284 6500 104,904 3,600 X X 28-5284 3600 VALHI INC NEW COM 918905100 9,731 369 X 28-5284 369 COLUMN TOTAL 2,140,742,822 FILE NO. 28-1235 PAGE 234 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ VALENCE TECHNOLOGY INC COM 918914102 3,120 2,000 X X 28-5284 2000 VALEANT PHARMACEUTICALS INTL COM 91911K102 223,846 4,494 X 28-5284 4494 785,554 15,771 X X 28-5284 15771 VALE S A ADR 91912E105 615,774 18,464 X 28-5284 15695 2769 554,544 16,628 X X 28-5284 15278 1350 48,091 1,442 X 28-13663 1442 VALE S A ADR REPSTG PFD 91912E204 18,509 627 X 28-5284 627 132,840 4,500 X X 28-5284 4500 VALERO ENERGY CORP NEW COM 91913Y100 304,939 10,226 X 28-5284 9253 973 1,266,903 42,485 X X 28-5284 41999 6 480 603,557 20,240 X 28-13605 2955 17285 179 6 X X 28-13605 6 11,749 394 X X 28-13663 394 VALLEY NATL BANCORP COM 919794107 447,627 32,065 X 28-5284 16764 15301 28,255 2,024 X X 28-5284 1098 926 VALMONT INDS INC COM 920253101 260,194 2,493 X 28-5284 3 2490 91,637 878 X X 28-5284 878 VALSPAR CORP COM 920355104 263,730 6,745 X 28-5284 6745 1,328,462 33,976 X X 28-5284 33976 VALUECLICK INC COM 92046N102 1,647 114 X 28-5284 114 VANCEINFO TECHNOLOGIES INC ADR 921564100 13,192 420 X 28-5284 420 1,194 38 X X 28-5284 38 VANGUARD SPECIALIZED PORTFOL DIV APP ETF 921908844 330,840 5,960 X 28-5284 5960 7,666,209 138,105 X X 28-5284 138105 VANGUARD BD INDEX FD INC LONG TERM BOND 921937793 23,466 300 X 28-5284 300 211,194 2,700 X X 28-5284 2700 VANGUARD BD INDEX FD INC SHORT TRM BOND 921937827 144,208 1,799 X 28-5284 1799 2,331,854 29,090 X X 28-5284 28270 820 COLUMN TOTAL 17,713,314 FILE NO. 28-1235 PAGE 235 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ VANGUARD BD INDEX FD INC TOTAL BND MRKT 921937835 107,290,176 1,340,792 X 28-5284 1335346 5446 10,684,671 133,525 X X 28-5284 122485 1751 9289 42,331 529 X 28-13663 529 416,104 5,200 X X 28-13663 5200 VANGUARD TAX-MANAGED FD MSCI EAFE ETF 921943858 62,083,542 1,663,992 X 28-5284 1641722 22270 37,478,044 1,004,504 X X 28-5284 882226 122278 1,393,529 37,350 X 28-13663 37350 261,170 7,000 X X 28-13663 7000 VANGUARD WHITEHALL FDS INC HIGH DIV YLD 921946406 5,541 125 X 28-5284 125 1,565,913 35,324 X X 28-5284 35324 22,165 500 X X 28-13663 500 VANGUARD WORLD FDS CONSUM DIS ETF 92204A108 2,616,016 41,432 X 28-5284 40632 800 938,134 14,858 X X 28-5284 14858 36,369 576 X X 28-13663 576 VANGUARD WORLD FDS CONSUM STP ETF 92204A207 1,910,310 25,272 X 28-5284 25272 2,380,707 31,495 X X 28-5284 31495 109,908 1,454 X 28-13663 1454 31,748 420 X X 28-13663 420 VANGUARD WORLD FDS ENERGY ETF 92204A306 2,356,312 20,186 X 28-5284 20186 548,164 4,696 X X 28-5284 4696 46,692 400 X 28-13663 400 VANGUARD WORLD FDS FINANCIALS ETF 92204A405 2,545,846 75,112 X 28-5284 74812 300 3,555,277 104,894 X X 28-5284 104689 205 63,551 1,875 X 28-13663 1875 VANGUARD WORLD FDS HEALTH CAR ETF 92204A504 1,802,161 30,016 X 28-5284 29660 356 756,024 12,592 X X 28-5284 6567 6025 62,442 1,040 X 28-13663 1040 VANGUARD WORLD FDS INDUSTRIAL ETF 92204A603 2,718,112 38,626 X 28-5284 37096 1530 2,507,072 35,627 X X 28-5284 35427 200 35,678 507 X X 28-13663 507 VANGUARD WORLD FDS INF TECH ETF 92204A702 4,477,666 69,713 X 28-5284 69713 6,710,044 104,469 X X 28-5284 104469 COLUMN TOTAL 257,451,419 FILE NO. 28-1235 PAGE 236 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ VANGUARD WORLD FDS MATERIALS ETF 92204A801 5,704,957 65,304 X 28-5284 63721 1583 2,452,719 28,076 X X 28-5284 27476 600 78,624 900 X 28-13663 900 10,920 125 X X 28-13663 125 VANGUARD WORLD FDS UTILITIES ETF 92204A876 1,029,488 14,905 X 28-5284 14905 1,260,528 18,250 X X 28-5284 18250 85,371 1,236 X 28-13663 1236 VANGUARD WORLD FDS TELCOMM ETF 92204A884 133,986 1,954 X 28-5284 1954 33,942 495 X X 28-5284 495 VANGUARD INTL EQUITY INDEX F FTSE SMCAP ETF 922042718 154,934 1,520 X 28-5284 1520 28,438 279 X X 28-5284 279 VANGUARD INTL EQUITY INDEX F TT WRLD ST ETF 922042742 22,836 458 X 28-5284 458 48,364 970 X X 28-5284 970 VANGUARD INTL EQUITY INDEX F ALLWRLD EX US 922042775 107,059,072 2,170,703 X 28-5284 2067826 102877 43,270,014 877,332 X X 28-5284 842514 34818 1,339,383 27,157 X 28-13663 27157 98,541 1,998 X X 28-13663 1998 VANGUARD INTL EQUITY INDEX F MSCI EMR MKT E 922042858 209,167,951 4,273,094 X 28-5284 4224866 48228 93,855,164 1,917,368 X X 28-5284 1845718 3800 67850 2,827,499 57,763 X 28-13663 57763 1,294,385 26,443 X X 28-13663 26443 VANGUARD INTL EQUITY INDEX F MSCI PAC ETF 922042866 5,190,683 92,973 X 28-5284 92308 665 2,015,240 36,096 X X 28-5284 36096 VANGUARD INTL EQUITY INDEX F MSCI EUROPE ET 922042874 2,646,593 50,945 X 28-5284 50945 508,746 9,793 X X 28-5284 9793 VANGUARD NATURAL RESOURCES L COM UNIT 92205F106 28,611 900 X 28-5284 900 73,117 2,300 X X 28-5284 2000 300 VANGUARD SCOTTSDALE FDS INT-TERM CORP 92206C870 160,997 2,040 X X 28-5284 2040 COLUMN TOTAL 480,581,103 FILE NO. 28-1235 PAGE 237 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ VARIAN MED SYS INC COM 92220P105 9,725,685 143,786 X 28-5284 123717 20069 6,942,705 102,642 X X 28-5284 89596 8 13038 275,498 4,073 X 28-13605 595 3478 541 8 X X 28-13605 8 123,375 1,824 X 28-13663 760 1064 60,876 900 X X 28-13663 900 VARIAN SEMICONDUCTOR EQUIPMN COM 922207105 112,866 2,319 X 28-5284 1659 660 51,006 1,048 X X 28-5284 1048 VASCO DATA SEC INTL INC COM 92230Y104 510,605 37,189 X 28-5284 37189 22,366 1,629 X 28-13663 1629 VASCULAR SOLUTIONS INC COM 92231M109 10,910 1,000 X 28-5284 1000 VECTREN CORP COM 92240G101 260,331 9,571 X 28-5284 9571 348,296 12,805 X X 28-5284 12805 VECTOR GROUP LTD COM 92240M108 94,957 5,492 X 28-5284 5492 7,054 408 X X 28-5284 408 VEECO INSTRS INC DEL COM 922417100 393,146 7,733 X 28-5284 1207 6526 130,506 2,567 X X 28-5284 157 2410 30,504 600 X 28-13663 600 VENOCO INC COM 92275P307 17,090 1,000 X X 28-5284 1000 VENTAS INC COM 92276F100 921,145 16,964 X 28-5284 15923 1041 407,467 7,504 X X 28-5284 7391 113 3,838,196 70,685 X 28-13605 39913 30772 253,255 4,664 X X 28-13605 4514 150 38,662 712 X 28-13663 712 76,020 1,400 X X 28-13663 1400 VANGUARD INDEX FDS S&P 500 ETF SH 922908413 99,296 1,638 X X 28-5284 1638 VANGUARD INDEX FDS MCAP VL IDXVIP 922908512 10,670,171 187,173 X 28-5284 186088 1085 11,295,880 198,149 X X 28-5284 198149 450,355 7,900 X X 28-13663 7900 COLUMN TOTAL 47,168,764 FILE NO. 28-1235 PAGE 238 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ VANGUARD INDEX FDS MCAP GR IDXVIP 922908538 13,641,381 201,438 X 28-5284 200389 1049 27,610,257 407,712 X X 28-5284 407712 27,088 400 X 28-13663 400 446,952 6,600 X X 28-13663 6600 VANGUARD INDEX FDS REIT ETF 922908553 2,039,551 34,882 X 28-5284 34882 1,128,646 19,303 X X 28-5284 18803 500 10,700 183 X 28-13663 183 190,028 3,250 X X 28-13663 3250 VANGUARD INDEX FDS SML CP GRW ETF 922908595 6,582,619 76,276 X 28-5284 76010 266 9,211,662 106,740 X X 28-5284 106740 356,592 4,132 X 28-13663 4132 509,429 5,903 X X 28-13663 5903 VANGUARD INDEX FDS SM CP VAL ETF 922908611 5,335,029 74,668 X 28-5284 74402 266 8,177,381 114,449 X X 28-5284 114189 260 75,023 1,050 X 28-13663 1050 421,555 5,900 X X 28-13663 5900 VANGUARD INDEX FDS MID CAP ETF 922908629 33,922,908 421,141 X 28-5284 402554 18587 11,940,813 148,241 X X 28-5284 146328 1913 405,650 5,036 X 28-13663 5036 1,000,512 12,421 X X 28-13663 12421 VANGUARD INDEX FDS LARGE CAP ETF 922908637 72,334,166 1,190,294 X 28-5284 1189294 1000 15,915,177 261,892 X X 28-5284 259619 2273 42,539 700 X 28-13663 700 1,540,155 25,344 X X 28-13663 25344 VANGUARD INDEX FDS EXTEND MKT ETF 922908652 236,772 4,009 X 28-5284 4009 1,388,560 23,511 X X 28-5284 22511 1000 VANGUARD INDEX FDS GROWTH ETF 922908736 30,948,747 481,318 X 28-5284 466213 15105 36,158,205 562,336 X X 28-5284 562336 661,711 10,291 X X 28-13663 10291 VANGUARD INDEX FDS VALUE ETF 922908744 49,409,926 871,120 X 28-5284 846833 24287 35,315,630 622,631 X X 28-5284 621531 1100 411,220 7,250 X X 28-13663 7250 COLUMN TOTAL 367,396,584 FILE NO. 28-1235 PAGE 239 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ VANGUARD INDEX FDS SMALL CP ETF 922908751 48,778,616 617,529 X 28-5284 579801 37728 16,505,987 208,963 X X 28-5284 207502 34 1427 450,480 5,703 X 28-13663 5703 1,241,565 15,718 X X 28-13663 15718 VANGUARD INDEX FDS STK MRK ETF 922908769 50,915,347 741,018 X 28-5284 738757 2261 31,650,643 460,641 X X 28-5284 459273 1368 VEOLIA ENVIRONNEMENT SPONSORED ADR 92334N103 1,323,977 42,476 X 28-5284 1505 40971 163,393 5,242 X X 28-5284 662 4580 35,222 1,130 X 28-13663 1130 VERA BRADLEY INC COM 92335C106 718 17 X X 28-5284 17 VERENIUM CORP COM NEW 92340P209 550 181 X 28-5284 181 VERIFONE SYS INC COM 92342Y109 12,748 232 X 28-5284 113 119 16,485 300 X X 28-5284 300 230,076 4,187 X 28-13605 4187 VERISIGN INC COM 92343E102 99,722 2,754 X 28-5284 2279 475 60,000 1,657 X X 28-5284 1653 4 221,134 6,107 X 28-13605 894 5213 145 4 X X 28-13605 4 2,897 80 X 28-13663 80 VERIZON COMMUNICATIONS INC COM 92343V104 117,185,186 3,040,612 X 28-5284 2994783 45829 117,561,414 3,050,374 X X 28-5284 2947439 6497 96438 7,949,183 206,258 X 28-13605 120885 85373 1,685,701 43,739 X X 28-13605 43363 132 244 466,373 12,101 X 28-13663 11333 768 639,841 16,602 X X 28-13663 16053 549 VERISK ANALYTICS INC CL A 92345Y106 28,043 856 X 28-5284 856 299,688 9,148 X X 28-5284 948 8200 VERSAR INC COM 925297103 65,600 20,000 X X 28-5284 20000 VERSO PAPER CORP COM 92531L108 10,700 2,000 X 28-5284 2000 VERTEX PHARMACEUTICALS INC COM 92532F100 173,123 3,612 X 28-5284 3612 89,054 1,858 X X 28-5284 1858 COLUMN TOTAL 397,863,611 FILE NO. 28-1235 PAGE 240 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ VIAD CORP COM NEW 92552R406 5,387 225 X 28-5284 225 1,508 63 X X 28-5284 63 VIASAT INC COM 92552V100 61,354 1,540 X 28-5284 750 790 15,936 400 X X 28-5284 400 69,122 1,735 X 28-13605 1735 VIACOM INC NEW CL A 92553P102 83,772 1,572 X 28-5284 1525 47 90,060 1,690 X X 28-5284 1537 153 VIACOM INC NEW CL B 92553P201 26,833,759 576,822 X 28-5284 560606 16216 7,044,570 151,431 X X 28-5284 140934 1075 9422 34,116,512 733,373 X 28-13605 653008 80365 5,980,751 128,563 X X 28-13605 122491 426 5646 291,355 6,263 X 28-13663 6127 136 124,860 2,684 X X 28-13663 2307 377 VICOR CORP COM 925815102 2,474 150 X 28-5284 150 VILLAGE BK & TR FINANCIAL CO COM 92705T101 216,439 73,369 X X 28-5284 73369 VIRCO MFG CO COM 927651109 10 3 X 28-5284 3 VIRGIN MEDIA INC COM 92769L101 96,904 3,487 X X 28-5284 3487 VIRGINIA COMM BANCORP INC COM 92778Q109 5,740 1,000 X 28-5284 1000 VIROPHARMA INC COM 928241108 498 25 X 28-5284 25 VISA INC COM CL A 92826C839 8,812,167 119,698 X 28-5284 103829 15869 9,370,427 127,281 X X 28-5284 98263 140 28878 4,467,851 60,688 X 28-13605 45051 15637 381,278 5,179 X X 28-13605 5179 71,853 976 X 28-13663 760 216 95,706 1,300 X X 28-13663 1300 VIRTUS INVT PARTNERS INC COM 92828Q109 2,946 50 X 28-5284 50 471 8 X X 28-5284 8 1,166,027 19,790 X 28-13605 19790 6,953 118 X X 28-13605 118 265,628 4,508 X 28-13605 4508 VISHAY INTERTECHNOLOGY INC COM 928298108 51,446 2,900 X 28-5284 2900 88,026 4,962 X X 28-5284 4962 COLUMN TOTAL 99,821,790 FILE NO. 28-1235 PAGE 241 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ VISHAY PRECISION GROUP INC COM 92835K103 329 21 X 28-5284 21 2,539 162 X X 28-5284 162 VISTEON CORP COM NEW 92839U206 91,423 1,463 X X 28-5284 1463 VITAL IMAGES INC COM 92846N104 15,509 1,148 X 28-5284 1148 VITAMIN SHOPPE INC COM 92849E101 10,250 303 X 28-5284 303 129,298 3,822 X X 28-5284 22 3800 VITESSE SEMICONDUCTOR CORP COM NEW 928497304 1,691 350 X X 28-5284 350 VITRAN CORP INC COM 92850E107 5,453,464 387,045 X 28-5284 387045 VIVO PARTICIPACOES S A SPON ADR PFD N 92855S200 808 20 X 28-5284 20 VIVUS INC COM 928551100 3,652 590 X 28-5284 590 VMWARE INC CL A COM 928563402 505,222 6,196 X 28-5284 6196 172,457 2,115 X X 28-5284 2115 VODAFONE GROUP PLC NEW SPONS ADR NEW 92857W209 7,845,875 272,900 X 28-5284 135126 137774 9,685,904 336,901 X X 28-5284 287782 1069 48050 1,372,784 47,749 X 28-13605 46192 1557 529,776 18,427 X X 28-13605 18263 58 106 77,050 2,680 X 28-13663 2680 57,500 2,000 X X 28-13663 2000 VOLTERRA SEMICONDUCTOR CORP COM 928708106 6,208 250 X X 28-5284 250 VORNADO RLTY TR SH BEN INT 929042109 413,350 4,724 X 28-5284 3757 967 247,363 2,827 X X 28-5284 2822 5 511,788 5,849 X 28-13605 855 4994 438 5 X X 28-13605 5 3,500 40 X 28-13663 40 VORNADO RLTY TR PFD CONV SER A 929042208 60,270 500 X 28-5284 500 VULCAN MATLS CO COM 929160109 144,370 3,166 X 28-5284 2785 381 310,217 6,803 X X 28-5284 6798 5 188,602 4,136 X 28-13605 604 3532 228 5 X X 28-13605 5 2,462 54 X 28-13663 54 COLUMN TOTAL 27,844,327 FILE NO. 28-1235 PAGE 242 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ W & T OFFSHORE INC COM 92922P106 47,859 2,100 X X 28-5284 2100 169,580 7,441 X 28-13605 7441 WD-40 CO COM 929236107 10,246 242 X 28-5284 242 42,255 998 X X 28-5284 1100 102- 216,357 5,110 X 28-13605 5110 WGL HLDGS INC COM 92924F106 549,198 14,082 X 28-5284 14082 489,606 12,554 X X 28-5284 3854 8700 WABCO HLDGS INC COM 92927K102 61,393 996 X 28-5284 996 238,362 3,867 X X 28-5284 617 3250 WMS INDS INC COM 929297109 15,377 435 X 28-5284 435 51,187 1,448 X X 28-5284 1448 1,112,889 31,482 X 28-13605 31482 6,858 194 X X 28-13605 194 163,037 4,612 X 28-13605 4612 W P CAREY & CO LLC COM 92930Y107 1,315,045 36,836 X 28-5284 36836 576,377 16,145 X X 28-5284 14145 2000 WSFS FINL CORP COM 929328102 35,749 759 X 28-5284 759 70,650 1,500 X X 28-5284 1500 WPP PLC ADR 92933H101 54,596 884 X 28-5284 884 13,772 223 X X 28-5284 223 13,587 220 X 28-13663 220 WABASH NATL CORP COM 929566107 25,476 2,200 X X 28-5284 2200 WABTEC CORP COM 929740108 2,540,369 37,452 X 28-5284 1955 35497 4,089,539 60,291 X X 28-5284 3525 56766 14,567,103 214,759 X 28-13663 214402 357 WACOAL HOLDINGS CORP ADR 930004205 67,316 1,080 X 28-5284 300 780 2,244 36 X X 28-5284 36 WADDELL & REED FINL INC CL A 930059100 233,101 5,740 X 28-5284 3100 2640 864,749 21,294 X X 28-5284 20394 900 COLUMN TOTAL 27,643,877 FILE NO. 28-1235 PAGE 243 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ WAL MART STORES INC COM 931142103 108,224,338 2,079,238 X 28-5284 2018130 61108 65,915,443 1,266,387 X X 28-5284 1149426 2955 114006 32,243,361 619,469 X 28-13605 528041 91428 5,115,995 98,290 X X 28-13605 92382 364 5544 677,743 13,021 X 28-13663 12537 484 661,451 12,708 X X 28-13663 11723 985 WALGREEN CO COM 931422109 22,551,896 561,831 X 28-5284 544924 16907 10,386,024 258,745 X X 28-5284 177186 424 81135 22,095,224 550,454 X 28-13605 513044 37410 4,214,218 104,988 X X 28-13605 99915 377 4696 58,966 1,469 X 28-13663 1150 319 131,459 3,275 X X 28-13663 2885 390 WALTER ENERGY INC COM 93317Q105 40,629 300 X 28-5284 300 39,546 292 X X 28-5284 292 WALTER INVT MGMT CORP COM 93317W102 32,260 2,000 X 28-5284 2000 16,807 1,042 X X 28-5284 1042 WARNACO GROUP INC COM NEW 934390402 113,065 1,977 X 28-5284 117 1860 233,507 4,083 X X 28-5284 13 4070 110,777 1,937 X 28-13605 1937 WARNER MUSIC GROUP CORP COM 934550104 1,584 234 X 28-5284 234 WASHINGTON FED INC COM 938824109 197,034 11,363 X 28-5284 841 10522 71,944 4,149 X X 28-5284 766 3383 WASHINGTON POST CO CL B 939640108 210,029 480 X 28-5284 252 228 428,371 979 X X 28-5284 769 210 118,141 270 X 28-13605 38 232 WASHINGTON REAL ESTATE INVT SH BEN INT 939653101 411,880 13,248 X 28-5284 13248 334,995 10,775 X X 28-5284 10075 700 WASHINGTON TR BANCORP COM 940610108 16,618 700 X 28-5284 700 128,077 5,395 X X 28-5284 5395 WASTE CONNECTIONS INC COM 941053100 145,937 5,069 X 28-5284 336 4733 27,523 956 X X 28-5284 956 COLUMN TOTAL 274,954,842 FILE NO. 28-1235 PAGE 244 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ WASTE MGMT INC DEL COM 94106L109 35,459,670 949,643 X 28-5284 914658 34985 12,750,975 341,483 X X 28-5284 307312 346 33825 1,734,406 46,449 X 28-13605 31328 15121 439,529 11,771 X X 28-13605 11670 37 64 243,083 6,510 X 28-13663 6043 467 292,895 7,844 X X 28-13663 7200 644 WATERS CORP COM 941848103 1,002,565 11,537 X 28-5284 4571 6966 722,660 8,316 X X 28-5284 5402 4 2910 283,381 3,261 X 28-13605 477 2784 348 4 X X 28-13605 4 53,009 610 X 28-13663 610 104,280 1,200 X X 28-13663 1200 WATSCO INC COM 942622200 36,458 523 X 28-5284 523 172,532 2,475 X X 28-5284 25 2450 WATSON PHARMACEUTICALS INC COM 942683103 2,008,015 35,851 X 28-5284 34325 1526 399,911 7,140 X X 28-5284 2625 4515 6,226,128 111,161 X 28-13605 65456 45705 436,878 7,800 X X 28-13605 7555 245 8,850 158 X 28-13663 158 95,833 1,711 X X 28-13663 1500 211 WATTS WATER TECHNOLOGIES INC CL A 942749102 105,404 2,760 X 28-5284 2500 260 68,742 1,800 X X 28-5284 1800 144,816 3,792 X 28-13605 3792 WAVE SYSTEMS CORP COM NEW 943526301 15,024 4,800 X 28-5284 4800 WEBSENSE INC COM 947684106 455,105 19,813 X 28-5284 19813 19,961 869 X 28-13663 869 WEBMD HEALTH CORP COM 94770V102 23,398 438 X 28-5284 438 25,588 479 X X 28-5284 479 WEBSTER FINL CORP CONN COM 947890109 12,858 600 X 28-5284 600 143,581 6,700 X X 28-5284 3900 2800 WEIGHT WATCHERS INTL INC NEW COM 948626106 4,346 62 X 28-5284 62 200,977 2,867 X X 28-5284 2867 COLUMN TOTAL 63,691,206 FILE NO. 28-1235 PAGE 245 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ WEINGARTEN RLTY INVS SH BEN INT 948741103 23,807 950 X 28-5284 950 368,833 14,718 X X 28-5284 7418 7300 WEIS MKTS INC COM 948849104 519,668 12,844 X 28-5284 12844 10,115 250 X X 28-5284 250 WELLPOINT INC COM 94973V107 2,064,737 29,585 X 28-5284 26000 3585 1,574,811 22,565 X X 28-5284 18280 555 3730 915,784 13,122 X 28-13605 1919 11203 349 5 X X 28-13605 5 56,181 805 X 28-13663 100 705 24,287 348 X X 28-13663 150 198 WELLS FARGO & CO NEW COM 949746101 103,425,558 3,261,607 X 28-5284 3188921 72686 80,272,565 2,531,459 X X 28-5284 2450873 7068 73518 52,974,980 1,670,608 X 28-13605 1326979 343629 8,523,902 268,808 X X 28-13605 256937 924 10947 603,854 19,043 X 28-13663 14873 4170 1,015,735 32,032 X X 28-13663 30712 1320 WELLS FARGO & CO NEW PERP PFD CNV A 949746804 150,104 145 X 28-5284 145 292,962 283 X X 28-5284 283 WELLS FARGO ADVANTAGE INCOME COM SHS 94987B105 18,054 1,770 X 28-5284 1770 6,446 632 X X 28-5284 632 WELLS FARGO ADV GLB DIV OPP COM 94987C103 3,738 381 X X 28-5284 381 WELLS FARGO ADVANTAGE UTILS COM 94987E109 5,387 455 X 28-5284 455 WENDYS ARBYS GROUP INC COM 950587105 60,199 11,968 X 28-5284 11968 48,590 9,660 X X 28-5284 2360 7300 94,861 18,859 X 28-13605 18859 WESBANCO INC COM 950810101 415,774 20,076 X 28-5284 20076 62,130 3,000 X X 28-5284 3000 WESCO FINL CORP COM 950817106 3,503 9 X X 28-5284 9 WESCO INTL INC COM 95082P105 471,250 7,540 X 28-5284 350 7190 426,813 6,829 X X 28-5284 706 6123 240,438 3,847 X 28-13605 3847 COLUMN TOTAL 254,675,415 FILE NO. 28-1235 PAGE 246 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ WEST PHARMACEUTICAL SVSC INC COM 955306105 345,893 7,726 X 28-5284 4900 2826 29,996 670 X X 28-5284 670 WESTAR ENERGY INC COM 95709T100 26,050 986 X 28-5284 986 73,844 2,795 X X 28-5284 2795 18,151 687 X X 28-13663 687 WESTAMERICA BANCORPORATION COM 957090103 12,175 237 X 28-5284 237 WESTELL TECHNOLOGIES INC CL A 957541105 613 175 X X 28-5284 175 WESTERN ASSET GLB HI INCOME COM 95766B109 2,229 172 X X 28-5284 172 WESTERN ASSET HIGH INCM FD I COM 95766J102 75,330 7,640 X 28-5284 7640 9,860 1,000 X X 28-5284 1000 WESTERN ASSET HIGH INCM OPP COM 95766K109 75,296 11,839 X 28-5284 11839 68,052 10,700 X X 28-5284 10700 WESTERN ASSETT MGD HI INCM F COM 95766L107 107,733 16,886 X 28-5284 16886 WESTERN ASST MN PRT FD INC COM 95766P108 211,520 16,000 X X 28-5284 16000 WESTERN ASSET CLYM INFL SEC COM SH BEN INT 95766Q106 28,352 2,270 X 28-5284 2270 6,245 500 X X 28-5284 500 WESTERN ASSET CLYM INFL OPP COM 95766R104 6,170 500 X X 28-5284 500 WESTERN ASSET INFL MGMT FD I COM 95766U107 30,148 1,786 X 28-5284 1786 WESTERN ASSET PREMIER BD FD SHS BEN INT 957664105 72,868 4,671 X 28-5284 4671 WESTERN DIGITAL CORP COM 958102105 653,917 17,536 X 28-5284 16829 707 167,395 4,489 X X 28-5284 4489 326,026 8,743 X 28-13605 1277 7466 WESTERN GAS PARTNERS LP COM UNIT LP IN 958254104 1,280,708 36,665 X 28-5284 36665 396,805 11,360 X X 28-5284 8560 2800 24,451 700 X X 28-13663 700 WESTERN REFNG INC COM 959319104 515,009 30,384 X 28-13605 30384 COLUMN TOTAL 4,564,836 FILE NO. 28-1235 PAGE 247 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ WESTERN UN CO COM 959802109 1,423,887 68,555 X 28-5284 65229 3326 4,470,535 215,240 X X 28-5284 202732 412 12096 1,714,293 82,537 X 28-13605 62348 20189 123,353 5,939 X X 28-13605 5939 2,285 110 X 28-13663 110 15,183 731 X X 28-13663 731 WESTLAKE CHEM CORP COM 960413102 166,464 2,962 X 28-13605 2962 WESTPORT INNOVATIONS INC COM NEW 960908309 2,198 100 X X 28-5284 100 WESTPAC BKG CORP SPONSORED ADR 961214301 37,530 300 X 28-5284 300 25,020 200 X X 28-5284 200 WEYERHAEUSER CO COM 962166104 397,290 16,150 X 28-5284 14989 1161 1,340,552 54,494 X X 28-5284 46482 12 8000 459,971 18,698 X 28-13605 2733 15965 295 12 X X 28-13605 12 2,583 105 X X 28-13663 105 WHIRLPOOL CORP COM 963320106 9,467,960 110,918 X 28-5284 109340 1578 1,384,027 16,214 X X 28-5284 15294 920 1,688,079 19,776 X 28-13605 16706 3070 550,060 6,444 X X 28-13605 6387 20 37 28,254 331 X 28-13663 147 184 WHITESTONE REIT CL B SBI 966084204 10,733 750 X 28-5284 750 WHITING PETE CORP NEW COM 966387102 199,417 2,715 X 28-5284 300 2415 495,861 6,751 X X 28-5284 1488 5263 WHITING USA TR I TR UNIT 966389108 3,284 200 X 28-5284 200 WHITNEY HLDG CORP COM 966612103 15,622 1,147 X 28-5284 300 847 35,167 2,582 X X 28-5284 2582 WHOLE FOODS MKT INC COM 966837106 1,110,481 16,851 X 28-5284 15965 886 609,048 9,242 X X 28-5284 9227 15 340,110 5,161 X 28-13605 754 4407 989 15 X X 28-13605 15 95,028 1,442 X 28-13663 1400 42 6,590 100 X X 28-13663 100 COLUMN TOTAL 26,222,149 FILE NO. 28-1235 PAGE 248 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ WILEY JOHN & SONS INC CL A 968223206 556,596 10,948 X 28-5284 7482 3466 40,926 805 X X 28-5284 705 100 61,008 1,200 X X 28-13663 1200 WILEY JOHN & SONS INC CL B 968223305 121,800 2,400 X 28-5284 2400 WILLBROS GROUP INC DEL COM 969203108 27,737 2,540 X 28-13605 2540 WILLIAMS COS INC DEL COM 969457100 4,689,721 150,408 X 28-5284 138035 12373 1,950,527 62,557 X X 28-5284 60088 269 2200 651,506 20,895 X 28-13605 3052 17843 8,387 269 X X 28-13605 269 5,519 177 X 28-13663 177 WILLIAMS CTLS INC COM NEW 969465608 6,083 550 X X 28-5284 550 WILLIAMS CLAYTON ENERGY INC COM 969490101 21,140 200 X X 28-5284 200 WILLIAMS PARTNERS L P COM UNIT L P 96950F104 1,710,799 33,027 X 28-5284 33027 1,363,376 26,320 X X 28-5284 24320 2000 25,900 500 X 28-13663 500 41,440 800 X X 28-13663 800 WILLIAMS SONOMA INC COM 969904101 162,000 4,000 X 28-5284 4000 74,885 1,849 X X 28-5284 1849 WILLIS LEASE FINANCE CORP COM 970646105 2,528 200 X X 28-5284 200 WILMINGTON TRUST CORP COM 971807102 567,314 125,512 X 28-5284 125512 141,892 31,392 X X 28-5284 29392 2000 43,392 9,600 X X 28-13663 9600 WINDSTREAM CORP COM 97381W104 4,236,142 328,893 X 28-5284 322962 5931 1,728,689 134,215 X X 28-5284 121054 13161 287,276 22,304 X 28-13605 3261 19043 1,765 137 X 28-13663 137 5,152 400 X X 28-13663 400 WINNEBAGO INDS INC COM 974637100 317,952 23,781 X 28-5284 23781 13,718 1,026 X 28-13663 1026 WIPRO LTD SPON ADR 1 SH 97651M109 47,598 3,249 X 28-5284 3249 COLUMN TOTAL 18,912,768 FILE NO. 28-1235 PAGE 249 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ WISCONSIN ENERGY CORP COM 976657106 50,186,927 1,645,473 X 28-5284 1619695 25778 12,457,237 408,434 X X 28-5284 393451 2912 12071 34,969,348 1,146,536 X 28-13605 1006317 140219 6,696,184 219,547 X X 28-13605 209011 793 9743 278,465 9,130 X 28-13663 9118 12 131,760 4,320 X X 28-13663 4320 WISDOMTREE TRUST CHINESE YUAN E 97717W182 30,001 1,183 X X 28-5284 1183 WISDOMTREE TRUST BRAZILN RL ETF 97717W240 19,147 694 X X 28-5284 694 WISDOMTREE TRUST EMG MKTS SMCAP 97717W281 17,115 320 X 28-5284 320 356,143 6,659 X X 28-5284 6379 280 WISDOMTREE TRUST LARGECAP DIVID 97717W307 46,703,454 966,545 X 28-5284 939061 27484 7,810,107 161,633 X X 28-5284 155821 312 5500 66,488 1,376 X 28-13605 1376 825,402 17,082 X 28-13663 17082 286,151 5,922 X X 28-13663 5922 WISDOMTREE TRUST DIV EX-FINL FD 97717W406 471,222 9,400 X 28-5284 9400 10,778 215 X X 28-5284 215 WISDOMTREE TRUST INDIA ERNGS FD 97717W422 26,040 1,050 X 28-5284 1050 1,541,221 62,146 X X 28-5284 62146 WISDOMTREE TRUST SMALLCAP DIVID 97717W604 210,254 4,320 X X 28-13663 4320 WISDOMTREE TRUST INTL UTILITIES 97717W653 85,360 4,000 X X 28-5284 4000 WISDOMTREE TRUST DEFA FD 97717W703 156,587 3,150 X X 28-5284 3150 320,630 6,450 X X 28-13663 6450 WISDOMTREE TRUST INTL SMCAP DIV 97717W760 12,042 227 X 28-5284 227 82,334 1,552 X X 28-5284 1552 WOLVERINE WORLD WIDE INC COM 978097103 8,137,404 218,278 X 28-5284 212917 5361 18,640 500 X X 28-5284 500 134,842 3,617 X 28-13605 3617 WONDER AUTO TECHNOLOGY INC COM 978166106 1,084 200 X X 28-5284 200 WOODWARD INC COM 980745103 129,324 3,742 X X 28-5284 42 3700 COLUMN TOTAL 172,171,691 FILE NO. 28-1235 PAGE 250 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ WORLD ACCEP CORP DEL COM 981419104 1,627,848 24,967 X 28-13605 24967 7,824 120 X X 28-13605 120 270,971 4,156 X 28-13605 4156 WORLD FUEL SVCS CORP COM 981475106 42,559 1,048 X 28-5284 1048 8,122 200 X X 28-5284 200 2,419,178 59,571 X 28-13605 59571 11,574 285 X X 28-13605 285 393,800 9,697 X 28-13605 9697 WORLD WRESTLING ENTMT INC CL A 98156Q108 40,903 3,254 X 28-5284 3254 107,222 8,530 X X 28-5284 8530 WORTHINGTON INDS INC COM 981811102 115,688 5,530 X 28-5284 5530 630,738 30,150 X X 28-5284 28850 1300 WRIGHT EXPRESS CORP COM 98233Q105 795,277 15,341 X X 28-5284 41 15300 1,158,468 22,347 X 28-13605 22347 6,947 134 X X 28-13605 134 190,731 3,679 X 28-13605 3679 WYNDHAM WORLDWIDE CORP COM 98310W108 1,157,979 36,403 X 28-5284 34331 2072 351,278 11,043 X X 28-5284 6503 4540 7,267,917 228,479 X 28-13605 179896 48583 768,402 24,156 X X 28-13605 23906 250 21,376 672 X 28-13663 600 72 51,278 1,612 X X 28-13663 1200 412 WYNN RESORTS LTD COM 983134107 188,833 1,485 X 28-5284 894 591 1,361,248 10,705 X X 28-5284 10705 271,995 2,139 X 28-13605 313 1826 XCEL ENERGY INC COM 98389B100 1,674,522 70,093 X 28-5284 61740 8353 3,449,358 144,385 X X 28-5284 143141 44 1200 422,471 17,684 X 28-13605 3996 13688 2,771 116 X X 28-13605 116 1,648 69 X 28-13663 69 XILINX INC COM 983919101 592,237 18,056 X 28-5284 15820 2236 173,250 5,282 X X 28-5284 5250 32 357,782 10,908 X 28-13605 1594 9314 1,050 32 X X 28-13605 32 2,296 70 X 28-13663 70 7,970 243 X X 28-13663 243 COLUMN TOTAL 25,953,511 FILE NO. 28-1235 PAGE 251 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ XEROX CORP COM 984121103 300,564 28,222 X 28-5284 19518 8704 1,452,511 136,386 X X 28-5284 123749 37 12600 618,371 58,063 X 28-13605 8487 49576 394 37 X X 28-13605 37 XUEDA ED GROUP SPONSORED ADR 98418W109 114,051 11,930 X X 28-5284 11930 YRC WORLDWIDE INC COM NEW 984249300 6,960 4,000 X X 28-5284 4000 YAHOO INC COM 984332106 517,630 31,033 X 28-5284 22935 8098 543,084 32,559 X X 28-5284 21771 88 10700 727,565 43,619 X 28-13605 6370 37249 1,468 88 X X 28-13605 88 13,394 803 X X 28-13663 803 YAMANA GOLD INC COM 98462Y100 255,359 20,744 X 28-5284 20744 135,398 10,999 X X 28-5284 10595 404 YONGYE INTL INC COM 98607B106 44,136 7,200 X 28-5284 200 7000 YORK WTR CO COM 987184108 3,482 200 X 28-5284 200 5,223 300 X X 28-5284 300 YUM BRANDS INC COM 988498101 14,773,240 287,529 X 28-5284 280909 6620 12,361,668 240,593 X X 28-5284 224944 435 15214 852,446 16,591 X 28-13605 2423 14168 17,983 350 X X 28-13605 350 125,059 2,434 X 28-13663 2300 134 96,851 1,885 X X 28-13663 1885 ZAGG INCORPORATED COM 98884U108 2,095 279 X 28-5284 279 ZALE CORP NEW COM 988858106 1,237 310 X 28-5284 310 ZEBRA TECHNOLOGIES CORP CL A 989207105 55,799 1,422 X 28-5284 1422 16,873 430 X X 28-5284 430 ZEP INC COM 98944B108 80,957 4,650 X 28-5284 4650 17,410 1,000 X X 28-5284 1000 COLUMN TOTAL 33,141,208 FILE NO. 28-1235 PAGE 252 OF 252 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ITEM 6: ITEM 5: INVESTMENT ITEM 8: ITEM 3: ITEM 4: SHARES OR DISCRETION ITEM 7: VOTING AUTHORITY ITEM 1: ITEM 2: CUSIP FAIR MARKET PRINCIPAL (B)SHARED MANAGERS (SHARES) NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------------------------------------------------------------------------------------------------------------------------------------ ZIMMER HLDGS INC COM 98956P102 10,857,750 179,378 X 28-5284 177790 1588 12,148,371 200,700 X X 28-5284 197167 523 3010 509,057 8,410 X 28-13605 2579 5831 10,169 168 X X 28-13605 168 75,663 1,250 X 28-13663 1250 359,003 5,931 X X 28-13663 5931 ZIONS BANCORPORATION COM 989701107 212,521 9,216 X 28-5284 7700 1516 131,557 5,705 X X 28-5284 5105 600 102,202 4,432 X 28-13605 648 3784 ZIOPHARM ONCOLOGY INC COM 98973P101 6,250 1,000 X 28-5284 1000 12,500 2,000 X X 28-5284 2000 ZOLTEK COS INC COM 98975W104 147,730 11,000 X 28-5284 11000 ZWEIG TOTAL RETURN FD INC COM 989837109 10,410 3,000 X X 28-5284 3000 ZOLL MED CORP COM 989922109 31,367 700 X 28-5284 700 31,367 700 X X 28-5284 700 COLUMN TOTAL 24,645,917 GRAND TOTAL 40,635,534,323 PAGE 1 OF 1 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/11 ENTITY TOTALS FAIR MARKET ENTITY UNITS ----------------------------------------------------------------------------------------------------------------------------------- 29,841,264,242 28-5284 569,082,205 3,628,754,153 28-13605 89,694,983 20,350,479 28-11439 405,915 471,666,588 28-13663 7,856,502 6,671,009,325 28-4750 33,187,450 2,489,536 177,056 GRAND TOTALS 40,635,534,323 700,404,111 NUMBER OF ISSUES 3,256