UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                           Washington, D. C. 20549
                                   Form 13F

                             Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   06/30/2008

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:                    Marshall & Ilsley Corporation
Address:                 770 North Water Street
                         Milwaukee, WI 53202

Form 13F File Number: 28-12609

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 this Report on Behalf of Reporting Manager:

Name:      Kenneth C. Krei
Title:     Senior Vice President
Phone:     414-765-7448

Signature, Place, and Date of Signing:

   /s/ Kenneth C. Krei            Milwaukee, WI      8/05/08
____________________________    ________________    _________
      [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).)




                                Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    3

Form 13F Information Table Entry Total:               2,483

Form 13F Information Table Value Total:             $ 4,764,765
                                                    (thousands)

List of Other Included Mangers:

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.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

 No.     Form 13F File Number            Name
____     ____________________     _____________________________________
  1           28-12568             North Star Trust Company

  2           28-274               M&I Investment Management Corp.

  3           28-05085             Marshall & Ilsley Trust Company N.A.




                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
1ST SOURCE CORP           COM         336901103          579     35963SH                      X    3                 35963
3M CO                     COM         88579Y101          287      4120SH                 X        1 3         4120
3M CO                     COM         88579Y101         3606     51805SH                 X         2         51805
3M CO                     COM         88579Y101        15283    219610SH                 X         3        213957    3918     1735
3M CO                     COM         88579Y101         3699     53148SH                      X    3          5465   43957     3726
AAR CORP                  COM         000361105          460     33996SH                 X         3         33996
ABB LTD                   SPON ADR    000375204         2375     83865SH                 X         3         64009            19856
ABB LTD                   SPON ADR    000375204         1210     42730SH                      X    3          3010    3948    35772
ABBOTT LABS               COM         002824100          617     11650SH                 X        1 3        11650
ABBOTT LABS               COM         002824100          103      1950SH                      X   1 3         1450     500
ABBOTT LABS               COM         002824100         5549    104760SH                      X    3         23158   78465     3137
ABBOTT LABS               COM         002824100        20011    377789SH                 X         3        353075   18060     6654
ABERCROMBIE & FITCH CO    CL A        002896207          267      4267SH                 X         3          4166     101
ABERCROMBIE & FITCH CO    CL A        002896207            4        61SH                      X    3                    61
ABIOMED INC               COM         003654100         3550    199970SH                 X         2        199970
ABIOMED INC               COM         003654100          644     36311SH                 X         3         36311
ACCENTURE LTD BERMUDA     CL A        G1150G111          447     10981SH                      X    3           125    6351     4505
ACCENTURE LTD BERMUDA     CL A        G1150G111         1563     38390SH                 X         3         33065             5325
ACCO BRANDS CORP          COM         00081T108          214     19086SH                 X         3         19086
ACE LTD                   ORD         G0070K103         5660    102750SH                 X         2        102750
ACE LTD                   ORD         G0070K103          263      4768SH                      X    3           660    3917      191
ACE LTD                   ORD         G0070K103         1701     30878SH                 X         3         27347             3531
ACTIVISION INC NEW        COM NEW     004930202         3012     88400SH                 X         2         88400
ACTIVISION INC NEW        COM NEW     004930202          154      4529SH                 X         3          3980              549
ACTUANT CORP              CL A NEW    00508X203          207      6600SH                 X         3          6600
ACTUANT CORP              CL A NEW    00508X203           11       350SH                      X    3                   350
ADOBE SYS INC             COM         00724F101         3352     85100SH                 X         2         85100
ADOBE SYS INC             COM         00724F101         1004     25488SH                 X         3         24786     303      399
ADOBE SYS INC             COM         00724F101          165      4196SH                      X    3           790     293     3113
ADTRAN INC                COM         00738A106          213      8939SH                 X         3          7919             1020
ADTRAN INC                COM         00738A106           64      2700SH                      X    3                           2700
ADVANTAGE ENERGY INCOME   TR UNIT     00762L101          309     24010SH                 X         3         24010
AECOM TECHNOLOGY CORP     COM         00766T100         3395    104360SH                 X         2        104360
AECOM TECHNOLOGY CORP     COM         00766T100          778     23937SH                 X         3         23937
AEGON N V                 NY REG SH   007924103          245     18680SH                 X         3         16691             1989
AEGON N V                 NY REG SH   007924103          324     24692SH                      X    3                 18164     6528
AERCAP HOLDINGS NV        SHS         N00985106          210     16600SH                 X         3         16600
AES CORP                  COM         00130H105          620     32263SH                 X         3         31329     251      683
AES CORP                  COM         00130H105           47      2436SH                      X    3          1543     893
AETNA INC NEW             COM         00817Y108          410     10124SH                      X    3                  9874      250
AETNA INC NEW             COM         00817Y108          608     15008SH                 X         3         12645     244     2119
AFC ENTERPRISES INC       COM         00104Q107           95     11850SH                 X         3         11850
AFFILIATED COMPUTER SVC   CL A        008190100          221      4140SH                 X         3          4002     138
AFFILIATED COMPUTER SVC   CL A        008190100           10       194SH                      X    3                   194
AFFILIATED MGRS GROUP     COM         008252108         3373     37452SH                 X         2         37452
AFFILIATED MGRS GROUP     COM         008252108          757      8406SH                 X         3          6740             1666
AFFILIATED MGRS GROUP     COM         008252108          134      1484SH                      X    3                  1484
AFLAC INC                 COM         001055102         1060     16875SH                 X        1 3        16875
AFLAC INC                 COM         001055102          176      2800SH                      X   1 3         2100     700
AFLAC INC                 COM         001055102         2052     32675SH                 X         2         32675
AFLAC INC                 COM         001055102         1364     21712SH                      X    3          1950   18253     1509
AFLAC INC                 COM         001055102        17978    286278SH                 X         3        277199    5581     3498
AGCO CORP                 COM         001084102         3124     59600SH                 X         2         59600
AGCO CORP                 COM         001084102          137      2620SH                 X         3          2404              216
AGCO CORP                 COM         001084102           32       605SH                      X    3                   300      305
AGILENT TECHNOLOGIES      COM         00846U101          161      4524SH                 X         3          4524
AGILENT TECHNOLOGIES      COM         00846U101           55      1541SH                      X    3                  1541
AGRIUM INC                COM         008916108         2366     22000SH                 X         2         22000
AGRIUM INC                COM         008916108          811      7542SH                 X         3          7542
AIR PRODS & CHEMS INC     COM         009158106         2920     29540SH                 X         2         29540
AIR PRODS & CHEMS INC     COM         009158106         9744     98562SH                 X         3         91493    3109     3960
AIR PRODS & CHEMS INC     COM         009158106         1892     19136SH                      X    3         10158    8978
AIRCASTLE LTD             COM         G0129K104           99     11780SH                 X         3         11780
AIRGAS INC                COM         009363102          586     10039SH                 X         3          9260              779
AIRGAS INC                COM         009363102           21       368SH                      X    3                   368
AK STL HLDG CORP          COM         001547108          346      5020SH                 X         3          4898              122
AK STL HLDG CORP          COM         001547108           53       770SH                      X    3                   770
AKAMAI TECHNOLOGIES INC   COM         00971T101         1218     35000SH                 X         2         35000
AKAMAI TECHNOLOGIES INC   COM         00971T101         3650    104920SH                 X         3        104063     406      451
AKAMAI TECHNOLOGIES INC   COM         00971T101           89      2546SH                      X    3                  1221     1325
ALBANY INTL CORP          CL A        012348108          269      9282SH                 X         3          8450              832
ALBANY INTL CORP          CL A        012348108           47      1620SH                      X    3                           1620
ALCATEL-LUCENT            SPON ADR    013904305          441     73032SH                      X    3                 70272     2760
ALCATEL-LUCENT            SPON ADR    013904305          217     35970SH                 X         3         30180             5790
ALCOA INC                 COM         013817101           34       950SH                 X        1 3          950
ALCOA INC                 COM         013817101            5       150SH                 X         2           150
ALCOA INC                 COM         013817101         1669     46854SH                      X    3         22225   24046      583
ALCOA INC                 COM         013817101         3712    104222SH                 X         3         99025    2969     2228
ALCON INC                 COM SHS     H01301102         1656     10175SH                 X         3          9745     430
ALCON INC                 COM SHS     H01301102          114       700SH                      X    3           700
ALEXION PHARMACEUTICALS   COM         015351109         5864     80880SH                 X         2         80880
ALEXION PHARMACEUTICALS   COM         015351109          630      8690SH                 X         3          8690
ALLEGHENY ENERGY INC      COM         017361106           25       500SH                 X        1 3          500
ALLEGHENY ENERGY INC      COM         017361106          658     13137SH                 X         3         12846      51      240
ALLEGHENY ENERGY INC      COM         017361106           22       442SH                      X    3                   442
ALLEGHENY TECHNOLOGIES    COM         01741R102          204      3442SH                 X         3          3420               22
ALLEGHENY TECHNOLOGIES    COM         01741R102            1        15SH                      X    3                    15
ALLERGAN INC              COM         018490102           21       400SH                 X        1 3          400
ALLERGAN INC              COM         018490102           10       200SH                      X   1 3          200





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
ALLERGAN INC              COM         018490102         3175     61000SH                 X         2         61000
ALLERGAN INC              COM         018490102         1551     29799SH                 X         3         24508             5291
ALLERGAN INC              COM         018490102          631     12116SH                      X    3          1369    1345     9402
ALLETE INC                COM NEW     018522300          308      7328SH                 X         3          7141              187
ALLETE INC                COM NEW     018522300           20       486SH                      X    3                   486
ALLIANCE RES PARTNER      LTD PARTN   01877R108          278      5000SH                      X    3                  5000
ALLIANCEBERNSTEIN HOLD    LTD PARTN   01881G106           65      1196SH                 X         3          1196
ALLIANCEBERNSTEIN HOLD    LTD PARTN   01881G106          372      6800SH                      X    3                  6800
ALLIANT ENERGY CORP       COM         018802108          639     18650SH                 X        1 3        18650
ALLIANT ENERGY CORP       COM         018802108          163      4750SH                      X   1 3         3850     900
ALLIANT ENERGY CORP       COM         018802108            7       200SH                 X         2           200
ALLIANT ENERGY CORP       COM         018802108         1792     52307SH                 X         3         50609    1223      475
ALLIANT ENERGY CORP       COM         018802108          269      7854SH                      X    3           237    7617
ALLIANT TECHSYSTEMS INC   COM         018804104         4967     48848SH                 X         2         48848
ALLIANT TECHSYSTEMS INC   COM         018804104         6914     68001SH                 X         3         66371             1630
ALLIANZ SE                SPON ADR    018805101          222     12698SH                 X         3         10928             1770
ALLIANZ SE                SPON ADR    018805101          274     15693SH                      X    3                  9895     5798
ALLSCRIPTS HEALTHCARE     COM         01988P108          161     13000SH                 X         3         13000
ALLSTATE CORP             COM         020002101           17       376SH                 X        1 3          376
ALLSTATE CORP             COM         020002101          586     12853SH                      X    3           964   11721      168
ALLSTATE CORP             COM         020002101         1259     27608SH                 X         3         27223     212      173
ALTERA CORP               COM         021441100         2622    126639SH                 X         2        126639
ALTERA CORP               COM         021441100          702     33923SH                 X         3         29804     327     3792
ALTERA CORP               COM         021441100          155      7464SH                      X    3                   175     7289
ALTRA HOLDINGS INC        COM         02208R106         3280    195130SH                 X         2        195130
ALTRA HOLDINGS INC        COM         02208R106          597     35523SH                 X         3         35523
ALTRIA GROUP INC          COM         02209S103           13       650SH                 X        1 3          650
ALTRIA GROUP INC          COM         02209S103         3715    180670SH                 X         2        180670
ALTRIA GROUP INC          COM         02209S103         4468    217301SH                      X    3         19791  196310     1200
ALTRIA GROUP INC          COM         02209S103        12035    585364SH                 X         3        568738    7849     8777
ALUMINA LTD               SPON ADR    022205108          344     18989SH                      X    3                 18989
AMAZON COM INC            COM         023135106          766     10442SH                 X         3         10436       6
AMAZON COM INC            COM         023135106          299      4076SH                      X    3                  1941     2135
AMEREN CORP               COM         023608102           45      1072SH                 X        1 3         1072
AMEREN CORP               COM         023608102          251      5940SH                 X         2          5940
AMEREN CORP               COM         023608102         6825    161611SH                 X         3        159667     539     1405
AMEREN CORP               COM         023608102          269      6359SH                      X    3          1996    4363
AMERICA MOVIL SAB DE CV   SPON ADR    02364W105           39       744SH                 X        1 3          744
AMERICA MOVIL SAB DE CV   SPON ADR    02364W105          261      4948SH                 X         3          4948
AMERICA MOVIL SAB DE CV   SPON ADR    02364W105          289      5480SH                      X    3            66    4493      921
AMERICAN CAPITAL AGENCY   COM         02503X105         3513    211158SH                 X         2        211158
AMERICAN CAPITAL AGENCY   COM         02503X105          634     38114SH                 X         3         38114
AMERICAN ELEC PWR INC     COM         025537101          875     21738SH                 X         3         21423     173      142
AMERICAN ELEC PWR INC     COM         025537101           76      1893SH                      X    3           582    1311
AMERICAN EQTY INVT LIFE   COM         025676206           51      6233SH                 X         3          4018             2215
AMERICAN EQTY INVT LIFE   COM         025676206           48      5950SH                      X    3                           5950
AMERICAN EXPRESS CO       COM         025816109           92      2439SH                 X        1 3         2439
AMERICAN EXPRESS CO       COM         025816109            8       220SH                      X   1 3          120     100
AMERICAN EXPRESS CO       COM         025816109         1156     30691SH                      X    3         17675   11766     1250
AMERICAN EXPRESS CO       COM         025816109         4065    107908SH                 X         3        101664    2805     3439
AMERICAN INTL GROUP INC   COM         026874107            1        50SH                 X        1 3           50
AMERICAN INTL GROUP INC   COM         026874107            7       260SH                      X   1 3          260
AMERICAN INTL GROUP INC   COM         026874107            4       140SH                 X         2           140
AMERICAN INTL GROUP INC   COM         026874107         5372    203005SH                 X         3        197061    3907     2037
AMERICAN INTL GROUP INC   COM         026874107         1102     41657SH                      X    3          5244   32529     3884
AMERICAN TOWER CORP       CL A        029912201         3591     85000SH                 X         2         85000
AMERICAN TOWER CORP       CL A        029912201          261      6164SH                 X         3          6164
AMERICAN TOWER CORP       CL A        029912201          137      3235SH                      X    3                    41     3194
AMERIPRISE FINL INC       COM         03076C106            9       218SH                 X        1 3          218
AMERIPRISE FINL INC       COM         03076C106         7092    174372SH                 X         2        174372
AMERIPRISE FINL INC       COM         03076C106          103      2531SH                      X    3                  2381      150
AMERIPRISE FINL INC       COM         03076C106         3699     90954SH                 X         3         84787             6167
AMERISOURCEBERGEN CORP    COM         03073E105         7359    184037SH                 X         2        184037
AMERISOURCEBERGEN CORP    COM         03073E105         1715     42893SH                 X         3         37952     179     4762
AMERISOURCEBERGEN CORP    COM         03073E105           23       565SH                      X    3                   565
AMERON INTL INC           COM         030710107         4345     36220SH                 X         2         36220
AMERON INTL INC           COM         030710107          821      6840SH                 X         3          6840
AMETEK INC NEW            COM         031100100           71      1500SH                      X   1 3         1500
AMETEK INC NEW            COM         031100100         2545     53900SH                 X         2         53900
AMETEK INC NEW            COM         031100100           46       978SH                      X    3                   648      330
AMETEK INC NEW            COM         031100100          206      4361SH                 X         3          3995              366
AMGEN INC                 COM         031162100           12       250SH                 X        1 3          200      50
AMGEN INC                 COM         031162100            9       190SH                      X   1 3          140      50
AMGEN INC                 COM         031162100            3        60SH                 X         2            60
AMGEN INC                 COM         031162100          417      8851SH                      X    3           750    7364      737
AMGEN INC                 COM         031162100         3994     84695SH                 X         3         81414    2285      996
AMPHENOL CORP NEW         CL A        032095101         3213     71600SH                 X         2         71600
AMPHENOL CORP NEW         CL A        032095101           74      1642SH                      X    3                  1277      365
AMPHENOL CORP NEW         CL A        032095101          339      7548SH                 X         3          6951              597
AMTRUST FINANCIAL SVC     COM         032359309          127     10095SH                 X         3         10095
AMTRUST FINANCIAL SVC     COM         032359309           21      1650SH                      X    3                  1650
ANADARKO PETE CORP        COM         032511107           15       200SH                 X        1 3          200
ANADARKO PETE CORP        COM         032511107         2461     32879SH                 X         3         32094     395      390
ANADARKO PETE CORP        COM         032511107          536      7166SH                      X    3                  5391     1775
ANALOG DEVICES INC        COM         032654105          650     20459SH                 X         3         20242     217
ANALOG DEVICES INC        COM         032654105           23       735SH                      X    3                   735
ANCHOR BANCORP WIS INC    COM         032839102          152     21702SH                 X         3         21702
ANCHOR BANCORP WIS INC    COM         032839102          149     21280SH                      X    3                 21280
ANGLO AMERN PLC           ADR NEW     03485P201           28       800SH                 X         3           800





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
ANGLO AMERN PLC           ADR NEW     03485P201          454     12800SH                      X    3                 12800
ANGLOGOLD ASHANTI LTD     SPON ADR    035128206           29       858SH                 X         3           858
ANGLOGOLD ASHANTI LTD     SPON ADR    035128206          747     22023SH                      X    3                 22023
ANHEUSER BUSCH COS INC    COM         035229103          828     13325SH                 X        1 3        13075     250
ANHEUSER BUSCH COS INC    COM         035229103          109      1750SH                      X   1 3         1350     400
ANHEUSER BUSCH COS INC    COM         035229103            9       150SH                 X         2           150
ANHEUSER BUSCH COS INC    COM         035229103         6528    105079SH                 X         3         99957    3737     1385
ANHEUSER BUSCH COS INC    COM         035229103         4782     76980SH                      X    3         27077   49903
ANNALY CAP MGMT INC       COM         035710409         3926    253100SH                 X         2        253100
ANNALY CAP MGMT INC       COM         035710409          246     15904SH                 X         3         15904
ANSYS INC                 COM         03662Q105         5628    119430SH                 X         2        119430
ANSYS INC                 COM         03662Q105          670     14238SH                 X         3         13841              397
ANSYS INC                 COM         03662Q105           26       545SH                      X    3                            545
AON CORP                  COM         037389103           10       225SH                 X        1 3          225
AON CORP                  COM         037389103           48      1050SH                      X   1 3         1050
AON CORP                  COM         037389103         5229    113821SH                 X         2        113821
AON CORP                  COM         037389103          125      2728SH                      X    3                  2218      510
AON CORP                  COM         037389103         1805     39296SH                 X         3         35506             3790
APACHE CORP               COM         037411105         2203     15850SH                 X        1 3        15775      75
APACHE CORP               COM         037411105          292      2100SH                      X   1 3         2100
APACHE CORP               COM         037411105         1810     13023SH                 X         2         13023
APACHE CORP               COM         037411105         2706     19465SH                      X    3          1288   13487     4690
APACHE CORP               COM         037411105        19375    139383SH                 X         3        131852    1854     5677
APARTMENT INVT & MGMT     CL A        03748R101          286      8393SH                 X         3          8393
APOGEE ENTERPRISES INC    COM         037598109          136      8440SH                 X         3          8440
APOGEE ENTERPRISES INC    COM         037598109           65      4000SH                      X    3                  4000
APOLLO GROUP INC          CL A        037604105         1432     32362SH                 X         2         32362
APOLLO GROUP INC          CL A        037604105          413      9323SH                 X         3          8323             1000
APOLLO GROUP INC          CL A        037604105            5       113SH                      X    3                   113
APPLE INC                 COM         037833100           17       100SH                 X        1 3          100
APPLE INC                 COM         037833100         8293     49530SH                 X         2         49530
APPLE INC                 COM         037833100        13898     83003SH                 X         3         77931     459     4613
APPLE INC                 COM         037833100         2884     17222SH                      X    3          4980    5710     6532
APPLERA CORP              COM         038020103            8       250SH                 X         2           250
APPLERA CORP              COM         038020103         1039     31033SH                 X         3         30618     415
APPLERA CORP              COM         038020103           16       492SH                      X    3                   492
APPLIED MATLS INC         COM         038222105           69      3600SH                 X        1 3         3250     350
APPLIED MATLS INC         COM         038222105           21      1100SH                      X   1 3         1100
APPLIED MATLS INC         COM         038222105          117      6120SH                 X         2          6120
APPLIED MATLS INC         COM         038222105         8051    421719SH                 X         3        404639   11835     5245
APPLIED MATLS INC         COM         038222105          746     39101SH                      X    3          1275   31974     5852
AQUILA INC                COM         03840P102           52     13786SH                 X         3         12401             1385
AQUILA INC                COM         03840P102           63     16660SH                      X    3                          16660
ARCH COAL INC             COM         039380100          266      3551SH                 X         3          2831              720
ARCH COAL INC             COM         039380100           92      1222SH                      X    3           600     622
ARCHER DANIELS MIDLAND    COM         039483102         2531     75000SH                 X         2         75000
ARCHER DANIELS MIDLAND    COM         039483102         1570     46522SH                 X         3         46422     100
ARCHER DANIELS MIDLAND    COM         039483102          349     10348SH                      X    3          1190    8807      351
ARGO GROUP INTL HLDGS     COM         G0464B107          201      6000SH                 X         3          6000
ARIBA INC                 COM NEW     04033V203         3078    209260SH                 X         2        209260
ARIBA INC                 COM NEW     04033V203          559     38009SH                 X         3         38009
ARROW ELECTRS INC         COM         042735100         5163    168059SH                 X         2        168059
ARROW ELECTRS INC         COM         042735100         1244     40498SH                 X         3         33553             6945
ARROW ELECTRS INC         COM         042735100           66      2150SH                      X    3                  2150
ARVINMERITOR INC          COM         043353101          184     14735SH                 X         3         13078             1657
ARVINMERITOR INC          COM         043353101           41      3290SH                      X    3                           3290
ASHLAND INC NEW           COM         044209104          232      4808SH                 X         3          4732               76
ASHLAND INC NEW           COM         044209104           43       889SH                      X    3                   889
ASIAINFO HLDGS INC        COM         04518A104         3751    317320SH                 X         2        317320
ASIAINFO HLDGS INC        COM         04518A104          681     57660SH                 X         3         57660
ASSOCIATED BANC CORP      COM         045487105          630     32683SH                      X    3          4878   27397      408
ASSOCIATED BANC CORP      COM         045487105         4126    213908SH                 X         3        205524    3757     4627
ASSURANT INC              COM         04621X108         9696    146996SH                 X         2        146996
ASSURANT INC              COM         04621X108         1341     20328SH                 X         3         18509     109     1710
ASSURANT INC              COM         04621X108            9       130SH                      X    3                   130
ASTRAZENECA PLC           SPON ADR    046353108          212      4980SH                 X         3          4980
ASTRAZENECA PLC           SPON ADR    046353108          276      6497SH                      X    3                  6497
AT&T INC                  COM         00206R102         1417     42047SH                 X        1 3        41797     250
AT&T INC                  COM         00206R102          486     14412SH                      X   1 3        13035    1377
AT&T INC                  COM         00206R102         9269    275137SH                 X         2        275137
AT&T INC                  COM         00206R102         8002    237503SH                      X    3         29792  206982      729
AT&T INC                  COM         00206R102        35908   1065844SH                 X         3       1045047   13149     7648
ATLAS AMER INC            COM         049167109        15828    351340SH                 X         2        351340
ATLAS AMER INC            COM         049167109         1659     36833SH                 X         3         36833
ATMEL CORP                COM         049513104            3      1000SH                 X        1 3         1000
ATMEL CORP                COM         049513104           34      9735SH                 X         3          7667             2068
ATS MED INC               COM         002083103           30     14000SH                 X         3         14000
AUTHENTEC INC             COM         052660107         2648    254120SH                 X         2        254120
AUTHENTEC INC             COM         052660107          491     47097SH                 X         3         47097
AUTODESK INC              COM         052769106         2351     69550SH                 X         2         69550
AUTODESK INC              COM         052769106          608     17962SH                 X         3         17568     187      207
AUTODESK INC              COM         052769106            7       200SH                      X    3                   200
AUTOLIV INC               COM         052800109         2848     61083SH                 X         2         61083
AUTOLIV INC               COM         052800109          638     13704SH                 X         3         11317             2387
AUTOLIV INC               COM         052800109          129      2770SH                      X    3           613    2157
AUTOMATIC DATA PROCESS    COM         053015103           10       250SH                 X        1 3                  250
AUTOMATIC DATA PROCESS    COM         053015103         1008     24059SH                      X    3           550   21134     2375
AUTOMATIC DATA PROCESS    COM         053015103         1282     30606SH                 X         3         18658     230    11718
AUTONATION INC            COM         05329W102          353     35253SH                 X         3         34172     608      473





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
AUTONATION INC            COM         05329W102            4       363SH                      X    3                   363
AUTOZONE INC              COM         053332102          749      6193SH                 X         3          6020      81       92
AUTOZONE INC              COM         053332102           12       102SH                      X    3                   102
AVALONBAY CMNTYS INC      COM         053484101          617      6925SH                 X         3          6925
AVALONBAY CMNTYS INC      COM         053484101            1         9SH                      X    3                     9
AVERY DENNISON CORP       COM         053611109            4       100SH                 X         2           100
AVERY DENNISON CORP       COM         053611109         2522     57402SH                 X         3         56917     178      307
AVERY DENNISON CORP       COM         053611109          231      5258SH                      X    3           395    4863
AVI BIOPHARMA INC         COM         002346104           95     85000SH                 X         3         85000
AVISTA CORP               COM         05379B107          249     11597SH                 X         3         11187              410
AVON PRODS INC            COM         054303102         2612     72510SH                 X         2         72510
AVON PRODS INC            COM         054303102         2034     56484SH                 X         3         55465     693      326
AVON PRODS INC            COM         054303102           37      1015SH                      X    3           360     655
AXA                       SPON ADR    054536107          106      3611SH                 X         3          2671              940
AXA                       SPON ADR    054536107          226      7679SH                      X    3                  5423     2256
BADGER METER INC          COM         056525108            6       125SH                 X         2           125
BADGER METER INC          COM         056525108         4379     86652SH                 X         3         86652
BADGER METER INC          COM         056525108          912     18050SH                      X    3          2000   16050
BAIDU COM INC             SPON ADR    056752108           16        50SH                 X        1 3           50
BAIDU COM INC             SPON ADR    056752108           63       200SH                 X         3           200
BAIDU COM INC             SPON ADR    056752108          145       462SH                      X    3                   337      125
BAKER HUGHES INC          COM         057224107          997     11415SH                 X         3         11332      83
BAKER HUGHES INC          COM         057224107           97      1114SH                      X    3                   242      872
BALCHEM CORP              COM         057665200         2962    128070SH                 X         2        128070
BALCHEM CORP              COM         057665200          539     23289SH                 X         3         23289
BALDOR ELEC CO            COM         057741100          337      9623SH                 X         3          9357              266
BALL CORP                 COM         058498106         2621     54900SH                 X         2         54900
BALL CORP                 COM         058498106          248      5189SH                 X         3          5079      68       42
BALL CORP                 COM         058498106            5       110SH                      X    3                   110
BANCO BILBAO VIZCAYA      SPON ADR    05946K101          115      6084SH                 X         3          4871             1213
BANCO BILBAO VIZCAYA      SPON ADR    05946K101           76      3980SH                      X    3                           3980
BANCO SANTANDER SA        ADR         05964H105          104      5703SH                 X         3          5703
BANCO SANTANDER SA        ADR         05964H105          182     10002SH                      X    3                 10002
BANK MUTUAL CORP NEW      COM         063750103          104     10343SH                 X         3          9788              555
BANK MUTUAL CORP NEW      COM         063750103          121     12090SH                      X    3                 12090
BANK OF AMERICA CORP      COM         060505104          638     26737SH                 X        1 3        26737
BANK OF AMERICA CORP      COM         060505104           89      3724SH                      X   1 3         2874     850
BANK OF AMERICA CORP      COM         060505104         2512    105250SH                 X         2        105250
BANK OF AMERICA CORP      COM         060505104         2743    114923SH                      X    3         20024   89879     5020
BANK OF AMERICA CORP      COM         060505104        14011    586988SH                 X         3        572403    7033     7552
BANK OF NEW YORK MELLON   COM         064058100          757     20000SH                 X         2         20000
BANK OF NEW YORK MELLON   COM         064058100         4651    122967SH                 X         3        110564     380    12023
BANK OF NEW YORK MELLON   COM         064058100         1362     35990SH                      X    3          1622   18338    16030
BANKUNITED FINL CORP      CL A        06652B103           10     10000SH                 X         3         10000
BARCLAYS BK PLC           DJAIG CMDTY 06738C778            8       110SH                 X         2           110
BARCLAYS BK PLC           DJAIG CMDTY 06738C778         4208     58849SH                 X         3         58849
BARCLAYS BK PLC           DJAIG CMDTY 06738C778           43       600SH                      X    3           200     400
BARD C R INC              COM         067383109           44       500SH                      X   1 3          500
BARD C R INC              COM         067383109         1223     13900SH                 X         2         13900
BARD C R INC              COM         067383109          873      9934SH                 X         3          9444     136      354
BARD C R INC              COM         067383109         1469     16705SH                      X    3         16400     305
BARR PHARMACEUTICALS      COM         068306109         1438     31900SH                 X         2         31900
BARR PHARMACEUTICALS      COM         068306109           65      1443SH                 X         3          1443
BARR PHARMACEUTICALS      COM         068306109          142      3140SH                      X    3                   420     2720
BARRICK GOLD CORP         COM         067901108          269      5915SH                 X         3          5630              285
BARRICK GOLD CORP         COM         067901108         1249     27446SH                      X    3                 26702      744
BAXTER INTL INC           COM         071813109          155      2425SH                 X        1 3         2425
BAXTER INTL INC           COM         071813109           12       192SH                      X   1 3          192
BAXTER INTL INC           COM         071813109         2148     33600SH                 X         2         33600
BAXTER INTL INC           COM         071813109        15961    249618SH                 X         3        248691     155      772
BAXTER INTL INC           COM         071813109         1586     24806SH                      X    3         12069   12737
BB&T CORP                 COM         054937107          213      9350SH                 X         2          9350
BB&T CORP                 COM         054937107          186      8152SH                      X    3          2029    3773     2350
BB&T CORP                 COM         054937107         4361    191538SH                 X         3        188826     158     2554
BE AEROSPACE INC          COM         073302101         1231     52850SH                 X         2         52850
BE AEROSPACE INC          COM         073302101          268     11486SH                 X         3         11230              256
BECTON DICKINSON & CO     COM         075887109           24       300SH                 X        1 3          300
BECTON DICKINSON & CO     COM         075887109         2821     34700SH                 X         2         34700
BECTON DICKINSON & CO     COM         075887109         2890     35541SH                 X         3         35278      40      223
BECTON DICKINSON & CO     COM         075887109           70       856SH                      X    3           272     584
BELDEN INC                COM         077454106          598     17636SH                 X         3         16587             1049
BELDEN INC                COM         077454106          103      3037SH                      X    3                   387     2650
BEMIS INC                 COM         081437105            2       100SH                 X        1 3          100
BEMIS INC                 COM         081437105         1315     58672SH                 X         3         57227             1445
BEMIS INC                 COM         081437105           95      4252SH                      X    3           522    3730
BERKLEY W R CORP          COM         084423102         1651     68350SH                 X         2         68350
BERKLEY W R CORP          COM         084423102          200      8252SH                 X         3          7621              631
BERKLEY W R CORP          COM         084423102           15       603SH                      X    3                   603
BERKSHIRE HATHAWAY INC    CL A        084670108          604         5SH                 X         3             5
BERKSHIRE HATHAWAY INC    CL A        084670108         2053        17SH                      X    3                    15        2
BERKSHIRE HATHAWAY INC    CL B        084670207         3675       916SH                 X         3           847      15       54
BERKSHIRE HATHAWAY INC    CL B        084670207         1541       384SH                      X    3             4     317       63
BERRY PETE CO             CL A        085789105         2779     47200SH                 X         2         47200
BERRY PETE CO             CL A        085789105          135      2286SH                 X         3          1711              575
BERRY PETE CO             CL A        085789105           91      1540SH                      X    3                           1540
BEST BUY INC              COM         086516101         2534     64002SH                 X         2         64002
BEST BUY INC              COM         086516101          593     14974SH                      X    3          1825   10212     2937
BEST BUY INC              COM         086516101         2158     54489SH                 X         3         49341     305     4843
BHP BILLITON LTD          SPON ADR    088606108         2162     25375SH                 X        1 3        25375





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
BHP BILLITON LTD          SPON ADR    088606108          226      2650SH                      X   1 3         2250     400
BHP BILLITON LTD          SPON ADR    088606108          456      5357SH                 X         3          4868              489
BHP BILLITON LTD          SPON ADR    088606108         1089     12780SH                      X    3           900   10279     1601
BIG LOTS INC              COM         089302103         1027     32877SH                 X         3         32877
BIG LOTS INC              COM         089302103           26       829SH                      X    3                   829
BIO RAD LABS INC          CL A        090572207          202      2500SH                 X         3          2500
BIOGEN IDEC INC           COM         09062X103          394      7046SH                 X         3          6708     118      220
BIOGEN IDEC INC           COM         09062X103           98      1755SH                      X    3           280    1075      400
BIOMARIN PHARMACEUTICAL   COM         09061G101         3859    133160SH                 X         2        133160
BIOMARIN PHARMACEUTICAL   COM         09061G101          469     16181SH                 X         3         16181
BIOMARIN PHARMACEUTICAL   COM         09061G101           17       575SH                      X    3                            575
BJ SVCS CO                COM         055482103           13       400SH                 X        1 3          400
BJ SVCS CO                COM         055482103           33      1032SH                      X   1 3         1032
BJ SVCS CO                COM         055482103         2367     74129SH                 X         2         74129
BJ SVCS CO                COM         055482103          920     28793SH                 X         3         25946     244     2603
BJ SVCS CO                COM         055482103          155      4854SH                      X    3                  4854
BLACK & DECKER CORP       COM         091797100            6       100SH                 X        1 3          100
BLACK & DECKER CORP       COM         091797100          202      3511SH                 X         3          3212      23      276
BLACK & DECKER CORP       COM         091797100            3        48SH                      X    3                    48
BLACKROCK INC             COM         09247X101         1168      6598SH                 X         3          6398     200
BLACKROCK INC             COM         09247X101          637      3600SH                      X    3          3525               75
BLOCK H & R INC           COM         093671105          167      7784SH                 X         3          7447     157      180
BLOCK H & R INC           COM         093671105           74      3459SH                      X    3          1600    1859
BLOCKBUSTER INC           CL A        093679108         1982    792760SH                 X         2        792760
BLOCKBUSTER INC           CL A        093679108          360    143692SH                 X         3        143692
BLUE CHIP VALUE FD INC    COM         095333100           47     10300SH                 X        1 3        10300
BMC SOFTWARE INC          COM         055921100            7       200SH                 X         2           200
BMC SOFTWARE INC          COM         055921100         1505     41796SH                 X         3         34190             7606
BMC SOFTWARE INC          COM         055921100          473     13152SH                      X    3          1015    2179     9958
BOEING CO                 COM         097023105           39       600SH                 X        1 3          600
BOEING CO                 COM         097023105           14       206SH                      X   1 3          206
BOEING CO                 COM         097023105         2684     40840SH                 X         2         40840
BOEING CO                 COM         097023105         1566     23835SH                      X    3          1902   19874     2059
BOEING CO                 COM         097023105        12774    194365SH                 X         3        187494    3567     3304
BORGWARNER INC            COM         099724106          686     15463SH                 X         3         14520              943
BORGWARNER INC            COM         099724106           34       762SH                      X    3                   762
BP PLC                    SPON ADR    055622104          528      7585SH                 X        1 3         7585
BP PLC                    SPON ADR    055622104          159      2288SH                      X   1 3         2088     200
BP PLC                    SPON ADR    055622104         5988     86072SH                      X    3         17005   66839     2228
BP PLC                    SPON ADR    055622104        14126    203044SH                 X         3        190678    6741     5625
BP PRUDHOE BAY RTY TR     UNIT        055630107          222      2150SH                 X         3          2150
BP PRUDHOE BAY RTY TR     UNIT        055630107           16       150SH                      X    3                   150
BRADY CORP                CL A        104674106          153      4430SH                 X         3          3555     600      275
BRADY CORP                CL A        104674106         1572     45528SH                      X    3           122   45406
BRIGGS & STRATTON CORP    COM         109043109          155     12194SH                 X         3         12194
BRIGGS & STRATTON CORP    COM         109043109          210     16600SH                      X    3          2300   14300
BRINKS CO                 COM         109696104          352      5387SH                 X         3          5254              133
BRISTOL MYERS SQUIBB CO   COM         110122108          574     27950SH                 X        1 3        27950
BRISTOL MYERS SQUIBB CO   COM         110122108           78      3800SH                      X   1 3         3700     100
BRISTOL MYERS SQUIBB CO   COM         110122108         4115    200420SH                 X         2        200420
BRISTOL MYERS SQUIBB CO   COM         110122108         6455    314407SH                 X         3        307411    4902     2094
BRISTOL MYERS SQUIBB CO   COM         110122108         1381     67270SH                      X    3          8082   56588     2600
BRITISH AMERN TOB PLC     SPON ADR    110448107          161      2328SH                 X         3          1955              373
BRITISH AMERN TOB PLC     SPON ADR    110448107           85      1222SH                      X    3                           1222
BROADCOM CORP             CL A        111320107          817     29954SH                 X         3         29890               64
BROADCOM CORP             CL A        111320107           49      1783SH                      X    3          1120     349      314
BROWN FORMAN CORP         CL B        115637209          255      3368SH                 X         3          3277      60       31
BROWN FORMAN CORP         CL B        115637209            3        43SH                      X    3                    43
BURLINGTON NORTHN SANTA   COM         12189T104         4090     40948SH                 X         3         39731     105     1112
BURLINGTON NORTHN SANTA   COM         12189T104          943      9437SH                      X    3           223    5664     3550
C H ROBINSON WORLDWIDE    COM NEW     12541W209         1603     29228SH                 X         3         22542      53     6633
C H ROBINSON WORLDWIDE    COM NEW     12541W209          658     11994SH                      X    3          1135    1583     9276
CA INC                    COM         12673P105          442     19126SH                 X         3         18650     286      190
CA INC                    COM         12673P105          135      5838SH                      X    3                  5838
CAMECO CORP               COM         13321L108          519     12100SH                 X         3         12100
CAMECO CORP               COM         13321L108          510     11900SH                      X    3                 11900
CAMERON INTERNATIONAL     COM         13342B105         1937     35000SH                 X         2         35000
CAMERON INTERNATIONAL     COM         13342B105          299      5403SH                 X         3          5215              188
CAMERON INTERNATIONAL     COM         13342B105          271      4889SH                      X    3                  4004      885
CAMPBELL SOUP CO          COM         134429109           33      1000SH                 X        1 3         1000
CAMPBELL SOUP CO          COM         134429109            3       100SH                 X         2           100
CAMPBELL SOUP CO          COM         134429109         2068     61811SH                 X         3         61276     229      306
CAMPBELL SOUP CO          COM         134429109           98      2915SH                      X    3           361    2554
CANADIAN NAT RES LTD      COM         136385101          338      3368SH                 X         3          3368
CANADIAN NAT RES LTD      COM         136385101          134      1334SH                      X    3                   855      479
CANON INC                 ADR         138006309         1447     28251SH                 X         3         23477             4774
CANON INC                 ADR         138006309          487      9510SH                      X    3                  3925     5585
CAPITAL ONE FINL CORP     COM         14040H105          528     13899SH                 X         3         13691     153       55
CAPITAL ONE FINL CORP     COM         14040H105          277      7284SH                      X    3           620    6480      184
CARDINAL HEALTH INC       COM         14149Y108            9       173SH                 X        1 3          173
CARDINAL HEALTH INC       COM         14149Y108          804     15579SH                      X    3            21   12658     2900
CARDINAL HEALTH INC       COM         14149Y108         2973     57640SH                 X         3         53907     173     3560
CARNIVAL CORP             PAIRED CTF  143658300          297      9000SH                      X    3           841    8004      155
CARNIVAL CORP             PAIRED CTF  143658300         1470     44594SH                 X         3         44207     159      228
CATERPILLAR INC DEL       COM         149123101          273      3693SH                 X        1 3         3693
CATERPILLAR INC DEL       COM         149123101           30       400SH                      X   1 3          200     200
CATERPILLAR INC DEL       COM         149123101           92      1240SH                 X         2          1240
CATERPILLAR INC DEL       COM         149123101         3975     53850SH                      X    3         33686   19491      673
CATERPILLAR INC DEL       COM         149123101        11744    159090SH                 X         3        153541    2789     2760





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
CAVIUM NETWORKS INC       COM         14965A101         3322    158190SH                 X         2        158190
CAVIUM NETWORKS INC       COM         14965A101          611     29097SH                 X         3         29097
CBS CORP NEW              CL B        124857202            2       100SH                 X         2           100
CBS CORP NEW              CL B        124857202         2033    104310SH                 X         3        102867     565      878
CBS CORP NEW              CL B        124857202          102      5254SH                      X    3           769    3485     1000
CELGENE CORP              COM         151020104         1232     19291SH                 X         3         18991     300
CELGENE CORP              COM         151020104           75      1167SH                      X    3           470     558      139
CENTERPOINT ENERGY INC    COM         15189T107         2014    125500SH                 X         2        125500
CENTERPOINT ENERGY INC    COM         15189T107         2014    125440SH                 X         3        121058    3441      941
CENTERPOINT ENERGY INC    COM         15189T107          121      7523SH                      X    3           940    1873     4710
CENTRAL EUROPEAN DIST     COM         153435102        19833    267463SH                 X         2        267463
CENTRAL EUROPEAN DIST     COM         153435102         2157     29094SH                 X         3         29094
CENTRAL EUROPEAN MEDIA    CL A NEW    G20045202         4481     49500SH                 X         2         49500
CENTRAL EUROPEAN MEDIA    CL A NEW    G20045202           64       701SH                 X         3           701
CENTURYTEL INC            COM         156700106          227      6375SH                 X         3          6164     211
CENTURYTEL INC            COM         156700106            8       214SH                      X    3                   214
CENVEO INC                COM         15670S105          161     16452SH                 X         3         16452
CEPHEID                   COM         15670R107         3706    131800SH                 X         2        131800
CEPHEID                   COM         15670R107          716     25439SH                 X         3         25439
CERNER CORP               COM         156782104         2056     45500SH                 X         2         45500
CERNER CORP               COM         156782104           43       963SH                 X         3           848              115
CF INDS HLDGS INC         COM         125269100         1589     10400SH                 X         2         10400
CF INDS HLDGS INC         COM         125269100          653      4275SH                 X         3          4112              163
CF INDS HLDGS INC         COM         125269100           82       539SH                      X    3                   104      435
CHARLES RIV LABS INTL     COM         159864107         3087     48300SH                 X         2         48300
CHARLES RIV LABS INTL     COM         159864107          110      1712SH                 X         3          1547              165
CHARLES RIV LABS INTL     COM         159864107           59       920SH                      X    3                   560      360
CHECKPOINT SYS INC        COM         162825103          510     24409SH                 X         3         24154              255
CHESAPEAKE ENERGY CORP    COM         165167107           20       300SH                 X        1 3          300
CHESAPEAKE ENERGY CORP    COM         165167107         7223    109500SH                 X         2        109500
CHESAPEAKE ENERGY CORP    COM         165167107         1491     22616SH                 X         3         21901              715
CHESAPEAKE ENERGY CORP    COM         165167107          391      5926SH                      X    3          1010    2564     2352
CHEVRON CORP NEW          COM         166764100          429      4325SH                 X        1 3         4325
CHEVRON CORP NEW          COM         166764100          156      1578SH                      X   1 3         1128     450
CHEVRON CORP NEW          COM         166764100        12228    123350SH                 X         2        123350
CHEVRON CORP NEW          COM         166764100         8177     82490SH                      X    3         18365   58879     5246
CHEVRON CORP NEW          COM         166764100        59071    595896SH                 X         3        576769   13300     5827
CHINA DIRECT INC          COM         169384104         3539    482150SH                 X         2        482150
CHINA DIRECT INC          COM         169384104          643     87602SH                 X         3         87602
CHINA MOBILE LIMITED      SPON ADR    16941M109          194      2895SH                 X         3          2895
CHINA MOBILE LIMITED      SPON ADR    16941M109           26       395SH                      X    3                   395
CHUBB CORP                COM         171232101           10       200SH                      X   1 3          200
CHUBB CORP                COM         171232101         4117     84000SH                 X         2         84000
CHUBB CORP                COM         171232101         3134     63956SH                 X         3         62803    1071       82
CHUBB CORP                COM         171232101          302      6169SH                      X    3                  5736      433
CIENA CORP                COM NEW     171779309          851     36745SH                 X         3         36745
CIGNA CORP                COM         125509109           11       300SH                 X        1 3          300
CIGNA CORP                COM         125509109          152      4293SH                      X    3                  3993      300
CIGNA CORP                COM         125509109          460     12998SH                 X         3         12248              750
CIMAREX ENERGY CO         COM         171798101          714     10250SH                 X         2         10250
CIMAREX ENERGY CO         COM         171798101          163      2336SH                 X         3          2201              135
CINCINNATI BELL INC NEW   COM         171871106           57     14270SH                 X         3         12496             1774
CINCINNATI FINL CORP      COM         172062101          231      9091SH                 X         3          8875     132       84
CINCINNATI FINL CORP      COM         172062101           16       636SH                      X    3                    85      551
CINTAS CORP               COM         172908105          327     12320SH                      X    3                  6670     5650
CINTAS CORP               COM         172908105         1026     38684SH                 X         3         29509     750     8425
CIRRUS LOGIC INC          COM         172755100           91     16362SH                 X         3         16362
CISCO SYS INC             COM         17275R102         1370     58890SH                 X        1 3        58890
CISCO SYS INC             COM         17275R102          148      6350SH                      X   1 3         5200    1150
CISCO SYS INC             COM         17275R102         8328    358040SH                 X         2        358040
CISCO SYS INC             COM         17275R102         3932    169031SH                      X    3         37558  125099     6374
CISCO SYS INC             COM         17275R102        29475   1267194SH                 X         3       1227615   24251    15328
CIT GROUP INC             COM         125581108           80     11744SH                 X         3          5669             6075
CITIGROUP INC             COM         172967101           13       775SH                 X        1 3          775
CITIGROUP INC             COM         172967101            2       120SH                      X   1 3          120
CITIGROUP INC             COM         172967101        19718   1176471SH  CALL           X         2
CITIGROUP INC             COM         172967101          333     19892SH                 X         2         19892
CITIGROUP INC             COM         172967101         1751    104485SH                      X    3         11328   86603     6554
CITIGROUP INC             COM         172967101        13855    826684SH                 X         3        797686   11047    17951
CITIZENS COMMUNICATIONS   COM         17453B101          443     39023SH                 X         3         38444              579
CITIZENS COMMUNICATIONS   COM         17453B101            2       151SH                      X    3                   151
CITRIX SYS INC            COM         177376100          625     21250SH                 X         3         20499     137      614
CITRIX SYS INC            COM         177376100           19       652SH                      X    3                   652
CITY NATL CORP            COM         178566105         3212     76355SH                 X         2         76355
CITY NATL CORP            COM         178566105          672     15964SH                 X         3         13452             2512
CLARCOR INC               COM         179895107           27       755SH                 X         3           490              265
CLARCOR INC               COM         179895107          491     14000SH                      X    3                 14000
CLAYMORE ETF              BNY BRIC    18383M100         1439     29120SH                 X         3         29105               15
CLAYMORE ETF              BNY BRIC    18383M100          150      3028SH                      X    3           105    2102      821
CLEAN HARBORS INC         COM         184496107         3891     54760SH                 X         2         54760
CLEAN HARBORS INC         COM         184496107          704      9897SH                 X         3          9897
CLEAR CHANNEL COMM        COM         184502102            3        75SH                 X         2            75
CLEAR CHANNEL COMM        COM         184502102          538     15285SH                 X         3         15050              235
CLEAR CHANNEL COMM        COM         184502102            7       208SH                      X    3                   208
CLEVELAND CLIFFS INC      COM         185896107         2062     17300SH                 X         2         17300
CLEVELAND CLIFFS INC      COM         185896107          151      1264SH                 X         3          1052              212
CLOROX CO DEL             COM         189054109           21       400SH                 X        1 3          400
CLOROX CO DEL             COM         189054109           48       920SH                      X   1 3          920
CLOROX CO DEL             COM         189054109           92      1765SH                 X         2          1765





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
CLOROX CO DEL             COM         189054109          538     10314SH                      X    3          8748    1316      250
CLOROX CO DEL             COM         189054109         2821     54046SH                 X         3         51696     990     1360
CME GROUP INC             COM         12572Q105         1150      3000SH                 X         2          3000
CME GROUP INC             COM         12572Q105          576      1503SH                 X         3          1476      27
CME GROUP INC             COM         12572Q105           38        98SH                      X    3                     6       92
CMS ENERGY CORP           COM         125896100         5710    383244SH                 X         2        383244
CMS ENERGY CORP           COM         125896100         1584    106321SH                 X         3         91625     486    14210
CMS ENERGY CORP           COM         125896100            2       145SH                      X    3                   145
COACH INC                 COM         189754104         1292     44720SH                 X         3         44720
COACH INC                 COM         189754104          951     32938SH                      X    3         21345   10514     1079
COCA COLA CO              COM         191216100          954     18349SH                 X        1 3        18224     125
COCA COLA CO              COM         191216100          140      2700SH                      X   1 3         2350     350
COCA COLA CO              COM         191216100         3032     58335SH                 X         2         58335
COCA COLA CO              COM         191216100         4359     83862SH                      X    3         13939   66458     3465
COCA COLA CO              COM         191216100        26770    515009SH                 X         3        475356   26498    13155
COCA COLA ENTERPRISES     COM         191219104            7       400SH                 X         2           400
COCA COLA ENTERPRISES     COM         191219104          252     14557SH                 X         3         14557
COEUR D ALENE MINES       COM         192108108         4725   1629410SH                 X         2       1629410
COEUR D ALENE MINES       COM         192108108          516    178048SH                 X         3        178048
COGNIZANT TECH SOLUTION   CL A        192446102     2262.696     69600SH                 X         2         69600
COGNIZANT TECH SOLUTION   CL A        192446102          691     21278SH                 X         3         16782             4496
COGNIZANT TECH SOLUTION   CL A        192446102          456     14014SH                      X    3          1238     975    11801
COLGATE PALMOLIVE CO      COM         194162103            7       100SH                 X        1 3          100
COLGATE PALMOLIVE CO      COM         194162103            7       100SH                      X   1 3                  100
COLGATE PALMOLIVE CO      COM         194162103         3454     49985SH                 X         2         49985
COLGATE PALMOLIVE CO      COM         194162103        16966    245515SH                 X         3        237918    7096      501
COLGATE PALMOLIVE CO      COM         194162103         3081     44587SH                      X    3         10748   32339     1500
COMCAST CORP NEW          CL A        20030N101           14       750SH                 X        1 3          750
COMCAST CORP NEW          CL A        20030N101          130      6840SH                 X         2          6840
COMCAST CORP NEW          CL A        20030N101          363     19154SH                      X    3          4323   14412      419
COMCAST CORP NEW          CL A        20030N101         6958    366803SH                 X         3        356368    5289     5146
COMCAST CORP NEW          CL A SPL    20030N200          123      6578SH                 X         3          6578
COMCAST CORP NEW          CL A SPL    20030N200          353     18825SH                      X    3                 14046     4779
COMERICA INC              COM         200340107          282     11000SH                 X         3         10792     208
COMERICA INC              COM         200340107          176      6863SH                      X    3          1900    4963
COMMERCE BANCSHARES INC   COM         200525103         3082     77718SH                 X         3         77718
COMMERCE BANCSHARES INC   COM         200525103         1067     26910SH                      X    3                 26910
COMMVAULT SYSTEMS INC     COM         204166102         2858    171770SH                 X         2        171770
COMMVAULT SYSTEMS INC     COM         204166102          519     31195SH                 X         3         31195
COMPANHIA DE BEBIDAS      SPONADRPFD  20441W203          236      3726SH                 X         3          3225              501
COMPANHIA DE BEBIDAS      SPONADRPFD  20441W203          104      1642SH                      X    3                           1642
COMPANHIA VALE DO RIO     SPON ADR    204412209          164      4583SH                 X         3          3498             1085
COMPANHIA VALE DO RIO     SPON ADR    204412209          115      3215SH                      X    3                  1200     2015
COMPUTER SCIENCES CORP    COM         205363104          423      9023SH                 X         3          8909     114
COMPUTER SCIENCES CORP    COM         205363104          158      3363SH                      X    3                   568     2795
COMPUWARE CORP            COM         205638109          107     11180SH                 X         3         11180
CONAGRA FOODS INC         COM         205887102            8       400SH                 X        1 3          400
CONAGRA FOODS INC         COM         205887102            6       300SH                      X   1 3          300
CONAGRA FOODS INC         COM         205887102          116      6000SH                 X         2          6000
CONAGRA FOODS INC         COM         205887102         1515     78592SH                 X         3         77748     163      681
CONAGRA FOODS INC         COM         205887102           95      4918SH                      X    3           543    4375
CONOCOPHILLIPS            COM         20825C104         2067     21901SH                 X        1 3        21883      18
CONOCOPHILLIPS            COM         20825C104          216      2288SH                      X   1 3         1944     344
CONOCOPHILLIPS            COM         20825C104        11544    122300SH                 X         2        122300
CONOCOPHILLIPS            COM         20825C104         3589     38022SH                      X    3         17455   17304     3263
CONOCOPHILLIPS            COM         20825C104        16807    178052SH                 X         3        173434     994     3624
CONSECO INC               COM NEW     208464883          195     19700SH                 X         3         19700
CONSOL ENERGY INC         COM         20854P109          691      6146SH                 X         3          6146
CONSOL ENERGY INC         COM         20854P109            4        36SH                      X    3                    36
CONSOLIDATED EDISON INC   COM         209115104          143      3665SH                 X         2          3665
CONSOLIDATED EDISON INC   COM         209115104         3897     99703SH                 X         3         97286     900     1517
CONSOLIDATED EDISON INC   COM         209115104          180      4615SH                      X    3           998    3617
CONSOLIDATED GRAPHICS     COM         209341106          217      4412SH                 X         3          4349               63
CONSOLIDATED GRAPHICS     COM         209341106           23       460SH                      X    3                   460
CONSTELLATION ENERGY      COM         210371100         2603     31700SH                 X         2         31700
CONSTELLATION ENERGY      COM         210371100          783      9539SH                 X         3          9093              446
CONSTELLATION ENERGY      COM         210371100           13       157SH                      X    3                   157
CONTANGO OIL & GAS        COM NEW     21075N204        22158    238470SH                 X         2        238470
CONTANGO OIL & GAS        COM NEW     21075N204         2602     28002SH                 X         3         28002
CONTINENTAL AIRLS INC     CL B        210795308          620     61332SH                 X         2         61332
CONTINENTAL AIRLS INC     CL B        210795308          145     14343SH                 X         3         12343             2000
COOPER INDS LTD           CL A        G24182100          470     11891SH                 X         3         11499     163      229
COOPER INDS LTD           CL A        G24182100           16       416SH                      X    3                   416
CORINTHIAN COLLEGES INC   COM         218868107          228     19655SH                 X         3         18550             1105
CORN PRODS INTL INC       COM         219023108          316      6436SH                 X         3          6286              150
CORNING INC               COM         219350105          324     14063SH                      X    3          1650   11938      475
CORNING INC               COM         219350105         2558    110977SH                 X         3        108139    1545     1293
COSTCO WHSL CORP NEW      COM         22160K105         1645     23458SH                 X         3         22717     149      592
COSTCO WHSL CORP NEW      COM         22160K105          537      7659SH                      X    3           380    5503     1776
COVANCE INC               COM         222816100         3011     35000SH                 X         2         35000
COVANCE INC               COM         222816100          154      1797SH                 X         3          1646              151
COVIDIEN LTD              COM         G2552X108          255      5334SH                      X    3                  3044     2290
COVIDIEN LTD              COM         G2552X108         1290     26935SH                 X         3         23016             3919
CREDICORP LTD             COM         G2519Y108         2127     25900SH                 X         2         25900
CREDICORP LTD             COM         G2519Y108           30       367SH                 X         3           367
CROWN CASTLE INTL CORP    COM         228227104         2758     71200SH                 X         2         71200
CROWN CASTLE INTL CORP    COM         228227104           55      1433SH                 X         3          1433
CSX CORP                  COM         126408103          138      2200SH                 X        1 3         2200
CSX CORP                  COM         126408103         1055     16794SH                 X         3         16594     109       91





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
CSX CORP                  COM         126408103          600      9551SH                      X    3                  9551
CTC MEDIA INC             COM         12642X106         8398    340560SH                 X         2        340560
CTC MEDIA INC             COM         12642X106          889     36052SH                 X         3         36052
CUMMINS INC               COM         231021106         1251     19100SH                 X         2         19100
CUMMINS INC               COM         231021106         1209     18447SH                 X         3         18108     105      234
CUMMINS INC               COM         231021106          160      2448SH                      X    3                   533     1915
CURRENCYSHS JAPAN YEN     JPNESE YEN  23130A102          285      3034SH                      X    3                  3034
CVS CAREMARK CORP         COM         126650100         7301    184500SH                 X         2        184500
CVS CAREMARK CORP         COM         126650100         5022    126923SH                 X         3        126010     351      562
CVS CAREMARK CORP         COM         126650100          744     18809SH                      X    3          2154   12215     4440
CYBERONICS INC            COM         23251P102         1055     48639SH                 X         3         48276              363
CYPRESS SEMICONDUCTOR     COM         232806109         1958     79100SH                 X         2         79100
CYPRESS SEMICONDUCTOR     COM         232806109          108      4386SH                 X         3          3161             1225
CYPRESS SEMICONDUCTOR     COM         232806109           11       452SH                      X    3                   452
CYTEC INDS INC            COM         232820100         4128     75657SH                 X         2         75657
CYTEC INDS INC            COM         232820100         1052     19283SH                 X         3         16720             2563
CYTEC INDS INC            COM         232820100           15       276SH                      X    3           118     158
DANAHER CORP DEL          COM         235851102         1434     18545SH                 X        1 3        18545
DANAHER CORP DEL          COM         235851102          207      2675SH                      X   1 3         2225     450
DANAHER CORP DEL          COM         235851102          730      9439SH                      X    3          1729    1188     6522
DANAHER CORP DEL          COM         235851102         3795     49092SH                 X         3         40484      34     8574
DAVITA INC                COM         23918K108         5685    107002SH                 X         2        107002
DAVITA INC                COM         23918K108         1201     22593SH                 X         3         19023             3570
DAVITA INC                COM         23918K108          115      2160SH                      X    3                  2160
DAYTON SUPERIOR CORP      COM         240028308           35     13200SH                 X         3         13200
DEERE & CO                COM         244199105           50       700SH                 X        1 3          700
DEERE & CO                COM         244199105         2734     37900SH                 X         2         37900
DEERE & CO                COM         244199105        12056    167142SH                 X         3        162971    3117     1054
DEERE & CO                COM         244199105          951     13191SH                      X    3          2100    6997     4094
DELL INC                  COM         24702R101           68      3090SH                 X        1 3         3090
DELL INC                  COM         24702R101           22      1000SH                      X   1 3         1000
DELL INC                  COM         24702R101          199      9090SH                 X         2          9090
DELL INC                  COM         24702R101          325     14871SH                      X    3           200   13341     1330
DELL INC                  COM         24702R101        12120    553949SH                 X         3        540557    6781     6611
DENBURY RES INC           COM NEW     247916208          300      8213SH                 X         3          5881             2332
DENBURY RES INC           COM NEW     247916208           38      1038SH                      X    3                  1038
DENNYS CORP               COM         24869P104          135     47420SH                 X         3         47420
DENTSPLY INTL INC NEW     COM         249030107          611     16600SH                 X        1 3        16600
DENTSPLY INTL INC NEW     COM         249030107           57      1550SH                      X   1 3         1550
DENTSPLY INTL INC NEW     COM         249030107         4758    129305SH                 X         2        129305
DENTSPLY INTL INC NEW     COM         249030107          834     22658SH                 X         3         19794             2864
DENTSPLY INTL INC NEW     COM         249030107           15       411SH                      X    3                   411
DESARROLLADORA HOMEX      SPON ADR    25030W100         3169     54100SH                 X         2         54100
DESARROLLADORA HOMEX      SPON ADR    25030W100           46       786SH                 X         3           786
DESARROLLADORA HOMEX      SPON ADR    25030W100           10       171SH                      X    3                   171
DEVELOPERS DIVERSIFIED    COM         251591103          174      5010SH                 X         2          5010
DEVELOPERS DIVERSIFIED    COM         251591103         2765     79651SH                 X         3         79088     184      379
DEVELOPERS DIVERSIFIED    COM         251591103           81      2321SH                      X    3           871    1450
DEVON ENERGY CORP NEW     COM         25179M103         2704     22500SH                 X         2         22500
DEVON ENERGY CORP NEW     COM         25179M103         2020     16817SH                 X         3         16324     109      384
DEVON ENERGY CORP NEW     COM         25179M103          352      2931SH                      X    3                  2309      622
DEVRY INC DEL             COM         251893103          475      8864SH                 X         3          8769               95
DG FASTCHANNEL INC        COM         23326R109         3199    185440SH                 X         2        185440
DG FASTCHANNEL INC        COM         23326R109          581     33709SH                 X         3         33709
DIAGEO P L C              SPON ADR    25243Q205          360      4871SH                      X    3                  3271     1600
DIAGEO P L C              SPON ADR    25243Q205          893     12085SH                 X         3         10085             2000
DIAMONDS TR               UNIT SER 1  252787106         5687     50143SH                 X         3         50143
DICKS SPORTING GOODS      COM         253393102         1464     82500SH                 X         2         82500
DICKS SPORTING GOODS      COM         253393102           20      1136SH                 X         3          1136
DIRECTV GROUP INC         COM         25459L106         1201     46341SH                 X         3         36650             9691
DIRECTV GROUP INC         COM         25459L106          521     20113SH                      X    3          1420    1934    16759
DISCOVER FINL SVCS        COM         254709108            1        74SH                 X        1 3           74
DISCOVER FINL SVCS        COM         254709108          398     30242SH                 X         3         29530     433      279
DISCOVER FINL SVCS        COM         254709108           23      1778SH                      X    3                  1283      495
DISCOVERY HOLDING CO      CL A COM    25468Y107         3435    156400SH                 X         2        156400
DISCOVERY HOLDING CO      CL A COM    25468Y107          135      6149SH                 X         3          4962             1187
DISCOVERY HOLDING CO      CL A COM    25468Y107           87      3972SH                      X    3                   761     3211
DISNEY WALT CO            COM         254687106           16       500SH                 X        1 3          500
DISNEY WALT CO            COM         254687106           13       420SH                 X         2           420
DISNEY WALT CO            COM         254687106         1301     41700SH                      X    3          1675   39825      200
DISNEY WALT CO            COM         254687106         7151    229186SH                 X         3        213510   13046     2630
DNP SELECT INCOME FD      COM         23325P104           38      3602SH                 X        1 3         3602
DNP SELECT INCOME FD      COM         23325P104           31      3000SH                      X    3                  3000
DNP SELECT INCOME FD      COM         23325P104          622     59659SH                 X         3         59659
DOMINION RES INC VA NEW   COM         25746U109           19       400SH                 X        1 3          400
DOMINION RES INC VA NEW   COM         25746U109         3308     69661SH                 X         3         67107     215     2339
DOMINION RES INC VA NEW   COM         25746U109          183      3849SH                      X    3          1555    2294
DONNELLEY R R & SONS CO   COM         257867101           40      1340SH                 X        1 3         1340
DONNELLEY R R & SONS CO   COM         257867101           24       800SH                      X   1 3          800
DONNELLEY R R & SONS CO   COM         257867101         1568     52800SH                 X         2         52800
DONNELLEY R R & SONS CO   COM         257867101         1607     54126SH                 X         3         52697     833      596
DONNELLEY R R & SONS CO   COM         257867101           70      2347SH                      X    3          1641     706
DOVER CORP                COM         260003108          451      9315SH                 X         3          9176     139
DOVER CORP                COM         260003108          247      5105SH                      X    3          2050    2773      282
DOW CHEM CO               COM         260543103          115      3300SH                 X        1 3         3300
DOW CHEM CO               COM         260543103           50      1434SH                      X   1 3          984     450
DOW CHEM CO               COM         260543103         2053     58805SH                 X         2         58805
DOW CHEM CO               COM         260543103         4907    140575SH                 X         3        135368    2303     2904
DOW CHEM CO               COM         260543103          793     22709SH                      X    3          4049   14592     4068





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
DTE ENERGY CO             COM         233331107          151      3565SH                 X         2          3565
DTE ENERGY CO             COM         233331107         2953     69587SH                 X         3         68770     350      467
DTE ENERGY CO             COM         233331107           91      2141SH                      X    3           601    1540
DU PONT E I DE NEMOURS    COM         263534109          697     16254SH                 X        1 3        16254
DU PONT E I DE NEMOURS    COM         263534109          129      3000SH                      X   1 3         2700     300
DU PONT E I DE NEMOURS    COM         263534109          178      4160SH                 X         2          4160
DU PONT E I DE NEMOURS    COM         263534109         1108     25824SH                      X    3          4185   20695      944
DU PONT E I DE NEMOURS    COM         263534109         8795    205068SH                 X         3        200404    1763     2901
DUKE ENERGY CORP NEW      COM         26441C105           77      4450SH                 X        1 3         4450
DUKE ENERGY CORP NEW      COM         26441C105           26      1513SH                      X   1 3         1513
DUKE ENERGY CORP NEW      COM         26441C105         1352     77814SH                 X         3         74836     404     2574
DUKE ENERGY CORP NEW      COM         26441C105          341     19607SH                      X    3          1404   10168     8035
DUKE REALTY CORP          COM NEW     264411505          168      7505SH                 X         3          7122              383
DUKE REALTY CORP          COM NEW     264411505          128      5720SH                      X    3                   730     4990
DUN & BRADSTREET CORP     COM         26483E100         2778     31700SH                 X         2         31700
DUN & BRADSTREET CORP     COM         26483E100          132      1508SH                 X         3          1371              137
DUN & BRADSTREET CORP     COM         26483E100           17       190SH                      X    3                            190
DYNEGY INC DEL            CL A        26817G102          138     16145SH                 X         3         16145
DYNEGY INC DEL            CL A        26817G102            3       314SH                      X    3                   314
E M C CORP MASS           COM         268648102         2904    197700SH                 X         2        197700
E M C CORP MASS           COM         268648102          162     11056SH                      X    3          3525    6877      654
E M C CORP MASS           COM         268648102         2142    145766SH                 X         3        141782    2248     1736
EASTMAN CHEM CO           COM         277432100          525      7622SH                 X         3          7477      96       49
EASTMAN CHEM CO           COM         277432100           39       566SH                      X    3                   293      273
EASTMAN KODAK CO          COM         277461109            1       100SH                 X         2           100
EASTMAN KODAK CO          COM         277461109          161     11147SH                 X         3         10178     121      848
EASTMAN KODAK CO          COM         277461109            7       454SH                      X    3           100     354
EATON CORP                COM         278058102         7875     92678SH                 X         2         92678
EATON CORP                COM         278058102          525      6177SH                      X    3           133    4259     1785
EATON CORP                COM         278058102         2671     31443SH                 X         3         28707             2736
EATON VANCE CORP          COM NO VTG  278265103          230      5784SH                 X         3          4446             1338
EATON VANCE CORP          COM NO VTG  278265103           27       675SH                      X    3                   675
EBAY INC                  COM         278642103         2656     97200SH                 X         2         97200
EBAY INC                  COM         278642103          892     32634SH                 X         3         31866     377      391
EBAY INC                  COM         278642103          101      3690SH                      X    3                  2340     1350
ECOLAB INC                COM         278865100         1310     30479SH                 X         3         23763    6484      232
ECOLAB INC                COM         278865100          134      3107SH                      X    3                  3107
EDISON INTL               COM         281020107           90      1752SH                 X        1 3         1752
EDISON INTL               COM         281020107         5869    114235SH                 X         2        114235
EDISON INTL               COM         281020107         2756     53637SH                 X         3         48843     203     4591
EDISON INTL               COM         281020107           12       230SH                      X    3                   230
EDWARDS LIFESCIENCES      COM         28176E108         1128     18189SH                 X         3         18049              140
EDWARDS LIFESCIENCES      COM         28176E108           63      1017SH                      X    3                  1017
EINSTEIN NOAH REST        COM         28257U104         1751    158230SH                 X         2        158230
EINSTEIN NOAH REST        COM         28257U104          324     29215SH                 X         3         29215
EL PASO CORP              COM         28336L109         8578    394550SH                 X         2        394550
EL PASO CORP              COM         28336L109           83      3819SH                      X    3          2020    1216      583
EL PASO CORP              COM         28336L109         2021     92981SH                 X         3         79465     376    13140
ELECTRONIC ARTS INC       COM         285512109          166      3730SH                 X         2          3730
ELECTRONIC ARTS INC       COM         285512109         7461    167937SH                 X         3        159825    5627     2485
ELECTRONIC ARTS INC       COM         285512109          336      7559SH                      X    3           400    7159
ELECTRONIC DATA SYS NEW   COM         285661104          567     23002SH                 X         3         22697     305
ELECTRONIC DATA SYS NEW   COM         285661104           10       414SH                      X    3                   414
ELECTRONICS FOR IMAGING   COM         286082102          264     18075SH                 X         3         18075
EMBARQ CORP               COM         29078E105         5775    122183SH                 X         2        122183
EMBARQ CORP               COM         29078E105         6129    129649SH                 X         3        124789     330     4530
EMBARQ CORP               COM         29078E105          172      3641SH                      X    3          1144    2497
EMBRAER-EMPRESA BRASILE   SPON ADR    29081M102          155      5861SH                 X         3          3267             2594
EMBRAER-EMPRESA BRASILE   SPON ADR    29081M102           79      2976SH                      X    3                           2976
EMERSON ELEC CO           COM         291011104         1178     23825SH                 X        1 3        23825
EMERSON ELEC CO           COM         291011104          203      4110SH                      X   1 3         3310     800
EMERSON ELEC CO           COM         291011104         7659    154875SH                 X         2        154875
EMERSON ELEC CO           COM         291011104         5237    105914SH                      X    3         15376   90038      500
EMERSON ELEC CO           COM         291011104        14319    289570SH                 X         3        286571    1743     1256
EMPIRE DIST ELEC CO       COM         291641108            4       200SH                 X         2           200
EMPIRE DIST ELEC CO       COM         291641108          219     11811SH                 X         3         11617              194
EMPIRE DIST ELEC CO       COM         291641108            6       300SH                      X    3                   300
EMPLOYERS HOLDINGS INC    COM         292218104          207     10000SH                 X         3         10000
ENCANA CORP               COM         292505104          255      2799SH                 X         3          2455              344
ENCANA CORP               COM         292505104          631      6940SH                      X    3                  6114      826
ENCORE ACQUISITION CO     COM         29255W100         1820     24200SH                 X         2         24200
ENCORE ACQUISITION CO     COM         29255W100          127      1693SH                 X         3          1399              294
ENERGEN CORP              COM         29265N108          242      3098SH                 X         3          2946              152
ENERGIZER HLDGS INC       COM         29266R108         6560     89754SH                 X         3         89354              400
ENERGIZER HLDGS INC       COM         29266R108         2617     35803SH                      X    3           400    7203    28200
ENERPLUS RES FD           UNIT TR     29274D604          594     12855SH                 X         3         12855
ENERPLUS RES FD           UNIT TR     29274D604          430      9310SH                      X    3                  9310
ENERSYS                   COM         29275Y102         9136    266890SH                 X         2        266890
ENERSYS                   COM         29275Y102          958     28007SH                 X         3         28007
ENI S P A                 SPON ADR    26874R108          139      1875SH                 X         3          1875
ENI S P A                 SPON ADR    26874R108          185      2488SH                      X    3                  2488
ENNIS INC                 COM         293389102           55      3483SH                 X         3          2243             1240
ENNIS INC                 COM         293389102          110      7010SH                      X    3                  3700     3310
ENSCO INTL INC            COM         26874Q100         1320     16347SH                 X         3         15915     432
ENSCO INTL INC            COM         26874Q100          125      1551SH                      X    3                  1551
ENTERGY CORP NEW          COM         29364G103           36       300SH                 X        1 3          300
ENTERGY CORP NEW          COM         29364G103         8523     70739SH                 X         2         70739
ENTERGY CORP NEW          COM         29364G103         1815     15066SH                 X         3         14000             1066
ENTERGY CORP NEW          COM         29364G103           17       145SH                      X    3                   145





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
ENTERPRISE PRODS PRTNR    COM         293792107           21       724SH                 X        1 3          724
ENTERPRISE PRODS PRTNR    COM         293792107          180      6080SH                 X         3          6080
ENTERPRISE PRODS PRTNR    COM         293792107           21       700SH                      X    3                   700
EOG RES INC               COM         26875P101           13       100SH                 X        1 3          100
EOG RES INC               COM         26875P101         1293      9856SH                 X         3          9641     111      104
EOG RES INC               COM         26875P101          168      1278SH                      X    3                  1278
EQUIFAX INC               COM         294429105          527     15667SH                 X         3         15289      89      289
EQUIFAX INC               COM         294429105           18       529SH                      X    3                   529
EQUINIX INC               COM NEW     29444U502        10296    115400SH                 X         2        115400
EQUINIX INC               COM NEW     29444U502         1104     12377SH                 X         3         12377
EQUINIX INC               COM NEW     29444U502           87       970SH                      X    3                            970
EQUITABLE RES INC         COM         294549100         6014     87078SH                 X         2         87078
EQUITABLE RES INC         COM         294549100         1509     21847SH                 X         3         18583             3264
EQUITY RESIDENTIAL        SH BEN INT  29476L107          390     10189SH                 X         3         10067      76       46
EQUITY RESIDENTIAL        SH BEN INT  29476L107           12       320SH                      X    3           200     120
ERESEARCHTECHNOLOGY INC   COM         29481V108         2971    170340SH                 X         2        170340
ERESEARCHTECHNOLOGY INC   COM         29481V108          540     30961SH                 X         3         30961
ERICSSON L M TEL CO       ADR B       294821608          181     17362SH                 X         3          5662            11700
ERICSSON L M TEL CO       ADR B       294821608          235     22632SH                      X    3                 22632
EXELON CORP               COM         30161N101          735      8166SH                 X        1 3         8166
EXELON CORP               COM         30161N101          263      2926SH                      X   1 3         2926
EXELON CORP               COM         30161N101          218      2426SH                 X         2          2426
EXELON CORP               COM         30161N101          984     10940SH                      X    3          1705    9071      164
EXELON CORP               COM         30161N101        14132    157087SH                 X         3        153064    2357     1666
EXPEDIA INC DEL           COM         30212P105            4       225SH                 X        1 3          225
EXPEDIA INC DEL           COM         30212P105         3830    208398SH                 X         2        208398
EXPEDIA INC DEL           COM         30212P105           35      1888SH                      X    3          1300     217      371
EXPEDIA INC DEL           COM         30212P105         1038     56452SH                 X         3         49453     253     6746
EXPEDITORS INTL WASH      COM         302130109            2        50SH                 X         2            50
EXPEDITORS INTL WASH      COM         302130109          222      5154SH                 X         3          5084               70
EXPEDITORS INTL WASH      COM         302130109            1        28SH                      X    3            25       3
EXPRESS SCRIPTS INC       COM         302182100         1035     16500SH                 X         2         16500
EXPRESS SCRIPTS INC       COM         302182100         2094     33384SH                 X         3         32470     854       60
EXPRESS SCRIPTS INC       COM         302182100          924     14739SH                      X    3         10915    3414      410
EXXON MOBIL CORP          COM         30231G102         2361     26788SH                 X        1 3        26638     150
EXXON MOBIL CORP          COM         30231G102          485      5500SH                      X   1 3         4775     725
EXXON MOBIL CORP          COM         30231G102        11146    126475SH                 X         2        126475
EXXON MOBIL CORP          COM         30231G102        22573    256133SH                      X    3         36411  214932     4790
EXXON MOBIL CORP          COM         30231G102        96910   1099626SH                 X         3       1062116   27910     9600
F M C CORP                COM NEW     302491303         3771     48700SH                 X         2         48700
F M C CORP                COM NEW     302491303          149      1914SH                 X         3          1738              176
FAMILY DLR STORES INC     COM         307000109         1741     87300SH                 X         2         87300
FAMILY DLR STORES INC     COM         307000109          362     18178SH                 X         3         16418             1760
FAMILY DLR STORES INC     COM         307000109          100      5034SH                      X    3                  5034
FASTENAL CO               COM         311900104            3        80SH                 X         2            80
FASTENAL CO               COM         311900104         1264     29297SH                 X         3         28945              352
FASTENAL CO               COM         311900104           15       345SH                      X    3                   345
FEDERAL HOME LN MTG       COM         313400301          303     18494SH                 X         3         18494
FEDERAL HOME LN MTG       COM         313400301           55      3330SH                      X    3           200    2480      650
FEDERAL NATL MTG ASSN     COM         313586109          292     14961SH                 X         3         13686     875      400
FEDERAL NATL MTG ASSN     COM         313586109          240     12314SH                      X    3                 11714      600
FEDERAL SIGNAL CORP       COM         313855108            2       200SH                 X         2           200
FEDERAL SIGNAL CORP       COM         313855108          165     13789SH                 X         3         13071              718
FEDERAL SIGNAL CORP       COM         313855108           11       900SH                      X    3                   900
FEDERATED INVS INC PA     CL B        314211103          567     16465SH                 X         3         16295              170
FEDERATED INVS INC PA     CL B        314211103            7       212SH                      X    3                   212
FEDEX CORP                COM         31428X106          705      8945SH                 X         3          8670     128      147
FEDEX CORP                COM         31428X106           80      1010SH                      X    3                  1010
FERRELLGAS PARTNERS       UNIT LTD    315293100          236     12000SH                 X         3         12000
FIFTH THIRD BANCORP       COM         316773100          534     52463SH                 X         3         52069     394
FIFTH THIRD BANCORP       COM         316773100           26      2584SH                      X    3           899    1685
FIRST SOLAR INC           COM         336433107           20        75SH                 X         3            75
FIRST SOLAR INC           COM         336433107          180       660SH                      X    3                            660
FIRSTENERGY CORP          COM         337932107           25       300SH                 X        1 3          300
FIRSTENERGY CORP          COM         337932107         4997     60700SH                 X         2         60700
FIRSTENERGY CORP          COM         337932107         1188     14419SH                 X         3         14419
FIRSTENERGY CORP          COM         337932107          125      1520SH                      X    3                  1520
FISERV INC                COM         337738108         4407     97135SH                 X         2         97135
FISERV INC                COM         337738108         2631     57997SH                 X         3         55827             2170
FISERV INC                COM         337738108          260      5722SH                      X    3           500    5222
FLEXTRONICS INTL LTD      ORD         Y2573F102         4067    432672SH                 X         2        432672
FLEXTRONICS INTL LTD      ORD         Y2573F102           45      4759SH                      X    3                           4759
FLEXTRONICS INTL LTD      ORD         Y2573F102          838     89111SH                 X         3         74048            15063
FLIR SYS INC              COM         302445101         3672     90500SH                 X         2         90500
FLIR SYS INC              COM         302445101          573     14112SH                      X    3          1118    2399    10595
FLIR SYS INC              COM         302445101         1191     29357SH                 X         3         15218            14139
FLOWSERVE CORP            COM         34354P105          463      3387SH                      X    3           286     603     2498
FLOWSERVE CORP            COM         34354P105         1153      8432SH                 X         3          4697             3735
FLUOR CORP NEW            COM         343412102         2065     11100SH                 X         2         11100
FLUOR CORP NEW            COM         343412102          893      4796SH                 X         3          4796
FLUOR CORP NEW            COM         343412102           33       175SH                      X    3                            175
FMC TECHNOLOGIES INC      COM         30249U101          906     11781SH                      X    3           965    1968     8848
FMC TECHNOLOGIES INC      COM         30249U101         1802     23426SH                 X         3         12806            10620
FNB CORP PA               COM         302520101          397     33661SH                 X         3         33661
FORD MTR CO DEL           COM         345370860          323     67208SH                 X         3         66139    1069
FORD MTR CO DEL           COM         345370860           96     20003SH                      X    3            98   19905
FORDING CDN COAL TR       TR UNIT     345425102          249      2600SH                 X         3          2600
FOREST LABS INC           COM         345838106          232      6666SH                 X         3          6253     298      115
FOREST LABS INC           COM         345838106          376     10832SH                      X    3                 10148      684





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
FOREST OIL CORP           COM         346091705          583      7826SH                 X         3          7617              209
FOREST OIL CORP           COM         346091705           22       295SH                      X    3                            295
FORTUNE BRANDS INC        COM         349631101           22       350SH                 X        1 3          350
FORTUNE BRANDS INC        COM         349631101          779     12479SH                 X         3         11245     664      570
FORTUNE BRANDS INC        COM         349631101          575      9219SH                      X    3          1925    7294
FOSTER WHEELER LTD        SHS NEW     G36535139          125      1710SH                 X         3          1349              361
FOSTER WHEELER LTD        SHS NEW     G36535139           99      1360SH                      X    3                  1360
FPL GROUP INC             COM         302571104           79      1200SH                 X        1 3         1200
FPL GROUP INC             COM         302571104         1246     19000SH                 X         2         19000
FPL GROUP INC             COM         302571104         2622     39980SH                 X         3         35378    4502      100
FPL GROUP INC             COM         302571104          610      9305SH                      X    3          1109    8196
FRANKLIN RES INC          COM         354613101          913      9958SH                 X         3          8419             1539
FRANKLIN RES INC          COM         354613101          554      6041SH                      X    3           790    1278     3973
FREEPORT-MCMORAN COPPER   COM         35671D857         6750     57596SH                 X         2         57596
FREEPORT-MCMORAN COPPER   COM         35671D857          386      3290SH                      X    3           565    2596      129
FREEPORT-MCMORAN COPPER   COM         35671D857         3546     30256SH                 X         3         29964      94      198
FRESENIUS MED CARE        SPON ADR    358029106          160      2911SH                 X         3          2421              490
FRESENIUS MED CARE        SPON ADR    358029106           88      1604SH                      X    3                           1604
FUJIFILM HLDGS CORP       ADR 2 ORD   35958N107           45      1307SH                 X         3          1307
FUJIFILM HLDGS CORP       ADR 2 ORD   35958N107          539     15722SH                      X    3                 15722
FUQI INTERNATIONAL INC    COM NEW     36102A207         4433    506060SH                 X         2        506060
FUQI INTERNATIONAL INC    COM NEW     36102A207          808     92244SH                 X         3         92244
GABELLI EQUITY TR INC     COM         362397101          133     16360SH                 X         3         16360
GAFISA S A                SPONS ADR   362607301         9015    262280SH                 X         2        262280
GAFISA S A                SPONS ADR   362607301          959     27912SH                 X         3         27912
GALLAGHER ARTHUR J&CO     COM         363576109          149      6181SH                 X         3          4107             2074
GALLAGHER ARTHUR J&CO     COM         363576109           85      3525SH                      X    3                  3525
GAMESTOP CORP NEW         CL A        36467W109         2028     50200SH                 X         2         50200
GAMESTOP CORP NEW         CL A        36467W109          317      7838SH                      X    3           576     763     6499
GAMESTOP CORP NEW         CL A        36467W109          633     15665SH                 X         3          8829             6836
GANNETT INC               COM         364730101            2       100SH                 X         2           100
GANNETT INC               COM         364730101          693     31996SH                 X         3         29711    2000      285
GANNETT INC               COM         364730101          124      5700SH                      X    3                  1360     4340
GAP INC DEL               COM         364760108         2701    162012SH                 X         2        162012
GAP INC DEL               COM         364760108          880     52813SH                 X         3         47086     504     5223
GAP INC DEL               COM         364760108           12       701SH                      X    3           200     501
GARMIN LTD                ORD         G37260109            4       100SH                 X         2           100
GARMIN LTD                ORD         G37260109          651     15185SH                 X         3         12552             2633
GARMIN LTD                ORD         G37260109          377      8804SH                      X    3          1410    2223     5171
GARTNER INC               COM         366651107          251     12112SH                 X         3         11772              340
GASCO ENERGY INC          COM         367220100        11911   2870270SH                 X         2       2870270
GASCO ENERGY INC          COM         367220100         2188    527236SH                 X         3        527236
GEHL CO                   COM         368483103            3       225SH                 X         3           225
GEHL CO                   COM         368483103          330     22300SH                      X    3                 22300
GENENTECH INC             COM NEW     368710406          100      1320SH                 X         2          1320
GENENTECH INC             COM NEW     368710406         1448     19077SH                      X    3          1553   17400      124
GENENTECH INC             COM NEW     368710406         9918    130676SH                 X         3        125907    3870      899
GENERAL COMMUNICATION     CL A        369385109          137     20000SH                 X         3         20000
GENERAL DYNAMICS CORP     COM         369550108           16       192SH                      X   1 3          192
GENERAL DYNAMICS CORP     COM         369550108         2568     30500SH                 X         2         30500
GENERAL DYNAMICS CORP     COM         369550108         2014     23923SH                 X         3         23720      99      104
GENERAL DYNAMICS CORP     COM         369550108          556      6604SH                      X    3           740    2753     3111
GENERAL ELECTRIC CO       COM         369604103         1113     41709SH                 X        1 3        41709
GENERAL ELECTRIC CO       COM         369604103          183      6870SH                      X   1 3         5520    1350
GENERAL ELECTRIC CO       COM         369604103         4028    150925SH                 X         2        150925
GENERAL ELECTRIC CO       COM         369604103        13831    518195SH                      X    3        103717  393907    20571
GENERAL ELECTRIC CO       COM         369604103        66617   2495959SH                 X         3       2328870  106039    61050
GENERAL GROWTH PPTYS      COM         370021107            4       100SH                 X         2           100
GENERAL GROWTH PPTYS      COM         370021107         1012     28881SH                 X         3         28744              137
GENERAL GROWTH PPTYS      COM         370021107           28       813SH                      X    3           313     500
GENERAL MLS INC           COM         370334104            6       100SH                 X        1 3          100
GENERAL MLS INC           COM         370334104           74      1215SH                 X         2          1215
GENERAL MLS INC           COM         370334104         1052     17313SH                      X    3          8982    7931      400
GENERAL MLS INC           COM         370334104         4063     66851SH                 X         3         64890     787     1174
GENERAL MTRS CORP         COM         370442105            3       250SH                 X        1 3          250
GENERAL MTRS CORP         COM         370442105          219     19031SH                 X         3         18827              204
GENERAL MTRS CORP         COM         370442105           13      1105SH                      X    3                  1105
GENUINE PARTS CO          COM         372460105          144      3640SH                 X         2          3640
GENUINE PARTS CO          COM         372460105         3169     79864SH                 X         3         78873     269      722
GENUINE PARTS CO          COM         372460105          190      4796SH                      X    3           728    4068
GENWORTH FINL INC         COM CL A    37247D106          152      8518SH                 X         3          8518
GENWORTH FINL INC         COM CL A    37247D106          209     11748SH                      X    3           980    5232     5536
GENZYME CORP              COM         372917104         1977     27500SH                 X         2         27500
GENZYME CORP              COM         372917104          344      4796SH                 X         3          4796
GENZYME CORP              COM         372917104          111      1550SH                      X    3           570     816      164
GERDAU S A                SPON ADR    373737105          187      7785SH                 X         3          5405             2380
GERDAU S A                SPON ADR    373737105           96      4014SH                      X    3                  4014
GILEAD SCIENCES INC       COM         375558103         2175     41075SH                 X        1 3        40975     100
GILEAD SCIENCES INC       COM         375558103          252      4750SH                      X   1 3         3750    1000
GILEAD SCIENCES INC       COM         375558103         5825    110000SH                 X         2        110000
GILEAD SCIENCES INC       COM         375558103         5796    109443SH                 X         3         93660    1242    14541
GILEAD SCIENCES INC       COM         375558103         2121     40066SH                      X    3          2658   15185    22223
GLAXOSMITHKLINE PLC       SPON ADR    37733W105           56      1277SH                 X        1 3         1277
GLAXOSMITHKLINE PLC       SPON ADR    37733W105           20       455SH                      X   1 3          455
GLAXOSMITHKLINE PLC       SPON ADR    37733W105         1586     35875SH                 X         3         35875
GLAXOSMITHKLINE PLC       SPON ADR    37733W105          663     14984SH                      X    3           100   12159     2725
GMX RES INC               COM         38011M108         4159     56130SH                 X         2         56130
GMX RES INC               COM         38011M108          766     10336SH                 X         3         10336
GOLD FIELDS LTD NEW       SPON ADR    38059T106          190     15040SH                 X         3         15040





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
GOLD FIELDS LTD NEW       SPON ADR    38059T106          544     43017SH                      X    3                 43017
GOLDMAN SACHS GROUP INC   COM         38141G104         6001     34315SH                 X         2         34315
GOLDMAN SACHS GROUP INC   COM         38141G104         2495     14263SH                      X    3          3185   11005       73
GOLDMAN SACHS GROUP INC   COM         38141G104        15485     88534SH                 X         3         85335    2567      632
GOODRICH CORP             COM         382388106         1120     23600SH                 X         2         23600
GOODRICH CORP             COM         382388106          369      7780SH                 X         3          7721               59
GOODRICH CORP             COM         382388106            2        35SH                      X    3                    35
GOODYEAR TIRE & RUBR CO   COM         382550101         2190    122800SH                 X         2        122800
GOODYEAR TIRE & RUBR CO   COM         382550101          210     11830SH                 X         3         11379     251      200
GOODYEAR TIRE & RUBR CO   COM         382550101            2       127SH                      X    3                   127
GOOGLE INC                CL A        38259P508            3         5SH                 X        1 3            5
GOOGLE INC                CL A        38259P508         7539     14320SH                 X         2         14320
GOOGLE INC                CL A        38259P508        11743     22308SH                 X         3         20924     383     1001
GOOGLE INC                CL A        38259P508         2241      4258SH                      X    3           271    2364     1623
GRAFTECH INTL LTD         COM         384313102         2949    109900SH                 X         2        109900
GRAFTECH INTL LTD         COM         384313102           41      1558SH                 X         3          1558
GRAINGER W W INC          COM         384802104           35       425SH                 X        1 3          425
GRAINGER W W INC          COM         384802104          423      5171SH                      X    3           200    3401     1570
GRAINGER W W INC          COM         384802104         1259     15397SH                 X         3         13747             1650
GREAT PLAINS ENERGY INC   COM         391164100            5       200SH                 X         2           200
GREAT PLAINS ENERGY INC   COM         391164100          468     18514SH                 X         3         18514
GREAT PLAINS ENERGY INC   COM         391164100           40      1595SH                      X    3           920     675
GREIF INC                 CL A        397624107         5750     89790SH                 X         2         89790
GREIF INC                 CL A        397624107          607      9478SH                 X         3          9478
GREIF INC                 CL A        397624107           77      1200SH                      X    3          1200
HALLIBURTON CO            COM         406216101         7164    135000SH                 X         2        135000
HALLIBURTON CO            COM         406216101         2422     45623SH                 X         3         44851     346      426
HALLIBURTON CO            COM         406216101          563     10607SH                      X    3          1360    7328     1919
HANOVER INS GROUP INC     COM         410867105         6671    156959SH                 X         2        156959
HANOVER INS GROUP INC     COM         410867105         1452     34153SH                 X         3         28798             5355
HANSEN NAT CORP           COM         411310105         2565     89000SH                 X         2         89000
HANSEN NAT CORP           COM         411310105         1711     59379SH                 X         3         58379    1000
HANSEN NAT CORP           COM         411310105            6       200SH                      X    3                   200
HARLEY DAVIDSON INC       COM         412822108         2490     68682SH                 X         3         68196     486
HARLEY DAVIDSON INC       COM         412822108          592     16313SH                      X    3           800   15513
HARMONIC INC              COM         413160102         2552    268310SH                 X         2        268310
HARMONIC INC              COM         413160102          470     49407SH                 X         3         49407
HARMONIC INC              COM         413160102            8       877SH                      X    3                   877
HARRIS CORP DEL           COM         413875105         2297     45500SH                 X         2         45500
HARRIS CORP DEL           COM         413875105          302      5967SH                 X         3          5569              398
HARRIS CORP DEL           COM         413875105           27       533SH                      X    3                   533
HARSCO CORP               COM         415864107         2552     46900SH                 X         2         46900
HARSCO CORP               COM         415864107          109      2015SH                 X         3          1857              158
HARSCO CORP               COM         415864107           15       284SH                      X    3                   284
HARTFORD FINL SVCS        COM         416515104           19       300SH                      X   1 3          300
HARTFORD FINL SVCS        COM         416515104          655     10150SH                      X    3          6625    2970      555
HARTFORD FINL SVCS        COM         416515104         1413     21890SH                 X         3         20829             1061
HASBRO INC                COM         418056107          394     11036SH                 X         3         10823     213
HASBRO INC                COM         418056107           10       273SH                      X    3                   273
HAWAIIAN ELEC INDUST      COM         419870100          199      8031SH                 X         3          8031
HAWAIIAN ELEC INDUST      COM         419870100           25      1000SH                      X    3                  1000
HCP INC                   COM         40414L109          255      8032SH                 X         3          8032
HCP INC                   COM         40414L109           64      2000SH                      X    3                  2000
HEINZ H J CO              COM         423074103          154      3220SH                 X         2          3220
HEINZ H J CO              COM         423074103         4382     91580SH                 X         3         90210     417      953
HEINZ H J CO              COM         423074103          546     11402SH                      X    3           602   10800
HELMERICH & PAYNE INC     COM         423452101         1289     17900SH                 X         2         17900
HELMERICH & PAYNE INC     COM         423452101          167      2318SH                 X         3          1972              346
HELMERICH & PAYNE INC     COM         423452101          111      1540SH                      X    3                  1540
HENRY JACK & ASSOC INC    COM         426281101           22      1000SH                 X        1 3         1000
HENRY JACK & ASSOC INC    COM         426281101           20       907SH                 X         3           907
HENRY JACK & ASSOC INC    COM         426281101          303     14000SH                      X    3                 14000
HERCULES INC              COM         427056106            3       200SH                 X         2           200
HERCULES INC              COM         427056106          348     20576SH                 X         3         20208     368
HERCULES INC              COM         427056106           17      1015SH                      X    3                  1015
HERSHEY CO                COM         427866108            5       140SH                      X   1 3          140
HERSHEY CO                COM         427866108           85      2595SH                 X         2          2595
HERSHEY CO                COM         427866108         1873     57147SH                 X         3         56722      58      367
HERSHEY CO                COM         427866108          159      4855SH                      X    3           566    4289
HESS CORP                 COM         42809H107         3376     26756SH                 X         2         26756
HESS CORP                 COM         42809H107         1856     14709SH                 X         3         14571      68       70
HESS CORP                 COM         42809H107          169      1341SH                      X    3                  1341
HEWLETT PACKARD CO        COM         428236103         1420     32120SH                 X        1 3        32120
HEWLETT PACKARD CO        COM         428236103          205      4640SH                      X   1 3         3890     750
HEWLETT PACKARD CO        COM         428236103         8148    184300SH                 X         2        184300
HEWLETT PACKARD CO        COM         428236103         9717    219794SH                 X         3        206483    4103     9208
HEWLETT PACKARD CO        COM         428236103         3148     71203SH                      X    3         46389   13596    11218
HILB ROGAL & HOBBS CO     COM         431294107          287      6615SH                 X         3          6458              157
HILL ROM HLDGS INC        COM         431475102          209      7736SH                 X         3          7427              309
HOLOGIC INC               COM         436440101           13       600SH                 X        1 3          600
HOLOGIC INC               COM         436440101          264     12109SH                      X    3          1066    1882     9161
HOLOGIC INC               COM         436440101          524     24047SH                 X         3         12423            11624
HOME DEPOT INC            COM         437076102           68      2900SH                 X        1 3         2900
HOME DEPOT INC            COM         437076102           21       900SH                      X   1 3          800     100
HOME DEPOT INC            COM         437076102            7       300SH                 X         2           300
HOME DEPOT INC            COM         437076102         3081    131573SH                 X         3        128933    1226     1414
HOME DEPOT INC            COM         437076102          222      9478SH                      X    3           883    8595
HONEYWELL INTL INC        COM         438516106          175      3475SH                 X        1 3         3475
HONEYWELL INTL INC        COM         438516106           28       562SH                      X   1 3          562





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
HONEYWELL INTL INC        COM         438516106         1310     26050SH                 X         2         26050
HONEYWELL INTL INC        COM         438516106          542     10783SH                      X    3          2786    6657     1340
HONEYWELL INTL INC        COM         438516106         2413     47987SH                 X         3         44782     261     2944
HOSPIRA INC               COM         441060100            1        30SH                 X        1 3           30
HOSPIRA INC               COM         441060100          521     12999SH                 X         3         12665      82      252
HOSPIRA INC               COM         441060100           78      1948SH                      X    3          1791     157
HSBC HLDGS PLC            SPON ADR    404280406          490      6390SH                 X         3          6008              382
HSBC HLDGS PLC            SPON ADR    404280406          874     11395SH                      X    3                 10393     1002
HUDSON CITY BANCORP       COM         443683107         1111     66610SH                 X         3         65678              932
HUDSON CITY BANCORP       COM         443683107           39      2354SH                      X    3           750    1604
HUMANA INC                COM         444859102          345      8678SH                 X         3          8619               59
HUMANA INC                COM         444859102           27       678SH                      X    3                   678
HUNT J B TRANS SVCS INC   COM         445658107         5281    158690SH                 X         2        158690
HUNT J B TRANS SVCS INC   COM         445658107         1161     34885SH                 X         3         28071             6814
HUNT J B TRANS SVCS INC   COM         445658107           60      1800SH                      X    3                  1800
HUNTINGTON BANCSHARES     COM         446150104          289     50081SH                 X         3         48201    1880
HUNTINGTON BANCSHARES     COM         446150104          102     17640SH                      X    3                  2575    15065
HURCO COMPANIES INC       COM         447324104          216      7000SH                 X         3          7000
ICON PUB LTD CO           SPON ADR    45103T107         3756     49740SH                 X         2         49740
ICON PUB LTD CO           SPON ADR    45103T107         8006    106013SH                 X         3        103104    1575     1334
ICON PUB LTD CO           SPON ADR    45103T107          413      5469SH                      X    3           250    5219
ICONIX BRAND GROUP INC    COM         451055107         1391    115190SH                 X         2        115190
ICONIX BRAND GROUP INC    COM         451055107          300     24836SH                 X         3         24481              355
ICONIX BRAND GROUP INC    COM         451055107            3       232SH                      X    3                   232
IHS INC                   CL A        451734107         3744     53800SH                 X         2         53800
IHS INC                   CL A        451734107           57       808SH                 X         3           808
IKON OFFICE SOLUTIONS     COM         451713101          240     21281SH                 X         3         21281
ILLINOIS TOOL WKS INC     COM         452308109          249      5240SH                 X        1 3         5190      50
ILLINOIS TOOL WKS INC     COM         452308109           29       620SH                      X   1 3          620
ILLINOIS TOOL WKS INC     COM         452308109         2180     45882SH                      X    3          7073   38490      319
ILLINOIS TOOL WKS INC     COM         452308109         3865     81351SH                 X         3         79562     865      924
IMAX CORP                 COM         45245E109         3669    536330SH                 X         2        536330
IMAX CORP                 COM         45245E109          666     97456SH                 X         3         97456
IMPERIAL OIL LTD          COM NEW     453038408          334      6056SH                 X         3          5607              449
IMPERIAL OIL LTD          COM NEW     453038408           81      1472SH                      X    3                           1472
IMS HEALTH INC            COM         449934108            9       400SH                 X        1 3          400
IMS HEALTH INC            COM         449934108          578     24795SH                 X         3         24468     309       18
IMS HEALTH INC            COM         449934108           96      4124SH                      X    3                  3124     1000
INFINEON TECHNOLOGIES     SPON ADR    45662N103           96     11199SH                 X         3         11199
INFINEON TECHNOLOGIES     SPON ADR    45662N103            3       375SH                      X    3                   375
ING GROEP N V             SPON ADR    456837103          139      4419SH                 X         3          3623              796
ING GROEP N V             SPON ADR    456837103          200      6325SH                      X    3                  4236     2089
INGERSOLL-RAND COMPANY    CL A        G4776G101           48      1290SH                 X        1 3         1290
INGERSOLL-RAND COMPANY    CL A        G4776G101            4       100SH                      X   1 3                  100
INGERSOLL-RAND COMPANY    CL A        G4776G101          122      3265SH                      X    3          1270    1626      369
INGERSOLL-RAND COMPANY    CL A        G4776G101          841     22467SH                 X         3         21506     217      744
INGRAM MICRO INC          CL A        457153104         4737    266870SH                 X         2        266870
INGRAM MICRO INC          CL A        457153104         1034     58274SH                 X         3         50154             8120
INNERWORKINGS INC         COM         45773Y105         3288    274950SH                 X         2        274950
INNERWORKINGS INC         COM         45773Y105          608     50835SH                 X         3         50835
INTEGRYS ENERGY GROUP     COM         45822P105           66      1289SH                 X        1 3         1289
INTEGRYS ENERGY GROUP     COM         45822P105          382      7520SH                 X         2          7520
INTEGRYS ENERGY GROUP     COM         45822P105         7169    141043SH                 X         3        138991    1482      570
INTEGRYS ENERGY GROUP     COM         45822P105          380      7483SH                      X    3          1300    6183
INTEL CORP                COM         458140100          139      6450SH                 X        1 3         6450
INTEL CORP                COM         458140100           18       850SH                      X   1 3          450     400
INTEL CORP                COM         458140100         6321    294240SH                 X         2        294240
INTEL CORP                COM         458140100         1859     86562SH                      X    3          4895   75808     5859
INTEL CORP                COM         458140100        21926   1020778SH                 X         3        982992   22947    14839
INTERCONTINENTALEXCHG     COM         45865V100          404      3547SH                 X         3          3453      53       41
INTERCONTINENTALEXCHG     COM         45865V100           51       448SH                      X    3                   263      185
INTERNET CAP GROUP INC    COM NEW     46059C205         2942    380609SH                 X         2        380609
INTERNET CAP GROUP INC    COM NEW     46059C205          545     70529SH                 X         3         70529
INTERPUBLIC GROUP COS     COM         460690100         3868    449817SH                 X         2        449817
INTERPUBLIC GROUP COS     COM         460690100          994    115522SH                 X         3        100532            14990
INTERSIL CORP             CL A        46069S109         2767    113777SH                 X         2        113777
INTERSIL CORP             CL A        46069S109          556     22861SH                 X         3         19060             3801
INTL BUSINESS MACHS       COM         459200101         1419     11970SH                 X        1 3        11970
INTL BUSINESS MACHS       COM         459200101          250      2113SH                      X   1 3         1675     438
INTL BUSINESS MACHS       COM         459200101         5073     42800SH                 X         2         42800
INTL BUSINESS MACHS       COM         459200101         5583     47100SH                      X    3          7281   33178     6641
INTL BUSINESS MACHS       COM         459200101        38896    328154SH                 X         3        307589    8290    12275
INTL GAME TECHNOLOGY      COM         459902102           65      2600SH                 X        1 3         2600
INTL GAME TECHNOLOGY      COM         459902102           83      3340SH                 X         2          3340
INTL GAME TECHNOLOGY      COM         459902102          187      7470SH                      X    3           460    6873      137
INTL GAME TECHNOLOGY      COM         459902102         4926    197200SH                 X         3        192390    2615     2195
INTL PAPER CO             COM         460146103           79      3399SH                 X        1 3         3399
INTL PAPER CO             COM         460146103            5       200SH                 X         2           200
INTL PAPER CO             COM         460146103          668     28661SH                 X         3         27544    1056       61
INTL PAPER CO             COM         460146103          402     17260SH                      X    3                 12730     4530
INTUIT                    COM         461202103           22       800SH                 X        1 3          800
INTUIT                    COM         461202103         1310     47533SH                 X         2         47533
INTUIT                    COM         461202103           79      2844SH                 X         3          2844
INTUIT                    COM         461202103            1        37SH                      X    3                    37
INTUITIVE SURGICAL INC    COM NEW     46120E602          175       649SH                 X         3           632               17
INTUITIVE SURGICAL INC    COM NEW     46120E602           62       230SH                      X    3           100      57       73
INVERNESS MED INNOVATN    COM         46126P106         5707    172060SH                 X         2        172060
INVERNESS MED INNOVATN    COM         46126P106          614     18497SH                 X         3         18497
INVERNESS MED INNOVATN    COM         46126P106            8       250SH                      X    3                   250





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
INVESCO LTD               SHS         G491BT108         4019    167592SH                 X         2        167592
INVESCO LTD               SHS         G491BT108          867     36152SH                 X         3         30552             5600
INVESCO LTD               SHS         G491BT108           91      3795SH                      X    3                  3795
IPASS INC                 COM         46261V108            1       600SH                 X         2           600
IPASS INC                 COM         46261V108           45     21975SH                 X         3         21975
ISHARES TR                DJ SEL DIV  464287168           30       600SH                 X        1 3          600
ISHARES TR                S&P 500     464287200           23       180SH                 X        1 3          180
ISHARES TR                S&P SC 600  464287804           30       500SH                 X        1 3          500
ISHARES TR                MSCI EAFE   464287465          138      2015SH                 X         2          2015
ISHARES TR                RUS MCP GR  464287481         5033     47550SH                 X         2         47550
ISHARES TR                S&PMC400GR  464287606           35       391SH                 X         2           391
ISHARES TR                RUS1000GR   464287614         2353     42600SH                 X         2         42600
ISHARES TR                RUS2000GR   464287648         5682     74600SH                 X         2         74600
ISHARES TR                RUS 2000    464287655           56       817SH                 X         2           817
ISHARES TR                S&P MIDCP VA464287705           31       414SH                 X         2           414
ISHARES TR                LG GRW INX  464287119         1110     16884SH                 X         3         16884
ISHARES TR                S&P 1500    464287150          958      8348SH                 X         3          8348
ISHARES TR                S&P 1500    464287150           44       385SH                      X    3                   385
ISHARES TR                DJ SEL DIV  464287168        16233    329613SH                 X         3        329288     300       25
ISHARES TR                DJ SEL DIV  464287168          449      9112SH                      X    3                  9112
ISHARES TR                US TIPS BD  464287176         1924     17840SH                 X         3         17840
ISHARES TR                FTSE XNHUA  464287184          558      4264SH                 X         3          4264
ISHARES TR                FTSE XNHUA  464287184          407      3114SH                      X    3           600    2514
ISHARES TR                S&P 500     464287200        28101    219537SH                 X         3        215112    1120     3305
ISHARES TR                S&P 500     464287200          886      6920SH                      X    3           224    6696
ISHARES TR                LEH AGG BND 464287226         2561     25504SH                 X         3         25254     250
ISHARES TR                LEH AGG BND 464287226           50       500SH                      X    3                   500
ISHARES TR                MSCI EMERG  464287234        17134    126244SH                 X         3        125851              393
ISHARES TR                MSCI EMERG  464287234          823      6063SH                      X    3          4855    1208
ISHARES TR                IBOXX INV   464287242         4630     45665SH                 X         3         45665
ISHARES TR                IBOXX INV   464287242          233      2300SH                      X    3          1300    1000
ISHARES TR                S&P500 GRW  464287309        13283    208107SH                 X         3        198486    1600     8021
ISHARES TR                S&P500 GRW  464287309          179      2810SH                      X    3          1263    1547
ISHARES TR                S&P LTN AM  464287390          319      1159SH                 X         3          1159
ISHARES TR                S&P 500 VAL 464287408         3143     49571SH                 X         3         49481               90
ISHARES TR                S&P 500 VAL 464287408          296      4674SH                      X    3           400    4274
ISHARES TR                7-10 YR TRS 464287440          737      8371SH                 X         3          8371
ISHARES TR                1-3 YR TRS  464287457          976     11778SH                 X         3         11778
ISHARES TR                MSCI EAFE   464287465        55635    810184SH                 X         3        800925    4758     4501
ISHARES TR                MSCI EAFE   464287465         4633     67471SH                      X    3          8491   42137    16843
ISHARES TR                RUS MCP VAL 464287473         2147     16687SH                 X         3         15147             1540
ISHARES TR                RUS MCP VAL 464287473          209      1623SH                      X    3           688     935
ISHARES TR                RUS MCP GR  464287481         6509     61498SH                 X         3         61498
ISHARES TR                RUS MCP GR  464287481          672      6347SH                      X    3          1109    5238
ISHARES TR                RUS MCP     464287499         5356     55895SH                 X         3         51638     250     4007
ISHARES TR                RUS MCP     464287499           18       190SH                      X    3                   190
ISHARES TR                S&P MC 400  464287507        15174    185996SH                 X         3        184073    1923
ISHARES TR                S&P MC 400  464287507         2323     28472SH                      X    3          3384   25088
ISHARES TR                COHEN&ST    464287564          985     13107SH                 X         3         13107
ISHARES TR                COHEN&ST    464287564           14       190SH                      X    3                   190
ISHARES TR                CONS SRVC   464287580          656     12001SH                 X         3         12001
ISHARES TR                RUS1000VAL  464287598         1348     19516SH                 X         3         19516
ISHARES TR                RUS1000VAL  464287598           68       978SH                      X    3                   978
ISHARES TR                S&PMC400GR  464287606         4111     46448SH                 X         3         46412               36
ISHARES TR                S&PMC400GR  464287606          135      1528SH                      X    3           221    1307
ISHARES TR                RUS1000GR   464287614         5825    105450SH                 X         3        105450
ISHARES TR                RUS1000GR   464287614          251      4545SH                      X    3                  4545
ISHARES TR                RUS 1000    464287622        10869    154257SH                 X         3        154149     108
ISHARES TR                RUS2000VAL  464287630         5186     81381SH                 X         3         80880              501
ISHARES TR                RUS2000VAL  464287630          420      6585SH                      X    3           743    5842
ISHARES TR                RUS2000GR   464287648         3381     44395SH                 X         3         43317             1078
ISHARES TR                RUS2000GR   464287648          103      1354SH                      X    3           343    1011
ISHARES TR                RUS 2000    464287655        14118    204466SH                 X         3        203812     560       94
ISHARES TR                RUS 2000    464287655         1093     15829SH                      X    3          1951   13878
ISHARES TR                S&P MC VAL  464287705        11364    153523SH                 X         3        151743    1152      628
ISHARES TR                S&P MC VAL  464287705         4071     54992SH                      X    3         51343    3649
ISHARES TR                DJUSTELECOM 464287713          271     11268SH                 X         3         11268
ISHARES TR                DJ US TECH  464287721         1715     31643SH                 X         3         30693              950
ISHARES TR                DJ US TECH  464287721           97      1795SH                      X    3                  1795
ISHARES TR                DJ US REAL  464287739          163      2674SH                 X         3          2674
ISHARES TR                DJ US REAL  464287739          243      4000SH                      X    3                  4000
ISHARES TR                DJ US INDUS 464287754          705     10943SH                 X         3         10943
ISHARES TR                DJ US INDUS 464287754           46       707SH                      X    3                   707
ISHARES TR                DJ USHEALTH 464287762         2954     47949SH                 X         3         47949
ISHARES TR                DJ USHEALTH 464287762          104      1686SH                      X    3                  1686
ISHARES TR                DJ US FINL  464287770         2587     37513SH                 X         3         37513
ISHARES TR                DJ US FINL  464287770           13       182SH                      X    3                   182
ISHARES TR                DJ US FINL  464287788          567      8354SH                 X         3          8354
ISHARES TR                DJ US FINL  464287788           12       175SH                      X    3                   175
ISHARES TR                DJ USENERGY 464287796          619      4085SH                 X         3          4085
ISHARES TR                S&P SC 600  464287804         2390     39721SH                 X         3         39715                6
ISHARES TR                S&P SC 600  464287804          936     15559SH                      X    3                 15559
ISHARES TR                CONS GOODS  464287812          307      5562SH                 X         3          5562
ISHARES TR                DJUSBASMATL 464287838          813      9620SH                 X         3          9620
ISHARES TR                DJUSBASMATL 464287838           11       132SH                      X    3                   132
ISHARES TR                S&PEUROPLUS 464287861          445      4577SH                 X         3          4577
ISHARES TR                S&P SC VAL  464287879         4111     64554SH                 X         3         64331              223
ISHARES TR                S&P SC VAL  464287879          486      7625SH                      X    3          7133     492
ISHARES TR                LG VALUE    464288109          757     11453SH                 X         3         11453





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
ISHARES TR                MID CORE    464288208          327      4185SH                 X         3          4185
ISHARES TR                MID GROWTH  464288307          487      5123SH                 X         3          5123
ISHARES TR                MID VALUE   464288406          680      9979SH                 X         3          9979
ISHARES TR                MID VALUE   464288406          179      2625SH                      X    3          2625
ISHARES TR                S&PNATLMUN  464288414         2450     24630SH                 X         3         21120             3510
ISHARES TR                S&PNATLMUN  464288414           60       600SH                      X    3                   600
ISHARES TR                LEH INTER   464288612         1114     10842SH                 X         3         10842
ISHARES TR                LEH INTER   464288612           25       240SH                      X    3                   240
ISHARES TR                LEH INTER   464288638         2502     25220SH                 X         3         25020     200
ISHARES TR                SMALL VAL   464288703         4789     75065SH                 X         3         75065
ISHARES TR                S&P CON STP 464288737          254      4583SH                 X         3          4583
ISHARES TR                DJ BRKDLR   464288794          779     23370SH                 X         3         23370
ISHARES TR                DJ BRKDLR   464288794           12       349SH                      X    3                   349
ISHARES TR                MSCI VALUE  464288877          782     12832SH                 X         3         12832
ISHARES TR                MSCI VALUE  464288877           18       300SH                      X    3                   300
ISHARES TR                MSCI GROW   464288885         2462     34857SH                 X         3         34336     521
ISHARES TR                MSCI GROW   464288885          158      2234SH                      X    3                  2234
ITT CORP NEW              COM         450911102         7819    123457SH                 X         2        123457
ITT CORP NEW              COM         450911102          112      1776SH                      X    3          1020     506      250
ITT CORP NEW              COM         450911102         2141     33811SH                 X         3         30057     544     3210
ITT EDUCATIONAL SVCS      COM         45068B109          408      4941SH                 X         3          4941
IVANHOE MINES LTD         COM         46579N103          201     18443SH                      X    3                 18443
JACOBS ENGR GROUP INC     COM         469814107         3430     42500SH                 X         2         42500
JACOBS ENGR GROUP INC     COM         469814107           70       873SH                      X    3           350     308      215
JACOBS ENGR GROUP INC     COM         469814107         1460     18097SH                 X         3         17820              277
JANUS CAP GROUP INC       COM         47102X105         2334     88166SH                 X         3         87154     564      448
JANUS CAP GROUP INC       COM         47102X105           36      1360SH                      X    3                  1360
JOHNSON & JOHNSON         COM         478160104         1718     26702SH                 X        1 3        26152     550
JOHNSON & JOHNSON         COM         478160104          222      3450SH                      X   1 3         2500     950
JOHNSON & JOHNSON         COM         478160104        13767    213975SH                 X         2        213975
JOHNSON & JOHNSON         COM         478160104         6217     96625SH                      X    3         21133   75026      466
JOHNSON & JOHNSON         COM         478160104        43973    683457SH                 X         3        652556   17646    13255
JOHNSON CTLS INC          COM         478366107         1527     53220SH                 X         2         53220
JOHNSON CTLS INC          COM         478366107         5448    189963SH                      X    3         23450  165052     1461
JOHNSON CTLS INC          COM         478366107        13611    474598SH                 X         3        458468   12420     3710
JONES APPAREL GROUP INC   COM         480074103          143     10409SH                 X         3          9961     448
JONES APPAREL GROUP INC   COM         480074103            2       118SH                      X    3                   118
JOY GLOBAL INC            COM         481165108          429      5654SH                 X         3          3356             2298
JPMORGAN & CHASE & CO     COM         46625H100          188      5484SH                 X        1 3         5484
JPMORGAN & CHASE & CO     COM         46625H100         4636    135120SH                 X         2        135120
JPMORGAN & CHASE & CO     COM         46625H100        35640   1038771SH                 X         3       1026908    7832     4031
JPMORGAN & CHASE & CO     COM         46625H100         4418    128758SH                      X    3         58726   65740     4292
JUNIPER NETWORKS INC      COM         48203R104          223     10055SH                 X         3          9775              280
JUNIPER NETWORKS INC      COM         48203R104           19       854SH                      X    3                   854
KBR INC                   COM         48242W106          273      7813SH                 X         3          7412              401
KELLOGG CO                COM         487836108         1717     35765SH                 X        1 3        35665     100
KELLOGG CO                COM         487836108          184      3825SH                      X   1 3         2900     925
KELLOGG CO                COM         487836108          275      5725SH                 X         2          5725
KELLOGG CO                COM         487836108        15996    333106SH                 X         3        326124    4185     2797
KELLOGG CO                COM         487836108         1401     29165SH                      X    3         12859   16306
KEYCORP NEW               COM         493267108          224     20374SH                 X         3         20374
KEYCORP NEW               COM         493267108            3       229SH                      X    3                   229
KHD HUMBOLDT WEDAG INTL   COM         482462108         4893    155200SH                 X         2        155200
KHD HUMBOLDT WEDAG INTL   COM         482462108          892     28287SH                 X         3         28287
KIMBERLY CLARK CORP       COM         494368103          844     14125SH                 X        1 3        14075      50
KIMBERLY CLARK CORP       COM         494368103          173      2900SH                      X   1 3         2250     650
KIMBERLY CLARK CORP       COM         494368103          112      1880SH                 X         2          1880
KIMBERLY CLARK CORP       COM         494368103         3702     61935SH                      X    3         17482   41703     2750
KIMBERLY CLARK CORP       COM         494368103        12947    216577SH                 X         3        201173   11337     4067
KIMCO REALTY CORP         COM         49446R109         1912     55403SH                 X         2         55403
KIMCO REALTY CORP         COM         49446R109          649     18787SH                 X         3         16947     180     1660
KIMCO REALTY CORP         COM         49446R109            3        78SH                      X    3                    78
KINDER MORGAN ENERGY      LTD PRTNR   494550106            8       145SH                 X         2           145
KINDER MORGAN ENERGY      LTD PRTNR   494550106         1054     18913SH                 X         3         18913
KINDER MORGAN ENERGY      LTD PRTNR   494550106          185      3320SH                      X    3                  3320
KING PHARMACEUTICALS      COM         495582108          178     17042SH                 X         3         16507     535
KING PHARMACEUTICALS      COM         495582108            5       505SH                      X    3                   505
KINROSS GOLD CORP         COM         496902404          590     25000SH                 X         3         25000
KKR FINANCIAL HLDGS LLC   COM         48248A306          138     13107SH                 X         3         11207    1900
KKR FINANCIAL HLDGS LLC   COM         48248A306            5       510SH                      X    3                   510
KLA-TENCOR CORP           COM         482480100          298      7310SH                 X         3          7147     163
KLA-TENCOR CORP           COM         482480100            4        90SH                      X    3                    90
KOHLS CORP                COM         500255104           12       300SH                 X        1 3          300
KOHLS CORP                COM         500255104           12       300SH                      X   1 3                  300
KOHLS CORP                COM         500255104         2035     50833SH                 X         2         50833
KOHLS CORP                COM         500255104         1607     40129SH                      X    3          2375   33523     4231
KOHLS CORP                COM         500255104        11906    297343SH                 X         3        278308    9512     9523
KOREA ELECTRIC PWR        SPON ADR    500631106           49      3365SH                 X         3          3365
KOREA ELECTRIC PWR        SPON ADR    500631106          328     22564SH                      X    3                 22564
KRAFT FOODS INC           CL A        50075N104           10       345SH                 X        1 3          345
KRAFT FOODS INC           CL A        50075N104          106      3736SH                 X         2          3736
KRAFT FOODS INC           CL A        50075N104         3746    131658SH                      X    3          4311  127147      200
KRAFT FOODS INC           CL A        50075N104         5364    188552SH                 X         3        186008     574     1970
KROGER CO                 COM         501044101         9906    343117SH                 X         2        343117
KROGER CO                 COM         501044101         1734     60073SH                 X         3         53126             6947
KROGER CO                 COM         501044101           93      3238SH                      X    3                  3238
KT CORP                   SPON ADR    48268K101           62      2920SH                 X         3          2920
KT CORP                   SPON ADR    48268K101          599     28106SH                      X    3                 28106
KULICKE & SOFFA INDS      COM         501242101          194     26633SH                 X         3         26633





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
L-3 COMMUNICATIONS        COM         502424104         1995     21950SH                 X        1 3        21900      50
L-3 COMMUNICATIONS        COM         502424104          204      2250SH                      X   1 3         1925     325
L-3 COMMUNICATIONS        COM         502424104         2308     25400SH                 X         2         25400
L-3 COMMUNICATIONS        COM         502424104          708      7792SH                 X         3          7723      69
L-3 COMMUNICATIONS        COM         502424104          253      2788SH                      X    3           795    1285      708
LABORATORY CORP AMER      COM NEW     50540R409         2110     30309SH                 X         3         23845             6464
LABORATORY CORP AMER      COM NEW     50540R409          832     11955SH                      X    3          1447    1470     9038
LAS VEGAS SANDS CORP      COM         517834107         1343     28300SH                 X         2         28300
LAS VEGAS SANDS CORP      COM         517834107           21       451SH                 X         3           451
LAUDER ESTEE COS INC      CL A        518439104            4        90SH                 X         2            90
LAUDER ESTEE COS INC      CL A        518439104         1272     27377SH                 X         3         26232    1145
LAUDER ESTEE COS INC      CL A        518439104          185      3981SH                      X    3           100    3881
LEGG MASON INC            COM         524901105          243      5578SH                 X         3          5438     140
LEGG MASON INC            COM         524901105           13       303SH                      X    3           220      18       65
LEHMAN BROS HLDGS INC     COM         524908100         1733     87495SH                 X         2         87495
LEHMAN BROS HLDGS INC     COM         524908100          155      7827SH                 X         3          7827
LEHMAN BROS HLDGS INC     COM         524908100           14       695SH                      X    3           530      20      145
LENNAR CORP               CL A        526057104          162     13114SH                 X         3         12743     371
LENNAR CORP               CL A        526057104            7       551SH                      X    3                   551
LEUCADIA NATL CORP        COM         527288104          639     13618SH                 X         3         13618
LEUCADIA NATL CORP        COM         527288104          237      5047SH                      X    3                  2847     2200
LIBERTY GLOBAL INC        COM SER A   530555101         4202    133693SH                 X         2        133693
LIBERTY GLOBAL INC        COM SER A   530555101           37      1192SH                      X    3                           1192
LIBERTY GLOBAL INC        COM SER A   530555101          937     29798SH                 X         3         25338             4460
LIBERTY MEDIA CORP NEW    COM SER A   53071M500         5718    235969SH                 X         2        235969
LIBERTY MEDIA CORP NEW    COM SER A   53071M500           95      3934SH                      X    3                    55     3879
LIBERTY MEDIA CORP NEW    COM SER A   53071M500         1217     50221SH                 X         3         42361             7860
LILLY ELI & CO            COM         532457108            5       100SH                 X        1 3          100
LILLY ELI & CO            COM         532457108            5       100SH                      X   1 3          100
LILLY ELI & CO            COM         532457108         3039     65820SH                 X         2         65820
LILLY ELI & CO            COM         532457108        10670    231152SH                 X         3        225973    4365      814
LILLY ELI & CO            COM         532457108        12728    275739SH                      X    3        253470   22269
LIMITED BRANDS INC        COM         532716107          272     16160SH                 X         3         16160
LIMITED BRANDS INC        COM         532716107            0        29SH                      X    3                    29
LINCOLN ELEC HLDGS INC    COM         533900106          162      2055SH                 X         3          1457              598
LINCOLN ELEC HLDGS INC    COM         533900106           88      1120SH                      X    3                           1120
LINCOLN NATL CORP IND     COM         534187109           11       250SH                 X        1 3          250
LINCOLN NATL CORP IND     COM         534187109          845     18642SH                 X         3         18472              170
LINCOLN NATL CORP IND     COM         534187109         1032     22780SH                      X    3         13300    9480
LINEAR TECHNOLOGY CORP    COM         535678106            6       195SH                 X        1 3          195
LINEAR TECHNOLOGY CORP    COM         535678106          534     16385SH                 X         3         15963     204      218
LINEAR TECHNOLOGY CORP    COM         535678106           64      1980SH                      X    3                   380     1600
LKQ CORP                  COM         501889208         4411    244060SH                 X         2        244060
LKQ CORP                  COM         501889208          493     27330SH                 X         3         26756              574
LOCKHEED MARTIN CORP      COM         539830109          212      2150SH                 X        1 3         2125      25
LOCKHEED MARTIN CORP      COM         539830109           92       936SH                      X   1 3          686     250
LOCKHEED MARTIN CORP      COM         539830109         7523     76260SH                 X         2         76260
LOCKHEED MARTIN CORP      COM         539830109        17709    179493SH                 X         3        170299    3737     5457
LOCKHEED MARTIN CORP      COM         539830109         1764     17878SH                      X    3           595   10707     6576
LOEWS CORP                COM         540424108          938     20004SH                 X         3         20004
LOEWS CORP                COM         540424108          170      3634SH                      X    3                  3634
LOGITECH INTL S A         SHS         H50430232         1060     39554SH                 X         3         28028            11526
LOGITECH INTL S A         SHS         H50430232          547     20406SH                      X    3          1730    2448    16228
LORILLARD INC             COM         544147101         5761     83300SH                 X         2         83300
LORILLARD INC             COM         544147101         1253     18123SH                 X         3         15443             2680
LORILLARD INC             COM         544147101           60       870SH                      X    3                   870
LOWES COS INC             COM         548661107          259     12500SH                 X        1 3        12500
LOWES COS INC             COM         548661107            9       420SH                      X   1 3          220     200
LOWES COS INC             COM         548661107         2240    107960SH                 X         2        107960
LOWES COS INC             COM         548661107          592     28526SH                      X    3          1430   26801      295
LOWES COS INC             COM         548661107         7109    342613SH                 X         3        332001    6498     4114
LSI CORPORATION           COM         502161102          266     43265SH                 X         3         42214    1051
LSI CORPORATION           COM         502161102            7      1160SH                      X    3                  1160
LUBRIZOL CORP             COM         549271104          507     10950SH                 X        1 3        10950
LUBRIZOL CORP             COM         549271104           88      1900SH                      X   1 3         1500     400
LUBRIZOL CORP             COM         549271104          102      2192SH                 X         3          1913              279
LUBRIZOL CORP             COM         549271104          112      2420SH                      X    3                  2420
LUCAS ENERGY INC          COM         549333201          197     47500SH                 X         3         47500
LULULEMON ATHLETICA INC   COM         550021109          483     16626SH                 X         3         16626
LUMINEX CORP DEL          COM         55027E102         3080    149870SH                 X         2        149870
LUMINEX CORP DEL          COM         55027E102          586     28513SH                 X         3         28165              348
LUMINEX CORP DEL          COM         55027E102            5       256SH                      X    3                   256
M & T BK CORP             COM         55261F104         3060     43389SH                 X         2         43389
M & T BK CORP             COM         55261F104         1112     15761SH                 X         3         14325      86     1350
M & T BK CORP             COM         55261F104          113      1602SH                      X    3                  1602
MACYS INC                 COM         55616P104          234     12051SH                 X         3         11732     319
MACYS INC                 COM         55616P104           37      1884SH                      X    3                  1884
MAGNA INTL INC            CL A        559222401           41       690SH                 X         3           690
MAGNA INTL INC            CL A        559222401          247      4171SH                      X    3                  4171
MANITOWOC INC             COM         563571108          183      5625SH                      X    3                  5290      335
MANITOWOC INC             COM         563571108         3103     95403SH                 X         3         95027              376
MANPOWER INC              COM         56418H100         5102     87594SH                 X         2         87594
MANPOWER INC              COM         56418H100          164      2820SH                      X    3                  2500      320
MANPOWER INC              COM         56418H100         3052     52408SH                 X         3         49536             2872
MANULIFE FINL CORP        COM         56501R106          259      7448SH                 X        1 3         7448
MANULIFE FINL CORP        COM         56501R106          555     15984SH                 X         3         15984
MANULIFE FINL CORP        COM         56501R106           35      1002SH                      X    3                  1002
MARATHON OIL CORP         COM         565849106         3664     70650SH                 X         2         70650
MARATHON OIL CORP         COM         565849106         3186     61417SH                 X         3         60443     246      728





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
MARATHON OIL CORP         COM         565849106          647     12467SH                      X    3                  8436     4031
MARCUS CORP               COM         566330106           22      1447SH                 X         3          1169              278
MARCUS CORP               COM         566330106          328     21960SH                      X    3           300   19050     2610
MARSH & MCLENNAN          COM         571748102          220      8270SH                 X         2          8270
MARSH & MCLENNAN          COM         571748102         4149    156275SH                 X         3        155327     275      673
MARSH & MCLENNAN          COM         571748102          117      4405SH                      X    3          1578    2827
MARSHALL & ILSLEY CORP    COM         571837103           41      2676SH                 X        1 3                          2676
MARSHALL & ILSLEY CORP    COM         571837103            2       145SH                 X         2             0              145
MARSHALL & ILSLEY CORP    COM         571837103        25302   1650469SH                      X    3           950  221668  1427851
MARSHALL & ILSLEY CORP    COM         571837103        82576   5386545SH                 X         3       1734239   55860  3596446
MASCO CORP                COM         574599106          435     27636SH                 X         3         27436              200
MASCO CORP                COM         574599106            2       122SH                      X    3                   122
MASTERCARD INC            CL A        57636Q104         2708     10200SH                 X         2         10200
MASTERCARD INC            CL A        57636Q104          337      1269SH                 X         3          1087              182
MASTERCARD INC            CL A        57636Q104          349      1316SH                      X    3                   861      455
MATSUSHITA ELEC INDL      ADR         576879209          349     16311SH                      X    3                 16311
MATTEL INC                COM         577081102          244     14274SH                 X         3         13907     367
MATTEL INC                COM         577081102           38      2220SH                      X    3                  2220
MAX CAPITAL GROUP LTD     SHS         G6052F103          249     11670SH                 X         3         10900              770
MAX CAPITAL GROUP LTD     SHS         G6052F103           53      2496SH                      X    3                   416     2080
MAXIMUS INC               COM         577933104          617     17715SH                 X         3         17570              145
MCAFEE INC                COM         579064106         2209     64900SH                 X         2         64900
MCAFEE INC                COM         579064106           76      2250SH                 X         3          1950              300
MCCORMICK & CO INC        COM NO VTG  579780206          404     11331SH                 X         3         10875     221      235
MCCORMICK & CO INC        COM NO VTG  579780206            7       205SH                      X    3                   205
MCDERMOTT INTL INC        COM         580037109           79      1274SH                 X         3          1195               79
MCDERMOTT INTL INC        COM         580037109          262      4235SH                      X    3                  2611     1624
MCDONALDS CORP            COM         580135101           48       860SH                 X        1 3          860
MCDONALDS CORP            COM         580135101         2559     45527SH                 X         2         45527
MCDONALDS CORP            COM         580135101        18501    329075SH                 X         3        325065    2799     1211
MCDONALDS CORP            COM         580135101         3038     54033SH                      X    3         27223   26810
MCGRATH RENTCORP          COM         580589109        13081    531971SH                 X        1 3       531971
MCGRATH RENTCORP          COM         580589109            3       140SH                 X         2           140
MCGRAW HILL COS INC       COM         580645109         2558     63762SH                 X         3         60559    3112       91
MCGRAW HILL COS INC       COM         580645109          214      5344SH                      X    3                  5344
MCKESSON CORP             COM         58155Q103          807     14438SH                 X         3         14309     129
MCKESSON CORP             COM         58155Q103            3        54SH                      X    3                    54
MDU RES GROUP INC         COM         552690109         4377    125546SH                 X         3         83581   41535      430
MDU RES GROUP INC         COM         552690109          497     14260SH                      X    3                 14260
MEADWESTVACO CORP         COM         583334107         4363    182996SH                 X         2        182996
MEADWESTVACO CORP         COM         583334107         1560     65449SH                 X         3         59327     290     5832
MEADWESTVACO CORP         COM         583334107           65      2740SH                      X    3                  2740
MECHEL OAO                SPON ADR    583840103          189      3817SH                 X         3          2614             1203
MECHEL OAO                SPON ADR    583840103          145      2934SH                      X    3                  2934
MEDASSETS INC             COM         584045108         3070    180030SH                 X         2        180030
MEDASSETS INC             COM         584045108          559     32769SH                 X         3         32769
MEDCO HEALTH SOLUTIONS    COM         58405U102            3        60SH                 X        1 3           60
MEDCO HEALTH SOLUTIONS    COM         58405U102          104      2210SH                      X   1 3         2210
MEDCO HEALTH SOLUTIONS    COM         58405U102         4711     99800SH                 X         2         99800
MEDCO HEALTH SOLUTIONS    COM         58405U102         2555     54140SH                 X         3         52073    1637      430
MEDCO HEALTH SOLUTIONS    COM         58405U102          292      6179SH                      X    3           200    5979
MEDTRONIC INC             COM         585055106          313      6045SH                 X        1 3         5895     150
MEDTRONIC INC             COM         585055106          157      3025SH                      X   1 3         2600     425
MEDTRONIC INC             COM         585055106          171      3310SH                 X         2          3310
MEDTRONIC INC             COM         585055106         1436     27744SH                      X    3           200   26964      580
MEDTRONIC INC             COM         585055106        13281    256639SH                 X         3        249268    3747     3624
MEMC ELECTR MATLS INC     COM         552715104         1846     30000SH                 X         2         30000
MEMC ELECTR MATLS INC     COM         552715104         1355     22020SH                 X         3         17183             4837
MEMC ELECTR MATLS INC     COM         552715104          890     14466SH                      X    3          1433    2776    10257
MERCK & CO INC            COM         589331107          432     11450SH                 X        1 3        11300     150
MERCK & CO INC            COM         589331107          142      3775SH                      X   1 3         3775
MERCK & CO INC            COM         589331107         5334    141520SH                 X         2        141520
MERCK & CO INC            COM         589331107         2206     58518SH                      X    3         19345   38054     1119
MERCK & CO INC            COM         589331107         9108    241680SH                 X         3        230703    6592     4385
MERRILL LYNCH & CO INC    COM         590188108           90      2830SH                 X         2          2830
MERRILL LYNCH & CO INC    COM         590188108         3893    122774SH                 X         3        118965    1818     1991
MERRILL LYNCH & CO INC    COM         590188108          358     11297SH                      X    3           150   11147
METALICO INC              COM         591176102         5116    292030SH                 X         2        292030
METALICO INC              COM         591176102          982     56040SH                 X         3         55703              337
METALICO INC              COM         591176102            4       240SH                      X    3                   240
METAVANTE TECHNOLOGIES    COM         591407101           24      1058SH                 X        1 3          166              892
METAVANTE TECHNOLOGIES    COM         591407101        11775    520535SH                      X    3                 37368   483167
METAVANTE TECHNOLOGIES    COM         591407101        38744   1712826SH                 X         3        621784   19180  1071862
METLIFE INC               COM         59156R108         4264     80800SH                 X         2         80800
METLIFE INC               COM         59156R108         1382     26199SH                 X         3         25697     239      263
METLIFE INC               COM         59156R108          321      6081SH                      X    3           100    4381     1600
METTLER TOLEDO INTL       COM         592688105          199      2102SH                 X         3          1719              383
METTLER TOLEDO INTL       COM         592688105          119      1256SH                      X    3                           1256
MFA MTG INVTS INC         COM         55272X102           60      9157SH                 X         3          5902             3255
MFA MTG INVTS INC         COM         55272X102           57      8740SH                      X    3                           8740
MGE ENERGY INC            COM         55277P104         1384     42419SH                 X         3         38750             3669
MGE ENERGY INC            COM         55277P104          129      3950SH                      X    3                  3950
MICROSOFT CORP            COM         594918104          338     12300SH                 X        1 3        12300
MICROSOFT CORP            COM         594918104           19       700SH                      X   1 3          200     500
MICROSOFT CORP            COM         594918104        12369    449606SH                 X         2        449606
MICROSOFT CORP            COM         594918104         6353    230943SH                      X    3         32846  191733     6364
MICROSOFT CORP            COM         594918104        41440   1506375SH                 X         3       1421490   50714    34171
MIDCAP SPDR TR            UNIT SER 1  595635103           22       150SH                 X        1 3          150
MIDCAP SPDR TR            UNIT SER 1  595635103           15       100SH                      X   1 3                  100





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
MIDCAP SPDR TR            UNIT SER 1  595635103         7441     50007SH                 X         3         49537     470
MIDCAP SPDR TR            UNIT SER 1  595635103          780      5240SH                      X    3                  5240
MIDDLEBY CORP             COM         596278101         2454     55900SH                 X         2         55900
MIDDLEBY CORP             COM         596278101          478     10887SH                 X         3         10887
MIDDLEBY CORP             COM         596278101           14       323SH                      X    3           136     187
MIDWEST BANC HOLDINGS     COM         598251106          142     29247SH                 X        1 3        29247
MIDWEST BANC HOLDINGS     COM         598251106           24      4905SH                 X         3          4905
MILLIPORE CORP            COM         601073109          320      4714SH                 X         3          4660               54
MILLIPORE CORP            COM         601073109           26       381SH                      X    3                   381
MINDRAY MEDICAL INTL      SPON ADR    602675100          429     11500SH                      X    3                 11500
MITSUBISHI UFJ FINL       SPON ADR    606822104          168     19109SH                 X         3         19109
MIZUHO FINL GROUP INC     SPON ADR    60687Y109          151     16291SH                 X         3         16291
MODINE MFG CO             COM         607828100          490     39610SH                 X         3         39610
MODINE MFG CO             COM         607828100          239     19290SH                      X    3          2000   17290
MOLSON COORS BREWING CO   CL B        60871R209          409      7536SH                 X         3          6743     720       73
MOLSON COORS BREWING CO   CL B        60871R209            2        40SH                      X    3                    40
MONSANTO CO NEW           COM         61166W101         1135      8975SH                 X        1 3         8975
MONSANTO CO NEW           COM         61166W101           63       500SH                      X   1 3          200     300
MONSANTO CO NEW           COM         61166W101         4940     39070SH                 X         2         39070
MONSANTO CO NEW           COM         61166W101         1313     10386SH                      X    3           547    5259     4580
MONSANTO CO NEW           COM         61166W101        18613    147203SH                 X         3        140164    2342     4697
MOODYS CORP               COM         615369105          551     15989SH                 X         3         15574     249      166
MOODYS CORP               COM         615369105           82      2394SH                      X    3                  2394
MOOG INC                  CL A        615394202          217      5836SH                 X         3          5711              125
MORGAN STANLEY            COM NEW     617446448           49      1349SH                 X        1 3         1349
MORGAN STANLEY            COM NEW     617446448         3272     90713SH                 X         2         90713
MORGAN STANLEY            COM NEW     617446448          865     23970SH                      X    3          1194   22114      662
MORGAN STANLEY            COM NEW     617446448         7992    221562SH                 X         3        213352    5619     2591
MOSAIC CO                 COM         61945A107         1717     11867SH                 X         3         11867
MOSAIC CO                 COM         61945A107          370      2554SH                      X    3                  2554
MOTOROLA INC              COM         620076109            1       100SH                 X        1 3          100
MOTOROLA INC              COM         620076109          636     86655SH                 X         3         81552    4642      461
MOTOROLA INC              COM         620076109          190     25842SH                      X    3          5500   10967     9375
MPS GROUP INC             COM         553409103          121     11343SH                 X         3          6723             4620
MPS GROUP INC             COM         553409103           69      6490SH                      X    3                  6490
MSC SOFTWARE CORP         COM         553531104          208     18960SH                 X         3         18960
MTS SYS CORP              COM         553777103         3259     90830SH                 X         2         90830
MTS SYS CORP              COM         553777103          600     16740SH                 X         3         16740
MTS SYS CORP              COM         553777103           12       348SH                      X    3           154     194
MURPHY OIL CORP           COM         626717102         4024     41041SH                 X         2         41041
MURPHY OIL CORP           COM         626717102         2218     22621SH                 X         3         21211             1410
MURPHY OIL CORP           COM         626717102          758      7735SH                      X    3                  7735
MYLAN INC                 COM         628530107            3       250SH                 X         2           250
MYLAN INC                 COM         628530107          164     13623SH                 X         3         13623
MYLAN INC                 COM         628530107            1       100SH                      X    3                   100
NABORS INDUSTRIES LTD     SHS         G6359F103         2877     58450SH                 X         2         58450
NABORS INDUSTRIES LTD     SHS         G6359F103         1189     24137SH                 X         3         21857     207     2073
NABORS INDUSTRIES LTD     SHS         G6359F103           40       809SH                      X    3                   809
NALCO HOLDING COMPANY     COM         62985Q101         1637     77400SH                 X         2         77400
NALCO HOLDING COMPANY     COM         62985Q101           23      1098SH                 X         3          1098
NANOGEN INC               COM         630075109            4     10000SH                 X         3         10000
NATIONAL CITY CORP        COM         635405103            1       250SH                 X        1 3          250
NATIONAL CITY CORP        COM         635405103          272     56949SH                 X         3         56949
NATIONAL CITY CORP        COM         635405103           17      3627SH                      X    3                  3627
NATIONAL FUEL GAS         COM         636180101          262      4408SH                 X         3          3522     150      736
NATIONAL FUEL GAS         COM         636180101           53       898SH                      X    3                   898
NATIONAL OILWELL VARCO    COM         637071101         3240     36525SH                 X         3         35644     701      180
NATIONAL OILWELL VARCO    COM         637071101         1095     12338SH                      X    3          9025    2642      671
NATIONAL SEMICONDUCTOR    COM         637640103          320     15557SH                 X         3         14881     478      198
NATIONAL SEMICONDUCTOR    COM         637640103            9       445SH                      X    3           200     245
NATUS MEDICAL INC DEL     COM         639050103         4344    207468SH                 X         2        207468
NATUS MEDICAL INC DEL     COM         639050103          774     36952SH                 X         3         36952
NESS TECHNOLOGIES INC     COM         64104X108          133     13129SH                 X         3         13129
NETEZZA CORP              COM         64111N101         2711    234710SH                 X         2        234710
NETEZZA CORP              COM         64111N101          493     42743SH                 X         3         42743
NEWELL RUBBERMAID INC     COM         651229106           10       600SH                 X        1 3          600
NEWELL RUBBERMAID INC     COM         651229106            6       350SH                      X   1 3          350
NEWELL RUBBERMAID INC     COM         651229106            3       200SH                 X         2           200
NEWELL RUBBERMAID INC     COM         651229106          638     38024SH                 X         3         37724     300
NEWELL RUBBERMAID INC     COM         651229106          139      8286SH                      X    3                  2301     5985
NEWFIELD EXPL CO          COM         651290108         4719     72325SH                 X         2         72325
NEWFIELD EXPL CO          COM         651290108         1129     17290SH                 X         3         14633             2657
NEWMONT MINING CORP       COM         651639106          445      8525SH                 X        1 3         8525
NEWMONT MINING CORP       COM         651639106           99      1900SH                      X   1 3         1900
NEWMONT MINING CORP       COM         651639106          909     17428SH                 X         3         16648     160      620
NEWMONT MINING CORP       COM         651639106          805     15441SH                      X    3                 15441
NEWS CORP                 CL A        65248E104         1671    111100SH                 X         2        111100
NEWS CORP                 CL A        65248E104         1088     72317SH                 X         3         70826     564      927
NEWS CORP                 CL A        65248E104          115      7676SH                      X    3                  5494     2182
NEXEN INC                 COM         65334H102            7       164SH                 X         3           164
NEXEN INC                 COM         65334H102          494     12426SH                      X    3                 11222     1204
NICOR INC                 COM         654086107           11       248SH                      X   1 3          248
NICOR INC                 COM         654086107          105      2465SH                 X         2          2465
NICOR INC                 COM         654086107          106      2483SH                      X    3           491    1692      300
NICOR INC                 COM         654086107         1996     46868SH                 X         3         44754     142     1972
NIDEC CORP                SPON ADR    654090109          112      6761SH                 X         3          5383             1378
NIDEC CORP                SPON ADR    654090109           86      5197SH                      X    3                   683     4514
NII HLDGS INC             CL B NEW    62913F201            3        65SH                 X         3            65
NII HLDGS INC             CL B NEW    62913F201          203      4272SH                      X    3           350      16     3906





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
NIKE INC                  CL B        654106103          650     10900SH                 X        1 3        10900
NIKE INC                  CL B        654106103           42       700SH                      X   1 3          500     200
NIKE INC                  CL B        654106103         3028     50790SH                 X         2         50790
NIKE INC                  CL B        654106103         1135     19046SH                      X    3           911   12339     5796
NIKE INC                  CL B        654106103        11020    184878SH                 X         3        173806    3505     7567
NIPPON TELEG & TEL CORP   SPON ADR    654624105          208      8563SH                 X         3          8563
NIPPON TELEG & TEL CORP   SPON ADR    654624105         1146     47146SH                      X    3                 47146
NISOURCE INC              COM         65473P105          233     12980SH                 X         2         12980
NISOURCE INC              COM         65473P105         5709    318582SH                 X         3        314855     675     3052
NISOURCE INC              COM         65473P105          374     20894SH                      X    3          6849    6925     7120
NOBLE CORPORATION         SHS         G65422100         2014     31000SH                 X         2         31000
NOBLE CORPORATION         SHS         G65422100         1759     27077SH                 X         3         22666             4411
NOBLE CORPORATION         SHS         G65422100          587      9042SH                      X    3           718    1260     7064
NOBLE ENERGY INC          COM         655044105         6473     64368SH                 X         2         64368
NOBLE ENERGY INC          COM         655044105         1881     18711SH                 X         3         16497      74     2140
NOBLE ENERGY INC          COM         655044105          124      1229SH                      X    3                  1229
NOKIA CORP                SPON ADR    654902204           64      2600SH                 X        1 3         2600
NOKIA CORP                SPON ADR    654902204            5       200SH                      X   1 3                  200
NOKIA CORP                SPON ADR    654902204         1827     74572SH                 X         3         71371    2109     1092
NOKIA CORP                SPON ADR    654902204         1172     47823SH                      X    3         32525    6513     8785
NORDSTROM INC             COM         655664100         1183     39037SH                 X         3         32711      54     6272
NORDSTROM INC             COM         655664100          611     20156SH                      X    3          1717    6770    11669
NORFOLK SOUTHERN CORP     COM         655844108          126      2005SH                      X    3          1060     644      301
NORFOLK SOUTHERN CORP     COM         655844108         1038     16566SH                 X         3         16112     141      313
NORTH EUROPEAN OIL RTY    SH BEN INT  659310106          243      6300SH                 X         3          6300
NORTHERN TR CORP          COM         665859104           69      1000SH                 X        1 3         1000
NORTHERN TR CORP          COM         665859104           39       570SH                      X   1 3          420     150
NORTHERN TR CORP          COM         665859104         3811     55570SH                 X         2         55570
NORTHERN TR CORP          COM         665859104        13243    193137SH                 X         3        185022    4255     3860
NORTHERN TR CORP          COM         665859104         1450     21140SH                      X    3          7635   13505
NORTHROP GRUMMAN CORP     COM         666807102          510      7625SH                 X        1 3         7625
NORTHROP GRUMMAN CORP     COM         666807102           74      1100SH                      X   1 3          800     300
NORTHROP GRUMMAN CORP     COM         666807102         3559     53200SH                 X         2         53200
NORTHROP GRUMMAN CORP     COM         666807102         1714     25619SH                 X         3         24729     835       55
NORTHROP GRUMMAN CORP     COM         666807102          376      5627SH                      X    3           250    5377
NOVA BIOSOURCE FUELS      COM         65488W103           18     27561SH                 X         3         27561
NOVAGOLD RES INC          COM NEW     66987E206           88     11812SH                      X    3                 11812
NOVARTIS A G              SPON ADR    66987V109          102      1850SH                      X    3            50    1040      760
NOVARTIS A G              SPON ADR    66987V109          622     11296SH                 X         3          9711             1585
NOVAVAX INC               COM         670002104          202     81100SH                 X         3         81100
NOVELL INC                COM         670006105          297     50378SH                 X         3         49247    1131
NOVELL INC                COM         670006105            3       529SH                      X    3                   529
NOVELLUS SYS INC          COM         670008101          300     14179SH                 X         3         13861     318
NRG ENERGY INC            COM NEW     629377508         3286     76599SH                 X         2         76599
NRG ENERGY INC            COM NEW     629377508          449     10477SH                 X         3          9107             1370
NRG ENERGY INC            COM NEW     629377508           58      1348SH                      X    3                  1348
NUCOR CORP                COM         670346105         3502     46901SH                 X         2         46901
NUCOR CORP                COM         670346105           73       980SH                      X    3                   615      365
NUCOR CORP                COM         670346105         3058     40953SH                 X         3         38857     393     1703
NUVASIVE INC              COM         670704105         3867     86590SH                 X         2         86590
NUVASIVE INC              COM         670704105          733     16399SH                 X         3         16399
NUVEEN DIVID ADV MUNIFD   COM         67066V101          130     10000SH                 X         3         10000
NUVEEN MUN VALUE FD INC   COM         670928100           79      8200SH                 X        1 3         8200
NUVEEN MUN VALUE FD INC   COM         670928100          111     11500SH                      X    3                 11500
NUVEEN MUN VALUE FD INC   COM         670928100          233     24173SH                 X         3         24173
NVIDIA CORP               COM         67066G104         1738     92850SH                 X         2         92850
NVIDIA CORP               COM         67066G104          618     32987SH                 X         3         32888      99
NVIDIA CORP               COM         67066G104          162      8629SH                      X    3           710    7707      212
NYMEX HOLDINGS INC        COM         62948N104         1309     15500SH                 X         2         15500
NYMEX HOLDINGS INC        COM         62948N104           11       120SH                 X         3           120
NYSE EURONEXT             COM         629491101         2026     40000SH                 X         2         40000
NYSE EURONEXT             COM         629491101          473      9328SH                 X         3          9210     118
NYSE EURONEXT             COM         629491101           27       534SH                      X    3                   534
OCCIDENTAL PETE CORP      COM         674599105           63       700SH                 X        1 3          700
OCCIDENTAL PETE CORP      COM         674599105         3612     40197SH                 X         3         39532     286      379
OCCIDENTAL PETE CORP      COM         674599105          907     10092SH                      X    3                 10092
OCEANEERING INTL INC      COM         675232102          131      1700SH                 X         3          1373              327
OCEANEERING INTL INC      COM         675232102          559      7255SH                      X    3            39    7216
OCULUS INNVT SCIENCES     COM         67575P108          113     47017SH                 X         2         47017
OCULUS INNVT SCIENCES     COM         67575P108            2      1000SH                 X         3          1000
OFFICEMAX INC DEL         COM         67622P101         1148     82600SH                 X         2         82600
OFFICEMAX INC DEL         COM         67622P101          104      7500SH                 X         3          7500
OGE ENERGY CORP           COM         670837103          233      7348SH                 X         3          7348
OGE ENERGY CORP           COM         670837103           18       565SH                      X    3                   565
OIL STS INTL INC          COM         678026105           52       820SH                 X         3           820
OIL STS INTL INC          COM         678026105          166      2624SH                      X    3                  2624
OLD NATL BANCORP IND      COM         680033107          103      7245SH                 X         3          7245
OLD NATL BANCORP IND      COM         680033107           79      5530SH                      X    3                  5530
OLD REP INTL CORP         COM         680223104          266     22456SH                 X         3         19377             3079
OLD REP INTL CORP         COM         680223104          277     23401SH                      X    3          1406   11020    10975
OMNICOM GROUP INC         COM         681919106          444      9900SH                 X        1 3         9900
OMNICOM GROUP INC         COM         681919106           72      1600SH                      X   1 3         1500     100
OMNICOM GROUP INC         COM         681919106         2328     51880SH                 X         2         51880
OMNICOM GROUP INC         COM         681919106          919     20471SH                 X         3         20272      58      141
OMNICOM GROUP INC         COM         681919106           57      1264SH                      X    3           510     603      151
OMNITURE INC              COM         68212S109         2444    131610SH                 X         2        131610
OMNITURE INC              COM         68212S109          454     24438SH                 X         3         24438
ON ASSIGNMENT INC         COM         682159108         3722    464160SH                 X         2        464160
ON ASSIGNMENT INC         COM         682159108          683     85205SH                 X         3         84622              583





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
ONEOK INC NEW             COM         682680103         7071    144807SH                 X         2        144807
ONEOK INC NEW             COM         682680103         1115     22840SH                 X         3         19153             3687
ONEOK INC NEW             COM         682680103           17       353SH                      X    3                   353
ONYX PHARMACEUTICALS      COM         683399109          684     19227SH                 X         3         19227
ONYX PHARMACEUTICALS      COM         683399109           11       320SH                      X    3                   320
ORACLE CORP               COM         68389X105           15       700SH                 X        1 3          700
ORACLE CORP               COM         68389X105         5215    248350SH                 X         2        248350
ORACLE CORP               COM         68389X105         8004    381109SH                 X         3        357338    3649    20122
ORACLE CORP               COM         68389X105         1994     94938SH                      X    3         39749   30568    24621
ORIENT-EXPRESS HOTELS     CL A        G67743107          378      8700SH                 X         3          8700
OSHKOSH CORP              COM         688239201          320     15474SH                 X         3         15235              239
OSHKOSH CORP              COM         688239201          938     45330SH                      X    3                 45330
OTTER TAIL CORP           COM         689648103          593     15284SH                 X         3         15284
OTTER TAIL CORP           COM         689648103           32       817SH                      X    3                   817
OWENS & MINOR INC NEW     COM         690732102          158      3466SH                 X         3          2771              695
OWENS & MINOR INC NEW     COM         690732102           67      1460SH                      X    3                           1460
OWENS ILL INC             COM NEW     690768403         3173     76100SH                 X         2         76100
OWENS ILL INC             COM NEW     690768403          238      5710SH                 X         3          5581              129
OWENS ILL INC             COM NEW     690768403           20       489SH                      X    3                   489
PACCAR INC                COM         693718108           40       952SH                 X         2           952
PACCAR INC                COM         693718108         2466     58954SH                 X         3         56621     949     1384
PACCAR INC                COM         693718108          195      4673SH                      X    3                  4673
PARAMETRIC TECHNOLOGY     COM NEW     699173209         4976    298450SH                 X         2        298450
PARAMETRIC TECHNOLOGY     COM NEW     699173209          516     30966SH                 X         3         30425              541
PARAMETRIC TECHNOLOGY     COM NEW     699173209           20      1225SH                      X    3                           1225
PAREXEL INTL CORP         COM         699462107         2978    113200SH                 X         2        113200
PAREXEL INTL CORP         COM         699462107          590     22403SH                 X         3         22163              240
PARKER HANNIFIN CORP      COM         701094104           45       625SH                      X   1 3          625
PARKER HANNIFIN CORP      COM         701094104         3773     52900SH                 X         2         52900
PARKER HANNIFIN CORP      COM         701094104          455      6374SH                      X    3          1812    4058      504
PARKER HANNIFIN CORP      COM         701094104         3142     44052SH                 X         3         42859     562      631
PARTNERRE LTD             COM         G6852T105         6103     88290SH                 X         2         88290
PARTNERRE LTD             COM         G6852T105         1344     19435SH                 X         3         16495             2940
PATRIOT COAL CORP         COM         70336T104           35       228SH                      X    3                   128      100
PATRIOT COAL CORP         COM         70336T104          170      1106SH                 X         3           966              140
PATTERSON COMPANIES INC   COM         703395103          213      7235SH                 X         3          7235
PATTERSON COMPANIES INC   COM         703395103           18       600SH                      X    3                            600
PAYCHEX INC               COM         704326107           37      1175SH                 X        1 3         1175
PAYCHEX INC               COM         704326107          441     14103SH                 X         3         13635     266      202
PAYCHEX INC               COM         704326107           86      2764SH                      X    3                  2764
PEABODY ENERGY CORP       COM         704549104          689      7825SH                 X         3          7825
PEABODY ENERGY CORP       COM         704549104          830      9422SH                      X    3           660    7314     1448
PENGROWTH ENERGY TR       TR UNIT NEW 706902509          241     12005SH                 X         3         12005
PENNEY J C INC            COM         708160106            3        80SH                 X         2            80
PENNEY J C INC            COM         708160106         1604     44199SH                 X         3         39768     165     4266
PENNEY J C INC            COM         708160106         1023     28189SH                      X    3          1270   19901     7018
PEPCO HOLDINGS INC        COM         713291102         1028     40073SH                 X         3         39896              177
PEPCO HOLDINGS INC        COM         713291102           29      1133SH                      X    3           438     695
PEPSI BOTTLING GROUP      COM         713409100          347     12440SH                 X         3         12209     231
PEPSI BOTTLING GROUP      COM         713409100            6       227SH                      X    3                   227
PEPSICO INC               COM         713448108         1403     22062SH                 X        1 3        22012      50
PEPSICO INC               COM         713448108          362      5685SH                      X   1 3         5035     650
PEPSICO INC               COM         713448108         5920     93095SH                 X         2         93095
PEPSICO INC               COM         713448108        24593    386736SH                 X         3        366446   12186     8104
PEPSICO INC               COM         713448108         6182     97214SH                      X    3         20746   68211     8257
PERKINELMER INC           COM         714046109          357     12817SH                 X         3         12424     123      270
PERKINELMER INC           COM         714046109           11       407SH                      X    3                   407
PEROT SYS CORP            CL A        714265105          294     19600SH                 X         3         16008             3592
PEROT SYS CORP            CL A        714265105           48      3200SH                      X    3                  3200
PERRIGO CO                COM         714290103         4972    156500SH                 X         2        156500
PERRIGO CO                COM         714290103          812     25571SH                 X         3         25401              170
PETRO-CDA                 COM         71644E102           17       304SH                 X         3           304
PETRO-CDA                 COM         71644E102          289      5192SH                      X    3                  5192
PETROHAWK ENERGY CORP     COM         716495106         5261    113600SH                 X         2        113600
PETROHAWK ENERGY CORP     COM         716495106          535     11548SH                 X         3         11548
PETROHAWK ENERGY CORP     COM         716495106           49      1060SH                      X    3                  1060
PETROLEO BRASILEIRO SA    SPON ADR    71654V408          522      7369SH                 X         3          6560              809
PETROLEO BRASILEIRO SA    SPON ADR    71654V408          292      4124SH                      X    3                  1474     2650
PETROLEUM DEV CORP        COM         716578109         4782     71920SH                 X         2         71920
PETROLEUM DEV CORP        COM         716578109          871     13101SH                 X         3         12978              123
PFIZER INC                COM         717081103          212     12138SH                 X        1 3        12138
PFIZER INC                COM         717081103           14       780SH                      X   1 3          680     100
PFIZER INC                COM         717081103         2627    150410SH                 X         2        150410
PFIZER INC                COM         717081103         3370    192924SH                      X    3         28984  157435     6505
PFIZER INC                COM         717081103        18909   1082345SH                 X         3       1037477   29500    15368
PG&E CORP                 COM         69331C108          688     17339SH                 X         3         17038     189      112
PG&E CORP                 COM         69331C108           57      1442SH                      X    3                  1442
PHARMERICA CORP           COM         71714F104          240     10624SH                 X         3         10116              508
PHILIP MORRIS INTL INC    COM         718172109           32       650SH                 X        1 3          650
PHILIP MORRIS INTL INC    COM         718172109         3817     77280SH                 X         2         77280
PHILIP MORRIS INTL INC    COM         718172109        11271    228204SH                      X    3         16621  209802     1781
PHILIP MORRIS INTL INC    COM         718172109        23701    479884SH                 X         3        472154    4290     3440
PILGRIMS PRIDE CORP       COM         721467108         2604    200437SH                 X         2        200437
PILGRIMS PRIDE CORP       COM         721467108          494     38007SH                 X         3         32107             5900
PINNACLE WEST CAP CORP    COM         723484101           73      2380SH                 X         2          2380
PINNACLE WEST CAP CORP    COM         723484101         1793     58286SH                 X         3         57496     379      411
PINNACLE WEST CAP CORP    COM         723484101           44      1431SH                      X    3           522     909
PIONEER NAT RES CO        COM         723787107          225      2873SH                 X         3          2591              282
PITNEY BOWES INC          COM         724479100          154      4520SH                 X         2          4520





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
PITNEY BOWES INC          COM         724479100         3861    113221SH                 X         3        112235      83      903
PITNEY BOWES INC          COM         724479100          211      6190SH                      X    3          1071    5119
PLAINS ALL AMERN PIPELN   LTD PRT     726503105           68      1500SH                 X        1 3         1500
PLAINS ALL AMERN PIPELN   LTD PRT     726503105            8       169SH                 X         2           169
PLAINS ALL AMERN PIPELN   LTD PRT     726503105          153      3387SH                 X         3          3387
PLAINS ALL AMERN PIPELN   LTD PRT     726503105           53      1180SH                      X    3                           1180
PLAINS EXPL& PRODTN CO    COM         726505100          533      7301SH                 X         3          7089              212
PLAINS EXPL& PRODTN CO    COM         726505100           86      1180SH                      X    3                           1180
PLATINUM UNDERWRITER      COM         G7127P100          250      7675SH                 X         3          7080              595
PLATINUM UNDERWRITER      COM         G7127P100           63      1940SH                      X    3                   370     1570
PLUM CREEK TIMBER CO      COM         729251108          905     21199SH                      X    3           278   20621      300
PLUM CREEK TIMBER CO      COM         729251108         1608     37652SH                 X         3         36207     145     1300
PNC FINL SVCS GROUP INC   COM         693475105         1342     23500SH                 X         2         23500
PNC FINL SVCS GROUP INC   COM         693475105         3137     54936SH                 X         3         54658              278
PNC FINL SVCS GROUP INC   COM         693475105          455      7968SH                      X    3           481    7487
POLYPORE INTL INC         COM         73179V103         4881    192670SH                 X         2        192670
POLYPORE INTL INC         COM         73179V103         1000     39477SH                 X         3         39477
POPULAR INC               COM         733174106           74     11200SH                      X   1 3        11200
POPULAR INC               COM         733174106           31      4720SH                 X         3          4720
POTASH CORP SASK INC      COM         73755L107          942      4122SH                 X         3          3868              254
POTASH CORP SASK INC      COM         73755L107          402      1759SH                      X    3                   923      836
POWELL INDS INC           COM         739128106         1205     23900SH                      X    3                 23900
POWERSHARES DB CMDTY      UT BENINT   73935S105          823     18383SH                 X         3         18383
POWERSHARES DB CMDTY      UT BENINT   73935S105           19       415SH                      X    3                   415
POWERSHARES ETF TRUST     FINL PFD    73935X229          223     11910SH                 X         3         11910
POWERSHARES ETF TRUST     WNDRHLLCLN  73935X500         1617     82718SH                 X         3         82718
POWERSHARES ETF TRUST     WNDRHLLCLN  73935X500           32      1640SH                      X    3                  1640
POWERSHARES ETF TRUST     WATER RESC  73935X575          488     23577SH                 X         3         23577
POWERSHARES ETF TRUST     WATER RESC  73935X575           21      1000SH                      X    3                  1000
POWERSHARES ETF TRUST     FTSE 1000   73935X583         6045    124129SH                 X         3        113893     400     9836
POWERSHARES ETF TRUST     FTSE 1000   73935X583          123      2532SH                      X    3                  2532
POWERSHARES ETF TRUST     DYNBIOT&GEN 73935X856          188     10920SH                 X         3         10920
POWERSHARES QQQ TRUST     UNIT SER 1  73935A104            9       200SH                 X        1 3          200
POWERSHARES QQQ TRUST     UNIT SER 1  73935A104         1280     28336SH                 X         3         28286               50
POWERSHARES QQQ TRUST     UNIT SER 1  73935A104           58      1293SH                      X    3                  1293
PPG INDS INC              COM         693506107         4488     78232SH                 X         2         78232
PPG INDS INC              COM         693506107         3238     56435SH                 X         3         53471     114     2850
PPG INDS INC              COM         693506107          452      7882SH                      X    3          4977    2905
PPL CORP                  COM         69351T106         8180    156501SH                 X         2        156501
PPL CORP                  COM         69351T106         1791     34261SH                 X         3         29811             4450
PPL CORP                  COM         69351T106           12       234SH                      X    3                   234
PRAXAIR INC               COM         74005P104           19       200SH                 X        1 3          200
PRAXAIR INC               COM         74005P104         5353     56800SH                 X         2         56800
PRAXAIR INC               COM         74005P104         1988     21092SH                      X    3         10300    3813     6979
PRAXAIR INC               COM         74005P104         6502     68993SH                 X         3         60877      24     8092
PRECISION CASTPARTS       COM         740189105         2747     28500SH                 X         2         28500
PRECISION CASTPARTS       COM         740189105         1379     14313SH                 X         3         10674             3639
PRECISION CASTPARTS       COM         740189105          750      7781SH                      X    3          1132    1018     5631
PREMIERE GLOBAL SVCS      COM         740585104         4225    289760SH                 X         2        289760
PREMIERE GLOBAL SVCS      COM         740585104          773     53026SH                 X         3         53026
PRICE T ROWE GROUP INC    COM         74144T108            7       120SH                 X         2           120
PRICE T ROWE GROUP INC    COM         74144T108         1547     27395SH                 X         3         27269      52       74
PRICE T ROWE GROUP INC    COM         74144T108          213      3765SH                      X    3          2625     325      815
PRINCIPAL FINANCIAL       COM         74251V102         4516    107612SH                 X         2        107612
PRINCIPAL FINANCIAL       COM         74251V102         1579     37614SH                 X         3         34117      29     3468
PRINCIPAL FINANCIAL       COM         74251V102           10       250SH                      X    3                   250
PROASSURANCE CORP         COM         74267C106          318      6614SH                 X         3          6509              105
PROASSURANCE CORP         COM         74267C106           64      1325SH                      X    3                  1325
PROCTER & GAMBLE CO       COM         742718109         1917     31525SH                 X        1 3        31525
PROCTER & GAMBLE CO       COM         742718109          246      4042SH                      X   1 3         3242     800
PROCTER & GAMBLE CO       COM         742718109        10496    172590SH                 X         2        172590
PROCTER & GAMBLE CO       COM         742718109         9332    153463SH                      X    3         24765  119112     9586
PROCTER & GAMBLE CO       COM         742718109        45079    741314SH                 X         3        710794   14954    15566
PROGRESS ENERGY INC       COM         743263105         1942     46445SH                 X         2         46445
PROGRESS ENERGY INC       COM         743263105         5533    132252SH                 X         3        130216     491     1545
PROGRESS ENERGY INC       COM         743263105          184      4398SH                      X    3          1224    3174
PROGRESSIVE CORP OHIO     COM         743315103          164      8734SH                 X         2          8734
PROGRESSIVE CORP OHIO     COM         743315103          217     11567SH                      X    3                  8595     2972
PROGRESSIVE CORP OHIO     COM         743315103         4623    246975SH                 X         3        238106    3049     5820
PROLOGIS                  SH BEN INT  743410102         2462     45300SH                 X         2         45300
PROLOGIS                  SH BEN INT  743410102         3201     58888SH                 X         3         58133     282      473
PROLOGIS                  SH BEN INT  743410102           93      1715SH                      X    3           544    1171
PROS HOLDINGS INC         COM         74346Y103         1824    162420SH                 X         2        162420
PROS HOLDINGS INC         COM         74346Y103          330     29374SH                 X         3         29374
PROSPECT STREET HI INC    COM         743586406           40     15491SH                 X         3         15491
PROTECTIVE LIFE CORP      COM         743674103         5250    137993SH                 X         2        137993
PROTECTIVE LIFE CORP      COM         743674103         1224     32163SH                 X         3         26178             5985
PROTECTIVE LIFE CORP      COM         743674103           74      1950SH                      X    3                  1950
PRUDENTIAL FINL INC       COM         744320102          257      4309SH                 X        1 3         4309
PRUDENTIAL FINL INC       COM         744320102          135      2261SH                      X   1 3         2261
PRUDENTIAL FINL INC       COM         744320102          956     16000SH                 X         2         16000
PRUDENTIAL FINL INC       COM         744320102         1500     25113SH                 X         3         24806     163      144
PRUDENTIAL FINL INC       COM         744320102           43       713SH                      X    3           143     570
PRUDENTIAL PLC            ADR         74435K204           53      2499SH                 X         3          2499
PRUDENTIAL PLC            ADR         74435K204          156      7350SH                      X    3                  7350
PUBLIC STORAGE            COM         74460D109           48       600SH                 X        1 3          600
PUBLIC STORAGE            COM         74460D109          687      8505SH                 X         3          8259      86      160
PUBLIC STORAGE            COM         74460D109           20       253SH                      X    3                   253
PUBLIC SVC ENTERPRISE     COM         744573106           38       818SH                      X   1 3          818





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
PUBLIC SVC ENTERPRISE     COM         744573106          282      6132SH                      X    3                  5832      300
PUBLIC SVC ENTERPRISE     COM         744573106          875     19060SH                 X         3         17510             1550
QIAGEN N V                ORD         N72482107         2206    109600SH                 X         2        109600
QIAGEN N V                ORD         N72482107           65      3215SH                 X         3          2305              910
QLOGIC CORP               COM         747277101          155     10651SH                 X         3         10651
QLOGIC CORP               COM         747277101            4       243SH                      X    3                   243
QUALCOMM INC              COM         747525103           53      1200SH                 X        1 3         1200
QUALCOMM INC              COM         747525103          183      4120SH                 X         2          4120
QUALCOMM INC              COM         747525103        13610    306729SH                 X         3        297522    6032     3175
QUALCOMM INC              COM         747525103         1638     36917SH                      X    3           100   33456     3361
QUANTA SVCS INC           COM         74762E102         3467    104200SH                 X         2        104200
QUANTA SVCS INC           COM         74762E102          250      7515SH                 X         3          6870              645
QUANTA SVCS INC           COM         74762E102           34      1014SH                      X    3                  1014
QUEST DIAGNOSTICS INC     COM         74834L100            2        45SH                 X         2            45
QUEST DIAGNOSTICS INC     COM         74834L100          190      3917SH                 X         3          3854               63
QUEST DIAGNOSTICS INC     COM         74834L100          300      6194SH                      X    3                  3539     2655
QUEST RESOURCE CORP       COM NEW     748349305         5182    454120SH                 X         2        454120
QUEST RESOURCE CORP       COM NEW     748349305          932     81652SH                 X         3         81652
QUESTAR CORP              COM         748356102          494      6960SH                 X         3          6845     115
QUESTAR CORP              COM         748356102          164      2310SH                      X    3                  1694      616
QUESTCOR PHARMACEUTICAL   COM         74835Y101         4393    946800SH                 X         2        946800
QUESTCOR PHARMACEUTICAL   COM         74835Y101          805    173490SH                 X         3        173490
QUICKSILVER RESOURCES     COM         74837R104         5282    136700SH                 X         2        136700
QUICKSILVER RESOURCES     COM         74837R104          196      5065SH                 X         3          4693              372
QUICKSILVER RESOURCES     COM         74837R104           74      1914SH                      X    3                   114     1800
QWEST COMMUNICATIONS      COM         749121109          202     51296SH                 X         3         49701    1595
QWEST COMMUNICATIONS      COM         749121109            2       570SH                      X    3                   570
RANGE RES CORP            COM         75281A109         1603     24462SH                 X         3         24462
RANGE RES CORP            COM         75281A109            8       118SH                      X    3                   118
RAYONIER INC              COM         754907103          100      2351SH                 X         3          2226              125
RAYONIER INC              COM         754907103          425     10000SH                      X    3                 10000
RAYTHEON CO               COM NEW     755111507          304      5400SH                 X        1 3         5400
RAYTHEON CO               COM NEW     755111507           23       400SH                      X   1 3          400
RAYTHEON CO               COM NEW     755111507         2553     45360SH                 X         2         45360
RAYTHEON CO               COM NEW     755111507        10793    191778SH                 X         3        186916    3273     1589
RAYTHEON CO               COM NEW     755111507          703     12487SH                      X    3           629   11858
REALTY INCOME CORP        COM         756109104          272     11945SH                 X         3         11563              382
REGAL BELOIT CORP         COM         758750103        27363    647652SH                 X         3        647652
REGAL BELOIT CORP         COM         758750103          321      7593SH                      X    3                  7593
REGIONS FINANCIAL CORP    COM         7591EP100          703     64423SH                 X         3         64010     411        2
REGIONS FINANCIAL CORP    COM         7591EP100            2       170SH                      X    3                   170
RELIANCE STEEL&ALUMINUM   COM         759509102         1735     22500SH                 X         2         22500
RELIANCE STEEL&ALUMINUM   COM         759509102          136      1764SH                 X         3          1606              158
RENTECH INC               COM         760112102           19     10000SH                 X         3         10000
REPUBLIC SVCS INC         COM         760759100           13       450SH                 X        1 3          450
REPUBLIC SVCS INC         COM         760759100         4472    150595SH                 X         2        150595
REPUBLIC SVCS INC         COM         760759100          981     33027SH                 X         3         28038             4989
RESEARCH IN MOTION LTD    COM         760975102         2932     25080SH                 X         3         20541     300     4239
RESEARCH IN MOTION LTD    COM         760975102          866      7408SH                      X    3           500    2088     4820
REYNOLDS AMERICAN INC     COM         761713106         3815     81748SH                 X         3         80393     277     1078
REYNOLDS AMERICAN INC     COM         761713106           78      1676SH                      X    3           923     753
RISKMETRICS GROUP INC     COM         767735103         2924    148880SH                 X         2        148880
RISKMETRICS GROUP INC     COM         767735103          531     27028SH                 X         3         27028
ROBERT HALF INTL INC      COM         770323103          248     10362SH                      X    3                  5862     4500
ROBERT HALF INTL INC      COM         770323103          854     35632SH                 X         3         13257            22375
ROCK-TENN CO              CL A        772739207          255      8488SH                 X         3          8215              273
ROCKWELL AUTOMATION INC   COM         773903109          799     18278SH                 X         3         17984     106      188
ROCKWELL AUTOMATION INC   COM         773903109          234      5350SH                      X    3           375    2075     2900
ROCKWELL COLLINS INC      COM         774341101         1751     36500SH                 X         2         36500
ROCKWELL COLLINS INC      COM         774341101          831     17340SH                 X         3         17110      47      183
ROCKWELL COLLINS INC      COM         774341101          163      3397SH                      X    3           300    3097
ROGERS CORP               COM         775133101          229      6100SH                 X         3          6100
ROHM & HAAS CO            COM         775371107          110      2370SH                 X         2          2370
ROHM & HAAS CO            COM         775371107         1650     35535SH                 X         3         35241     137      157
ROHM & HAAS CO            COM         775371107           81      1751SH                      X    3          1012     739
ROPER INDS INC NEW        COM         776696106         2003     30400SH                 X         2         30400
ROPER INDS INC NEW        COM         776696106           63       959SH                 X         3           793              166
ROSS STORES INC           COM         778296103         2724     76700SH                 X         2         76700
ROSS STORES INC           COM         778296103          128      3587SH                 X         3          3304              283
ROWAN COS INC             COM         779382100          677     14489SH                 X         3         14326     163
ROWAN COS INC             COM         779382100           20       430SH                      X    3                   430
ROYAL BK CDA MONTREAL     COM         780087102          121      2705SH                 X         3          2127              578
ROYAL BK CDA MONTREAL     COM         780087102           85      1901SH                      X    3                           1901
ROYAL DUTCH SHELL PLC     SPON ADR    780259107            3        43SH                 X        1 3           43
ROYAL DUTCH SHELL PLC     SPON ADR    780259206          200      2450SH                 X        1 3         2450
ROYAL DUTCH SHELL PLC     SPON ADR    780259107            7        86SH                 X         2            86
ROYAL DUTCH SHELL PLC     SPON ADR    780259107          174      2170SH                 X         3          2170
ROYAL DUTCH SHELL PLC     SPON ADR    780259107          661      8252SH                      X    3                  8252
ROYAL DUTCH SHELL PLC     SPON ADR    780259206         1911     23389SH                      X    3         10930   12309      150
ROYAL DUTCH SHELL PLC     SPON ADR    780259206         7699     94226SH                 X         3         93326              900
RPM INTL INC              COM         749685103           35      1702SH                 X         3          1212              490
RPM INTL INC              COM         749685103          232     11250SH                      X    3                 11250
RTI BIOLOGICS INC         COM         74975N105         2634    301020SH                 X         2        301020
RTI BIOLOGICS INC         COM         74975N105          479     54771SH                 X         3         54771
RYDER SYS INC             COM         783549108          702     10189SH                 X         3          9957     101      131
RYDER SYS INC             COM         783549108           14       207SH                      X    3                   207
RYDEX ETF TRUST           S&P 500 EQ  78355W106         3166     75843SH                 X         3         75843
RYDEX ETF TRUST           S&P 500 EQ  78355W106          108      2584SH                      X    3           829    1755
SAFECO CORP               COM         786429100          101      1500SH                 X        1 3         1500





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
SAFECO CORP               COM         786429100          543      8078SH                 X         3          7845     158       75
SAFECO CORP               COM         786429100           10       149SH                      X    3                   149
SAFEWAY INC               COM NEW     786514208          455     15950SH                 X        1 3        15950
SAFEWAY INC               COM NEW     786514208           59      2050SH                      X   1 3         2050
SAFEWAY INC               COM NEW     786514208         6423    224988SH                 X         2        224988
SAFEWAY INC               COM NEW     786514208         1729     60555SH                 X         3         53055             7500
SAFEWAY INC               COM NEW     786514208           15       540SH                      X    3                   540
SAKS INC                  COM         79377W108          192     17463SH                 X         3         17019              444
SAKS INC                  COM         79377W108            3       315SH                      X    3                   315
SANOFI AVENTIS            SPON ADR    80105N105          299      9002SH                 X         3          9002
SANOFI AVENTIS            SPON ADR    80105N105          675     20318SH                      X    3                 20318
SAP AKTIENGESELLSCHAFT    SPON ADR    803054204          219      4199SH                 X         3          2967             1232
SAP AKTIENGESELLSCHAFT    SPON ADR    803054204          101      1946SH                      X    3                           1946
SARA LEE CORP             COM         803111103           29      2400SH                 X        1 3         2400
SARA LEE CORP             COM         803111103           17      1400SH                      X   1 3         1400
SARA LEE CORP             COM         803111103         1006     82126SH                 X         3         80876     850      400
SARA LEE CORP             COM         803111103          188     15325SH                      X    3          1600   13725
SATYAM COMPUTER SVCS      ADR         804098101           25      1000SH                 X         3          1000
SATYAM COMPUTER SVCS      ADR         804098101          439     17893SH                      X    3                 17893
SBA COMMUNICATIONS CORP   COM         78388J106         3446     95700SH                 X         2         95700
SBA COMMUNICATIONS CORP   COM         78388J106          746     20710SH                 X         3         20566              144
SBA COMMUNICATIONS CORP   COM         78388J106           21       583SH                      X    3                   583
SCANA CORP NEW            COM         80589M102          136      3675SH                 X         3          1158             2517
SCANA CORP NEW            COM         80589M102          143      3855SH                      X    3                   520     3335
SCHEIN HENRY INC          COM         806407102          435      8427SH                 X         3          8049              378
SCHEIN HENRY INC          COM         806407102           21       416SH                      X    3                   416
SCHERING PLOUGH CORP      COM         806605101          180      9150SH                 X        1 3         9150
SCHERING PLOUGH CORP      COM         806605101           10       500SH                      X   1 3          500
SCHERING PLOUGH CORP      COM         806605101         5147    261400SH                 X         2        261400
SCHERING PLOUGH CORP      COM         806605101         1156     58696SH                 X         3         56669     531     1496
SCHERING PLOUGH CORP      COM         806605101          192      9748SH                      X    3          1950    4980     2818
SCHLUMBERGER LTD          COM         806857108         2474     23025SH                 X        1 3        23025
SCHLUMBERGER LTD          COM         806857108          239      2225SH                      X   1 3         1950     275
SCHLUMBERGER LTD          COM         806857108         4318     40200SH                 X         2         40200
SCHLUMBERGER LTD          COM         806857108         3430     31926SH                      X    3         19278   11398     1250
SCHLUMBERGER LTD          COM         806857108        11341    105563SH                 X         3        101921    1477     2165
SCHWAB CHARLES CORP       COM         808513105         3295    160400SH                 X         2        160400
SCHWAB CHARLES CORP       COM         808513105         9401    457712SH                 X         3        443379    8645     5688
SCHWAB CHARLES CORP       COM         808513105          426     20730SH                      X    3                 20730
SCIELE PHARMA INC         COM         808627103          403     20829SH                 X         3         20586              243
SCIELE PHARMA INC         COM         808627103           41      2132SH                      X    3           253    1879
SEAGATE TECHNOLOGY        SHS         G7945J104         2870    150033SH                 X         2        150033
SEAGATE TECHNOLOGY        SHS         G7945J104          636     33250SH                 X         3         28250             5000
SEALED AIR CORP NEW       COM         81211K100         5224    274788SH                 X         2        274788
SEALED AIR CORP NEW       COM         81211K100         1055     55477SH                 X         3         47227             8250
SEALED AIR CORP NEW       COM         81211K100           53      2780SH                      X    3                  2780
SEARS HLDGS CORP          COM         812350106          223      3022SH                 X         3          2939      83
SEARS HLDGS CORP          COM         812350106            2        23SH                      X    3                    23
SELECT SECTOR SPDR TR     SBI ENERGY  81369Y506          287      3249SH                 X         3          3249
SELECT SECTOR SPDR TR     SBI FINL    81369Y605         1644     81148SH                 X         3         80748              400
SELECT SECTOR SPDR TR     SBI TECH    81369Y803          362     15801SH                 X         3         15801
SELECT SECTOR SPDR TR     SBI TECH    81369Y803           73      3178SH                      X    3                  3178
SELECT SECTOR SPDR TR     SBI UTILS   81369Y886          248      6097SH                 X         3          6097
SELECT SECTOR SPDR TR     SBI UTILS   81369Y886           59      1461SH                      X    3                  1461
SEMPRA ENERGY             COM         816851109         6026    106754SH                 X         2        106754
SEMPRA ENERGY             COM         816851109         2097     37136SH                 X         3         33256             3880
SEMPRA ENERGY             COM         816851109           35       624SH                      X    3                   624
SHAW GROUP INC            COM         820280105          218      3535SH                 X         3          3114              421
SHERWIN WILLIAMS CO       COM         824348106            8       175SH                 X        1 3          175
SHERWIN WILLIAMS CO       COM         824348106           14       300SH                      X   1 3                  300
SHERWIN WILLIAMS CO       COM         824348106          195      4245SH                 X         3          4245
SHERWIN WILLIAMS CO       COM         824348106           31       672SH                      X    3                   212      460
SIEMENS A G               SPON ADR    826197501          201      1824SH                 X         3          1570              254
SIEMENS A G               SPON ADR    826197501          653      5931SH                      X    3                  5097      834
SIGMA ALDRICH CORP        COM         826552101         1853     34400SH                 X         2         34400
SIGMA ALDRICH CORP        COM         826552101         1880     34901SH                 X         3         34665      50      186
SIGMA ALDRICH CORP        COM         826552101          302      5606SH                      X    3                  5606
SIMON PPTY GROUP INC      COM         828806109           11       125SH                 X         2           125
SIMON PPTY GROUP INC      COM         828806109         3183     35414SH                 X         3         34721              693
SIMON PPTY GROUP INC      COM         828806109           99      1103SH                      X    3           935     168
SINCLAIR BROADCAST GRP    CL A        829226109          101     13250SH                 X         3         13250
SIRIUS SATELLITE RADIO    COM         82966U103           24     12450SH                 X         3         12450
SJW CORP                  COM         784305104          348     13200SH                      X    3                 13200
SK TELECOM LTD            SPON ADR    78440P108          202      9743SH                      X    3                  9043      700
SK TELECOM LTD            SPON ADR    78440P108          135      6489SH                 X         3          5169             1320
SKYWORKS SOLUTIONS INC    COM         83088M102          132     13422SH                 X         3         12939              483
SMITH A O                 COM         831865209          125      3800SH                 X         3          3800
SMITH A O                 COM         831865209          199      6050SH                      X    3                  6050
SMITH INTL INC            COM         832110100          566      6813SH                 X         3          6813
SMITH INTL INC            COM         832110100          231      2773SH                      X    3                  2485      288
SMUCKER J M CO            COM NEW     832696405            0         4SH                 X        1 3            4
SMUCKER J M CO            COM NEW     832696405          327      8048SH                      X    3            40    8000        8
SMUCKER J M CO            COM NEW     832696405           40       996SH                 X         3           844              152
SNAP ON INC               COM         833034101          476      9156SH                 X        1 3         9056     100
SNAP ON INC               COM         833034101           65      1250SH                      X   1 3         1100     150
SNAP ON INC               COM         833034101           19       357SH                 X         2           357
SNAP ON INC               COM         833034101          229      4400SH                 X         3          3970              430
SNAP ON INC               COM         833034101          490      9418SH                      X    3          7800    1618
SOCIEDAD QUIMICA          SPON ADR    833635105          150      3211SH                 X         3          2552              659





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
SOCIEDAD QUIMICA          SPON ADR    833635105          101      2173SH                      X    3                           2173
SOLERA HOLDINGS INC       COM         83421A104         5435    196480SH                 X         2        196480
SOLERA HOLDINGS INC       COM         83421A104          584     21134SH                 X         3         21134
SOLUTIA INC               COM NEW     834376501          388     30230SH                 X         3         30230
SONOCO PRODS CO           COM         835495102          103      3340SH                 X        1 3         3340
SONOCO PRODS CO           COM         835495102           20       650SH                      X   1 3          650
SONOCO PRODS CO           COM         835495102            3       100SH                 X         2           100
SONOCO PRODS CO           COM         835495102          196      6332SH                 X         3          6192              140
SONOCO PRODS CO           COM         835495102            3       100SH                      X    3                   100
SONY CORP                 ADR NEW     835699307            4       100SH                 X         2           100
SONY CORP                 ADR NEW     835699307          214      4889SH                 X         3          4889
SONY CORP                 ADR NEW     835699307          144      3286SH                      X    3                   516     2770
SOUTH FINL GROUP INC      COM         837841105           86     21887SH                 X         3         21887
SOUTHERN CO               COM         842587107           28       804SH                 X        1 3          804
SOUTHERN CO               COM         842587107           42      1200SH                      X   1 3         1200
SOUTHERN CO               COM         842587107          212      6080SH                 X         2          6080
SOUTHERN CO               COM         842587107         8558    245071SH                 X         3        238493    1886     4692
SOUTHERN CO               COM         842587107          647     18518SH                      X    3          5453    8295     4770
SOUTHERN COPPER CORP      COM         84265V105          114      1073SH                 X         3          1073
SOUTHERN COPPER CORP      COM         84265V105           95       892SH                      X    3                   892
SOUTHWEST AIRLS CO        COM         844741108         1268     97237SH                 X         3         96654     583
SOUTHWEST AIRLS CO        COM         844741108            7       549SH                      X    3                   549
SOUTHWESTERN ENERGY CO    COM         845467109         1428     29988SH                 X         3         29106              882
SOUTHWESTERN ENERGY CO    COM         845467109           26       548SH                      X    3                   548
SPDR GOLD TRUST           GOLD SHS    78463V107          628      6874SH                 X         3          6874
SPDR TR                   UNIT SER 1  78462F103           51       400SH                 X        1 3          400
SPDR TR                   UNIT SER 1  78462F103        28664    223973SH                 X         3        221127    2846
SPDR TR                   UNIT SER 1  78462F103         2832     22126SH                      X    3           120   21970       36
SPECTRA ENERGY CORP       COM         847560109            9       300SH                 X        1 3          300
SPECTRA ENERGY CORP       COM         847560109          306     10630SH                 X         2         10630
SPECTRA ENERGY CORP       COM         847560109          304     10565SH                      X    3          3891    6424      250
SPECTRA ENERGY CORP       COM         847560109         8500    295768SH                 X         3        292812             2956
SPECTRUM BRANDS INC       COM         84762L105          366    143628SH                 X         3        140334             3294
SPRINT NEXTEL CORP        COM SER 1   852061100         1007    106010SH                 X         3        103401     467     2142
SPRINT NEXTEL CORP        COM SER 1   852061100          185     19438SH                      X    3          1463    7990     9985
SPX CORP                  COM         784635104         3754     28500SH                 X         2         28500
SPX CORP                  COM         784635104          249      1891SH                 X         3          1767              124
SPX CORP                  COM         784635104           25       190SH                      X    3                            190
ST JUDE MED INC           COM         790849103          142      3479SH                      X    3           435    2914      130
ST JUDE MED INC           COM         790849103          694     16977SH                 X         3         16653      88      236
ST MARY LD & EXPL CO      COM         792228108         2476     38300SH                 X         2         38300
ST MARY LD & EXPL CO      COM         792228108         8355    129261SH                 X         3        128544              717
ST MARY LD & EXPL CO      COM         792228108           52       800SH                      X    3                   800
STAGE STORES INC          COM NEW     85254C305          165     14128SH                 X         3         12344             1784
STAGE STORES INC          COM NEW     85254C305           35      3020SH                      X    3                           3020
STANCORP FINL GROUP INC   COM         852891100         5497    117052SH                 X         2        117052
STANCORP FINL GROUP INC   COM         852891100         1210     25771SH                 X         3         21946             3825
STANCORP FINL GROUP INC   COM         852891100           24       520SH                      X    3                   520
STAPLES INC               COM         855030102          311     13075SH                      X    3          1000    7278     4797
STAPLES INC               COM         855030102         2080     87599SH                 X         3         64665            22934
STARBUCKS CORP            COM         855244109         1914    121600SH                 X         2        121600
STARBUCKS CORP            COM         855244109          448     28490SH                 X         3         28086      43      361
STARBUCKS CORP            COM         855244109          319     20294SH                      X    3                 20294
STARWOOD HOTELS&RESORTS   COM         85590A401          389      9701SH                 X         3          9553     148
STARWOOD HOTELS&RESORTS   COM         85590A401           12       303SH                      X    3           200     103
STATE STR CORP            COM         857477103         5945     92909SH                 X         2         92909
STATE STR CORP            COM         857477103         2491     38919SH                 X         3         37243             1676
STATE STR CORP            COM         857477103          446      6964SH                      X    3           150    4778     2036
STATOILHYDRO ASA          SPON ADR    85771P102          102      2725SH                 X         3          2725
STATOILHYDRO ASA          SPON ADR    85771P102          179      4793SH                      X    3                  4793
STEEL DYNAMICS INC        COM         858119100         2710     69360SH                 X         2         69360
STEEL DYNAMICS INC        COM         858119100           69      1770SH                      X    3                  1265      505
STEEL DYNAMICS INC        COM         858119100          254      6512SH                 X         3          5281             1231
STERICYCLE INC            COM         858912108          357      6900SH                 X        1 3         6900
STERICYCLE INC            COM         858912108           26       500SH                      X   1 3          500
STERICYCLE INC            COM         858912108         2729     52770SH                 X         2         52770
STERICYCLE INC            COM         858912108         1308     25301SH                 X         3         24520     500      281
STERICYCLE INC            COM         858912108          467      9032SH                      X    3          8200     832
STEWART ENTERPRISES INC   CL A        860370105         2439    338790SH                 X         2        338790
STEWART ENTERPRISES INC   CL A        860370105          430     59664SH                 X         3         59664
STMICROELECTRONICS N V    NY REG      861012102          153     14805SH                 X         3         14805
STMICROELECTRONICS N V    NY REG      861012102            5       480SH                      X    3                   480
STONEMOR PARTNERS L P     COM UNITS   86183Q100          559     31960SH                 X         3         31960
STRYKER CORP              COM         863667101         1008     16025SH                 X        1 3        16025
STRYKER CORP              COM         863667101          121      1925SH                      X   1 3         1450     475
STRYKER CORP              COM         863667101        11806    187753SH                 X         3        185601     436     1716
STRYKER CORP              COM         863667101          642     10204SH                      X    3           250    9954
SUN HEALTHCARE GROUP      COM NEW     866933401         2644    197510SH                 X         2        197510
SUN HEALTHCARE GROUP      COM NEW     866933401          504     37613SH                 X         3         37613
SUN HEALTHCARE GROUP      COM NEW     866933401           13      1002SH                      X    3                  1002
SUN LIFE FINL INC         COM         866796105          118      2875SH                 X        1 3         2875
SUN LIFE FINL INC         COM         866796105           92      2245SH                 X         3          2245
SUN MICROSYSTEMS INC      COM NEW     866810203          109      9975SH                 X         3          8606     569      800
SUN MICROSYSTEMS INC      COM NEW     866810203            1       100SH                      X    3            50      50
SUNCOR ENERGY INC         COM         867229106         1091     18773SH                 X         3         18773
SUNCOR ENERGY INC         COM         867229106          817     14050SH                      X    3          1650   12400
SUNOCO INC                COM         86764P109            2        40SH                 X         2            40
SUNOCO INC                COM         86764P109         1315     32329SH                 X         3         30407     163     1759
SUNOCO INC                COM         86764P109          104      2561SH                      X    3                  2561





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
SUNPOWER CORP             COM CL A    867652109          129      1799SH                      X    3                  1614      185
SUNPOWER CORP             COM CL A    867652109           80      1105SH                 X         3           748              357
SUNTRUST BKS INC          COM         867914103          486     13410SH                 X         3         13117     188      105
SUNTRUST BKS INC          COM         867914103           95      2617SH                      X    3                  2317      300
SUPERIOR BANCORP          COM         86806M106          305     66658SH                 X        1 3        66658
SUPERIOR BANCORP          COM NEW     86806M205          588     69303SH                 X        1 3        69303
SUPERIOR ENERGY SVCS      COM         868157108          321      5830SH                 X         3          5596              234
SUPERIOR ENERGY SVCS      COM         868157108            3        59SH                      X    3                    59
SUPERVALU INC             COM         868536103            8       250SH                 X        1 3          250
SUPERVALU INC             COM         868536103          411     13310SH                 X         3         13261               49
SUPERVALU INC             COM         868536103          156      5040SH                      X    3           400     910     3730
SYBASE INC                COM         871130100         2465     83800SH                 X         2         83800
SYBASE INC                COM         871130100           85      2876SH                 X         3          2656              220
SYMANTEC CORP             COM         871503108         5749    297107SH                 X         2        297107
SYMANTEC CORP             COM         871503108           43      2226SH                      X    3                   688     1538
SYMANTEC CORP             COM         871503108         1282     66291SH                 X         3         61688     520     4083
SYNGENTA AG               SPON ADR    87160A100         3863     59700SH                 X         2         59700
SYNGENTA AG               SPON ADR    87160A100          556      8595SH                 X         3          8282              313
SYNGENTA AG               SPON ADR    87160A100          109      1690SH                      X    3                   871      819
SYNIVERSE HLDGS INC       COM         87163F106         2070    127780SH                 X         2        127780
SYNIVERSE HLDGS INC       COM         87163F106          623     38461SH                 X         3         38461
SYNOPSYS INC              COM         871607107         6703    280435SH                 X         2        280435
SYNOPSYS INC              COM         871607107          787     32930SH                 X         3         28166             4764
SYNOVUS FINL CORP         COM         87161C105           41      4717SH                 X         3          4098              619
SYNOVUS FINL CORP         COM         87161C105          295     33783SH                      X    3                 33783
SYSCO CORP                COM         871829107            4       150SH                 X         2           150
SYSCO CORP                COM         871829107         1147     41708SH                      X    3          2271   37200     2237
SYSCO CORP                COM         871829107         2059     74850SH                 X         3         71105     465     3280
TAIWAN SEMICONDUCTOR      SPON ADR    874039100          183     16814SH                 X         3         14350             2464
TAIWAN SEMICONDUCTOR      SPON ADR    874039100          103      9486SH                      X    3                  1414     8072
TALISMAN ENERGY INC       COM         87425E103          177      7977SH                 X         3          7977
TALISMAN ENERGY INC       COM         87425E103          275     12438SH                      X    3          2160    9738      540
TARGET CORP               COM         87612E106          412      8865SH                 X        1 3         8865
TARGET CORP               COM         87612E106           64      1375SH                      X   1 3          950     425
TARGET CORP               COM         87612E106         1799     38704SH                      X    3         26220   11584      900
TARGET CORP               COM         87612E106         6627    142547SH                 X         3        139840     701     2006
TASEKO MINES LTD          COM         876511106         5063    988700SH                 X         2        988700
TASEKO MINES LTD          COM         876511106          920    179811SH                 X         3        179811
TEAM FINANCIAL INC        COM         87815X109          102     17000SH                 X         3             0            17000
TECHNE CORP               COM         878377100          158      2046SH                 X         3          1966               80
TECHNE CORP               COM         878377100          387      5000SH                      X    3                  5000
TECO ENERGY INC           COM         872375100           11       500SH                 X        1 3          500
TECO ENERGY INC           COM         872375100          214      9942SH                 X         3          9942
TECO ENERGY INC           COM         872375100           13       600SH                      X    3                   600
TEKELEC                   COM         879101103          293     19900SH                 X         3         19900
TELECOM ITALIA SPA        SPON ADR    87927Y201          578     35829SH                      X    3                 35829
TELEFONICA S A            SPON ADR    879382208          259      3252SH                 X         3          2869              383
TELEFONICA S A            SPON ADR    879382208          125      1572SH                      X    3                   316     1256
TELLABS INC               COM         879664100            2       500SH                 X        1 3          500
TELLABS INC               COM         879664100          102     21946SH                 X         3         21946
TELLABS INC               COM         879664100           22      4639SH                      X    3                  4639
TENARIS S A               SPON ADR    88031M109         3598     48300SH                 X         2         48300
TENARIS S A               SPON ADR    88031M109           56       753SH                 X         3           753
TENARIS S A               SPON ADR    88031M109           92      1230SH                      X    3                           1230
TERADATA CORP DEL         COM         88076W103          400     17296SH                 X         3         17011     285
TERADATA CORP DEL         COM         88076W103          103      4463SH                      X    3                  3958      505
TEREX CORP NEW            COM         880779103           38       740SH                      X    3                   315      425
TEREX CORP NEW            COM         880779103          200      3896SH                 X         3          3422              474
TERRA NITROGEN CO L P     COM UNIT    881005201          273      2100SH                 X         3          2100
TEVA PHARMACEUTICAL       ADR         881624209         1438     31400SH                 X         2         31400
TEVA PHARMACEUTICAL       ADR         881624209         2189     47793SH                 X         3         46945              848
TEVA PHARMACEUTICAL       ADR         881624209         1036     22630SH                      X    3         15230    3105     4295
TEXAS INSTRS INC          COM         882508104         2523     89600SH                 X         2         89600
TEXAS INSTRS INC          COM         882508104         1800     63907SH                 X         3         62137    1127      643
TEXAS INSTRS INC          COM         882508104          740     26285SH                      X    3           745   25540
TEXTRON INC               COM         883203101           53      1100SH                 X        1 3         1100
TEXTRON INC               COM         883203101         4463     93113SH                 X         2         93113
TEXTRON INC               COM         883203101          831     17322SH                 X         3         15119             2203
TEXTRON INC               COM         883203101          280      5838SH                      X    3                  3256     2582
THERMO FISHER SCIENTIF    COM         883556102        14221    255167SH                 X         2        255167
THERMO FISHER SCIENTIF    COM         883556102         3667     65801SH                 X         3         53278      57    12466
THERMO FISHER SCIENTIF    COM         883556102         1024     18380SH                      X    3          1240    2820    14320
TIME WARNER INC           COM         887317105           10       700SH                      X   1 3          700
TIME WARNER INC           COM         887317105         1960    132410SH                 X         2        132410
TIME WARNER INC           COM         887317105          886     59858SH                      X    3          1530   40736    17592
TIME WARNER INC           COM         887317105         7772    525135SH                 X         3        498075    7423    19637
TITAN INTL INC ILL        COM         88830M102         4339    121790SH                 X         2        121790
TITAN INTL INC ILL        COM         88830M102          797     22374SH                 X         3         22374
TITAN MACHY INC           COM         88830R101         3534    112830SH                 X         2        112830
TITAN MACHY INC           COM         88830R101          647     20648SH                 X         3         20648
TITANIUM METALS CORP      COM NEW     888339207           11       759SH                 X         3           759
TITANIUM METALS CORP      COM NEW     888339207          141     10046SH                      X    3                    46    10000
TJX COS INC NEW           COM         872540109         7939    252259SH                 X         2        252259
TJX COS INC NEW           COM         872540109         1962     62346SH                 X         3         56836     114     5396
TJX COS INC NEW           COM         872540109           72      2283SH                      X    3                  2283
TNS INC                   COM         872960109         5827    243200SH                 X         2        243200
TNS INC                   COM         872960109         1056     44071SH                 X         3         44071
TOLL BROTHERS INC         COM         889478103         1553     82922SH                 X         2         82922
TOLL BROTHERS INC         COM         889478103          353     18854SH                 X         3         15818             3036





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
TOMKINS PLC               SPON ADR    890030208          205     16903SH                      X    3                 16903
TOMOTHERAPY INC           COM         890088107          112     12558SH                 X         3         12558
TOMOTHERAPY INC           COM         890088107           12      1300SH                      X    3                   200     1100
TORCHMARK CORP            COM         891027104          546      9303SH                 X         3          9109      39      155
TORCHMARK CORP            COM         891027104           12       198SH                      X    3                   198
TORONTO DOMINION BK ONT   COM NEW     891160509          141      2265SH                 X         3          1843              422
TORONTO DOMINION BK ONT   COM NEW     891160509           86      1387SH                      X    3                           1387
TOTAL S A                 SPON ADR    89151E109          330      3871SH                 X         3          3506              365
TOTAL S A                 SPON ADR    89151E109          335      3934SH                      X    3                  2737     1197
TOTAL SYS SVCS INC        COM         891906109           50      2264SH                 X         3          2264
TOTAL SYS SVCS INC        COM         891906109          211      9505SH                      X    3                  9505
TOYOTA MOTOR CORP         SPON ADR    892331307           30       318SH                 X         3           318
TOYOTA MOTOR CORP         SPON ADR    892331307          183      1949SH                      X    3                  1949
TRACTOR SUPPLY CO         COM         892356106         1635     56300SH                 X         2         56300
TRACTOR SUPPLY CO         COM         892356106           26       893SH                 X         3           893
TRANSACT TECHNOLOGIES     COM         892918103          330     39868SH                 X         3         39868
TRANSOCEAN INC NEW        SHS         G90073100           43       280SH                 X        1 3          280
TRANSOCEAN INC NEW        SHS         G90073100         4697     30818SH                 X         2         30818
TRANSOCEAN INC NEW        SHS         G90073100        14464     94917SH                 X         3         87399    2395     5123
TRANSOCEAN INC NEW        SHS         G90073100         3371     22122SH                      X    3          4559   12191     5372
TRAVELERS COMPANIES INC   COM         89417E109           14       314SH                 X        1 3          314
TRAVELERS COMPANIES INC   COM         89417E109         6870    158300SH                 X         2        158300
TRAVELERS COMPANIES INC   COM         89417E109         1217     28046SH                 X         3         27708     153      185
TRAVELERS COMPANIES INC   COM         89417E109          285      6576SH                      X    3           510    3188     2878
TREEHOUSE FOODS INC       COM         89469A104         3682    151750SH                 X         2        151750
TREEHOUSE FOODS INC       COM         89469A104          716     29544SH                 X         3         28997              547
TUPPERWARE BRANDS CORP    COM         899896104        10177    297380SH                 X         2        297380
TUPPERWARE BRANDS CORP    COM         899896104          463     13526SH                      X    3                 12676      850
TUPPERWARE BRANDS CORP    COM         899896104         1385     40489SH                 X         3         39634              855
TWIN DISC INC             COM         901476101          264     12592SH                      X    3          3360    9232
TXCO RES INC              COM         87311M102         5043    428860SH                 X         2        428860
TXCO RES INC              COM         87311M102          923     78407SH                 X         3         78407
TYCO ELECTRONICS LTD      COM NEW     G9144P105         2561     71500SH                 X         2         71500
TYCO ELECTRONICS LTD      COM NEW     G9144P105          313      8740SH                      X    3                  5240     3500
TYCO ELECTRONICS LTD      COM NEW     G9144P105         1511     42167SH                 X         3         35918             6249
TYCO INTL LTD BERMUDA     SHS         G9143X208          273      6817SH                      X    3                  3952     2865
TYCO INTL LTD BERMUDA     SHS         G9143X208         1244     31081SH                 X         3         26492             4589
TYLER TECHNOLOGIES INC    COM         902252105         1743    128440SH                 X         2        128440
TYLER TECHNOLOGIES INC    COM         902252105          323     23750SH                 X         3         23380              370
TYSON FOODS INC           CL A        902494103          171     11467SH                 X         3         11467
TYSON FOODS INC           CL A        902494103           30      2009SH                      X    3                   239     1770
UBS AG                    SHS NEW     H89231338           61      2938SH                 X         2          2938
UBS AG                    SHS NEW     H89231338         4773    231035SH                 X         3        225553    2828     2654
UBS AG                    SHS NEW     H89231338          710     34355SH                      X    3           450   33905
UGI CORP NEW              COM         902681105          272      9459SH                 X         3          8918              541
ULTRA PETROLEUM CORP      COM         903914109         5558     56600SH                 X         2         56600
ULTRA PETROLEUM CORP      COM         903914109          180      1834SH                 X         3          1834
UNILEVER N V              NY SHS      904784709          242      8513SH                 X         3          8513
UNILEVER N V              NY SHS      904784709           20       705SH                      X    3                   705
UNILEVER PLC              SPON ADR    904767704          284      9979SH                 X         3          7599             2380
UNILEVER PLC              SPON ADR    904767704          194      6835SH                      X    3                  1460     5375
UNION PAC CORP            COM         907818108           15       200SH                 X        1 3          200
UNION PAC CORP            COM         907818108           15       200SH                 X         2           200
UNION PAC CORP            COM         907818108         1243     16459SH                      X    3          1300   14559      600
UNION PAC CORP            COM         907818108         4267     56513SH                 X         3         51017    3696     1800
UNITED PARCEL SERVICE     CL B        911312106           12       200SH                 X        1 3          200
UNITED PARCEL SERVICE     CL B        911312106          119      1940SH                 X         2          1940
UNITED PARCEL SERVICE     CL B        911312106          673     10941SH                      X    3            70    8971     1900
UNITED PARCEL SERVICE     CL B        911312106        11149    181365SH                 X         3        175227    1147     4991
UNITED STATES STL CORP    COM         912909108          526      2845SH                 X         3          2615      30      200
UNITED STATES STL CORP    COM         912909108          327      1772SH                      X    3                  1772
UNITED TECHNOLOGIES CO    COM         913017109         1736     28140SH                 X        1 3        28140
UNITED TECHNOLOGIES CO    COM         913017109          216      3500SH                      X   1 3         2900     600
UNITED TECHNOLOGIES CO    COM         913017109         5066     82100SH                 X         2         82100
UNITED TECHNOLOGIES CO    COM         913017109         8783    142364SH                 X         3        132157    3244     6963
UNITED TECHNOLOGIES CO    COM         913017109         3783     61318SH                      X    3         17607   30684    13027
UNITED THERAPEUTICS       COM         91307C102         5544     56720SH                 X         2         56720
UNITED THERAPEUTICS       COM         91307C102          599      6125SH                 X         3          6125
UNITEDHEALTH GROUP INC    COM         91324P102         1234     46995SH                 X         3         46111     423      461
UNITEDHEALTH GROUP INC    COM         91324P102          341     12977SH                      X    3          1500    8743     2734
UNIVERSAL HLTH SVCS INC   CL B        913903100          297      4694SH                 X         3          4549              145
US BANCORP DEL            COM NEW     902973304           44      1575SH                 X        1 3         1575
US BANCORP DEL            COM NEW     902973304         4922    176490SH                 X         2        176490
US BANCORP DEL            COM NEW     902973304        21240    761569SH                 X         3        737210    6831    17528
US BANCORP DEL            COM NEW     902973304         2437     87376SH                      X    3         17885   69491
UST INC                   COM         902911106         5570    102000SH                 X         2        102000
UST INC                   COM         902911106         5450     99792SH                 X         3         98360     446      986
UST INC                   COM         902911106          110      2007SH                      X    3          1035     972
UTI WORLDWIDE INC         ORD         G87210103          379     19000SH                 X         3         19000
V F CORP                  COM         918204108          448      6299SH                 X         3          6299
V F CORP                  COM         918204108           38       529SH                      X    3           310     127       92
VALEANT PHARMACEUTICALS   COM         91911X104          288     16852SH                 X         3         15960              892
VALERO ENERGY CORP NEW    COM         91913Y100          151      3675SH                 X        1 3         3675
VALERO ENERGY CORP NEW    COM         91913Y100           31       750SH                      X   1 3          750
VALERO ENERGY CORP NEW    COM         91913Y100         1981     48100SH                 X         2         48100
VALERO ENERGY CORP NEW    COM         91913Y100          765     18577SH                 X         3         18345     194       38
VALERO ENERGY CORP NEW    COM         91913Y100           11       275SH                      X    3                   275
VANGUARD BD INDEX FD      INT TERM    921937819         6169     80473SH                 X         3         80473
VANGUARD BD INDEX FD      INT TERM    921937819           79      1030SH                      X    3                  1030





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
VANGUARD BD INDEX FD      SHT TRM BD  921937827         8091    104581SH                 X         3        104581
VANGUARD BD INDEX FD      SHT TRM BD  921937827           70       900SH                      X    3                   900
VANGUARD INDEX FDS        SC VAL ETF  922908611         4626     79495SH                 X         3         79085              410
VANGUARD INDEX FDS        MID CAP ETF 922908629         1781     25485SH                 X         3         25485
VANGUARD INDEX FDS        MID CAP ETF 922908629           40       578SH                      X    3                   578
VANGUARD INDEX FDS        GROWTH ETF  922908736         3536     59732SH                 X         3         59732
VANGUARD INDEX FDS        GROWTH ETF  922908736           54       920SH                      X    3                   920
VANGUARD INDEX FDS        VALUE ETF   922908744          510      9122SH                 X         3          9122
VANGUARD INDEX FDS        SML CAP ETF 922908751          224      3588SH                 X         3          3588
VANGUARD INDEX FDS        STK MRK ETF 922908769         2453     38270SH                 X         3         38270
VANGUARD INDEX FDS        STK MRK ETF 922908769          516      8052SH                      X    3          7700     352
VANGUARD INTL EQUITY      EMR MKT ETF 922042858         2850     60895SH                 X         3         60895
VANGUARD INTL EQUITY      EMR MKT ETF 922042858           12       260SH                      X    3                   260
VANGUARD INTL EQUITY      EURPEAN ETF 922042874         4754     72460SH                 X         3         70760    1700
VANGUARD INTL EQUITY      EURPEAN ETF 922042874           98      1500SH                      X    3          1175     325
VANGUARD TAX-MANAGED FD   EUROPE PAC  921943858          583     13571SH                 X         3         13571
VANGUARD WHITEHALL FDS    HI DIV YLD  921946406          586     13693SH                 X         3         13693
VANGUARD WHITEHALL FDS    HI DIV YLD  921946406           68      1578SH                      X    3                  1578
VANGUARD WORLD FDS        UTILITY ETF 92204A876          241      2871SH                 X         3          2871
VARIAN MED SYS INC        COM         92220P105          275      5311SH                 X         3          5111              200
VARIAN MED SYS INC        COM         92220P105            1        20SH                      X    3                    20
VECTREN CORP              COM         92240G101            6       200SH                      X   1 3          200
VECTREN CORP              COM         92240G101          366     11717SH                 X         3         11717
VECTREN CORP              COM         92240G101          160      5116SH                      X    3          4584     532
VEOLIA ENVIRONNEMENT      SPON ADR    92334N103           17       300SH                 X         3           300
VEOLIA ENVIRONNEMENT      SPON ADR    92334N103          246      4400SH                      X    3                  4400
VERISIGN INC              COM         92343E102          362      9582SH                 X         3          9582
VERISIGN INC              COM         92343E102            6       157SH                      X    3                   157
VERIZON COMMUNICATIONS    COM         92343V104          823     23255SH                 X        1 3        23255
VERIZON COMMUNICATIONS    COM         92343V104          128      3610SH                      X   1 3         3310     300
VERIZON COMMUNICATIONS    COM         92343V104         9949    281050SH                 X         2        281050
VERIZON COMMUNICATIONS    COM         92343V104        23747    670841SH                 X         3        658841    6549     5451
VERIZON COMMUNICATIONS    COM         92343V104         3372     95251SH                      X    3         30772   57763     6716
VERSO PAPER CORP          COM         92531L108         2928    346110SH                 X         2        346110
VERSO PAPER CORP          COM         92531L108          532     62877SH                 X         3         62877
VERTEX PHARMACEUTICALS    COM         92532F100          611     18251SH                 X         3         18251
VIACOM INC NEW            CL B        92553P201            3       100SH                 X         2           100
VIACOM INC NEW            CL B        92553P201          511     16744SH                 X         3         16374     154      216
VIACOM INC NEW            CL B        92553P201          167      5454SH                      X    3           540    3754     1160
VIROPHARMA INC            COM         928241108          584     52842SH                 X         3         52187              655
VISA INC                  COM CL A    92826C839          813     10000SH                 X         2         10000
VISA INC                  COM CL A    92826C839           46       570SH                 X         3           570
VISA INC                  COM CL A    92826C839           81      1000SH                      X    3                  1000
VIVUS INC                 COM         928551100         3302    494270SH                 X         2        494270
VIVUS INC                 COM         928551100          600     89798SH                 X         3         89798
VNUS MED TECHNOLOGIES     COM         928566108         3665    183154SH                 X         2        183154
VNUS MED TECHNOLOGIES     COM         928566108          667     33339SH                 X         3         33339
VODAFONE GROUP PLC NEW    SPON ADR    92857W209           37      1261SH                 X        1 3         1261
VODAFONE GROUP PLC NEW    SPON ADR    92857W209           26       879SH                      X   1 3          879
VODAFONE GROUP PLC NEW    SPON ADR    92857W209          963     32673SH                 X         3         31591     373      709
VODAFONE GROUP PLC NEW    SPON ADR    92857W209          853     28958SH                      X    3                 26033     2925
VORNADO RLTY TR           SH BEN INT  929042109           10       115SH                 X         2           115
VORNADO RLTY TR           SH BEN INT  929042109          477      5423SH                 X         3          5423
VORNADO RLTY TR           SH BEN INT  929042109          307      3486SH                      X    3                  3486
VULCAN MATLS CO           COM         929160109          262      4378SH                 X         3          4378
VULCAN MATLS CO           COM         929160109           20       328SH                      X    3                   328
WACHOVIA CORP NEW         COM         929903102            9       550SH                 X        1 3          550
WACHOVIA CORP NEW         COM         929903102            9       600SH                      X   1 3          600
WACHOVIA CORP NEW         COM         929903102          883     56858SH                 X         3         55205     627     1026
WACHOVIA CORP NEW         COM         929903102          249     16036SH                      X    3          2300    9784     3952
WACOAL HOLDINGS CORP      ADR         930004205          288      4805SH                      X    3                  4805
WAL MART STORES INC       COM         931142103         1041     18520SH                 X        1 3        18320     200
WAL MART STORES INC       COM         931142103           37       650SH                      X   1 3          650
WAL MART STORES INC       COM         931142103         7366    131060SH                 X         2        131060
WAL MART STORES INC       COM         931142103         4092     72818SH                      X    3          4736   60313     7769
WAL MART STORES INC       COM         931142103        21385    380524SH                 X         3        354172   16244    10108
WALGREEN CO               COM         931422109          565     17365SH                 X        1 3        17240     125
WALGREEN CO               COM         931422109          231      7100SH                      X   1 3         6600     500
WALGREEN CO               COM         931422109         2387     73430SH                 X         2         73430
WALGREEN CO               COM         931422109         4331    133230SH                      X    3         32240   99931     1059
WALGREEN CO               COM         931422109        10883    334766SH                 X         3        321548    8456     4762
WALTER INDS INC           COM         93317Q105        10862     99860SH                 X         2         99860
WALTER INDS INC           COM         93317Q105         1344     12354SH                 X         3         12354
WASHINGTON MUT INC        COM         939322103           89     18051SH                 X         3         17888       1      162
WASHINGTON MUT INC        COM         939322103            0        57SH                      X    3                    57
WASTE CONNECTIONS INC     COM         941053100          170      5309SH                 X         3          3463             1846
WASTE CONNECTIONS INC     COM         941053100           48      1500SH                      X    3                  1500
WASTE MGMT INC DEL        COM         94106L109         3257     86385SH                 X         2         86385
WASTE MGMT INC DEL        COM         94106L109          715     18948SH                      X    3          2300   10366     6282
WASTE MGMT INC DEL        COM         94106L109         4657    123473SH                 X         3        115907     637     6929
WATERS CORP               COM         941848103         1304     20210SH                 X         3         17915             2295
WATERS CORP               COM         941848103          686     10634SH                      X    3          6716     816     3102
WATSON WYATT WORLDWIDE    CL A        942712100         5070     95860SH                 X         2         95860
WATSON WYATT WORLDWIDE    CL A        942712100          597     11281SH                 X         3         10816              465
WATSON WYATT WORLDWIDE    CL A        942712100           42       800SH                      X    3           153     647
WAUSAU PAPER CORP         COM         943315101          933    121028SH                 X         3        121028
WAUSAU PAPER CORP         COM         943315101         1014    131580SH                      X    3         28047  103433      100
WAUWATOSA HLDGS INC       COM         94348P108         7808    735201SH                 X         3          1600           733601
WEATHERFORD INTL          COM         G95089101         2182     44000SH                 X         2         44000





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2008

- - - - - - COL 1 - - - - - -COL 2 - - - COL 3 - - COL 4 - - - - - COL 5 - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                              TITLE                MARKET                       ----------------------   -------------------------
                               OF                   VALUE     SHRS OR   SH/ PUT/  SOLE SHR OTHR OTHER      SOLE     SHARED   NONE
      NAME OF ISSUER          CLASS      CUSIP    (X$1000)    PRN AMT   PRN CALL   (A) (B)  (C)  MGRS       (A)       (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                    
WEATHERFORD INTL          COM         G95089101          555     11198SH                 X         3         11090     108
WEATHERFORD INTL          COM         G95089101          527     10626SH                      X    3          1280    5337     4009
WEINGARTEN RLTY INVS      SH BEN INT  948741103           52      1730SH                 X         3          1491              239
WEINGARTEN RLTY INVS      SH BEN INT  948741103          455     15000SH                      X    3                 15000
WELLPOINT INC             COM         94973V107         1082     22700SH                 X         2         22700
WELLPOINT INC             COM         94973V107          799     16761SH                 X         3         16427     166      168
WELLPOINT INC             COM         94973V107          289      6068SH                      X    3                  3803     2265
WELLS FARGO & CO NEW      COM         949746101          243     10215SH                 X        1 3        10215
WELLS FARGO & CO NEW      COM         949746101           34      1450SH                      X   1 3          550     900
WELLS FARGO & CO NEW      COM         949746101         5508    231900SH                 X         2        231900
WELLS FARGO & CO NEW      COM         949746101         2599    109440SH                      X    3         33847   73593     2000
WELLS FARGO & CO NEW      COM         949746101        21429    902299SH                 X         3        885059    3292    13948
WENDYS INTL INC           COM         950590109          395     14524SH                 X         3         14524
WENDYS INTL INC           COM         950590109            5       183SH                      X    3                   183
WESTERN DIGITAL CORP      COM         958102105         2478     71750SH                 X         2         71750
WESTERN DIGITAL CORP      COM         958102105           45      1312SH                      X    3                   772      540
WESTERN DIGITAL CORP      COM         958102105          316      9164SH                 X         3          7481             1683
WESTERN UN CO             COM         959802109          782     31653SH                 X         3         31034     318      301
WESTERN UN CO             COM         959802109           28      1115SH                      X    3           250     865
WESTSIDE ENERGY CORP      COM         96149R100          774    119118SH                 X         2        119118
WESTSIDE ENERGY CORP      COM         96149R100          147     22661SH                 X         3         22661
WEYCO GROUP INC           COM         962149100          278     10466SH                      X    3                 10466
WEYERHAEUSER CO           COM         962166104           94      1830SH                 X         2          1830
WEYERHAEUSER CO           COM         962166104         9213    180154SH                 X         3        169312    9252     1590
WEYERHAEUSER CO           COM         962166104          724     14159SH                      X    3          2622   11537
WHIRLPOOL CORP            COM         963320106         3402     55112SH                 X         2         55112
WHIRLPOOL CORP            COM         963320106         1232     19952SH                 X         3         14112             5840
WHIRLPOOL CORP            COM         963320106            4        57SH                      X    3                    57
WILLIAMS COS INC DEL      COM         969457100         1975     49000SH                 X         2         49000
WILLIAMS COS INC DEL      COM         969457100          899     22287SH                 X         3         21771     323      193
WILLIAMS COS INC DEL      COM         969457100          591     14664SH                      X    3                 11534     3130
WILLIS GROUP HOLDINGS     SHS         G96655108          883     28145SH                 X         3         22160             5985
WILLIS GROUP HOLDINGS     SHS         G96655108          384     12245SH                      X    3                  5050     7195
WINDSTREAM CORP           COM         97381W104            1       101SH                 X        1 3          101
WINDSTREAM CORP           COM         97381W104          370     30000SH                 X         2         30000
WINDSTREAM CORP           COM         97381W104         8266    669886SH                 X         3        665972     586     3328
WINDSTREAM CORP           COM         97381W104          268     21680SH                      X    3          7548   14132
WISCONSIN ENERGY CORP     COM         976657106         4910    108585SH                 X         3        104620    2904     1061
WISCONSIN ENERGY CORP     COM         976657106         1517     33556SH                      X    3          3173   29041     1342
WOODWARD GOVERNOR CO      COM         980745103         1168     32758SH                 X         3         32122              636
WOODWARD GOVERNOR CO      COM         980745103           25       688SH                      X    3           127     561
WORLD WRESTLING ENTMT     CL A        98156Q108         2880    186170SH                 X         2        186170
WORLD WRESTLING ENTMT     CL A        98156Q108          524     33874SH                 X         3         33874
WRIGHT MED GROUP INC      COM         98235T107         4835    170200SH                 X         2        170200
WRIGHT MED GROUP INC      COM         98235T107          924     32534SH                 X         3         32534
WRIGHT MED GROUP INC      COM         98235T107           13       440SH                      X    3                   440
WRIGLEY WM JR CO          COM         982526105           39       500SH                 X        1 3          500
WRIGLEY WM JR CO          COM         982526105           96      1235SH                 X         2          1235
WRIGLEY WM JR CO          COM         982526105         2950     37933SH                 X         3         37664      37      232
WRIGLEY WM JR CO          COM         982526105         1913     24596SH                      X    3          1159   12007    11430
WUXI PHARMATECH CAYMAN    SPON ADR    929352102         1864     91790SH                 X         2         91790
WUXI PHARMATECH CAYMAN    SPON ADR    929352102          315     15525SH                 X         3         15525
WUXI PHARMATECH CAYMAN    SPON ADR    929352102            5       230SH                      X    3                   230
WYETH                     COM         983024100          591     12325SH                 X        1 3        12325
WYETH                     COM         983024100          108      2250SH                      X   1 3         1800     450
WYETH                     COM         983024100         7070    147410SH                 X         3        144674    2049      687
WYETH                     COM         983024100         2871     59856SH                      X    3          9245   47868     2743
XCEL ENERGY INC           COM         98389B100          513     25544SH                 X         3         25544
XCEL ENERGY INC           COM         98389B100           80      3966SH                      X    3                  3966
XEROX CORP                COM         984121103         4291    316417SH                 X         2        316417
XEROX CORP                COM         984121103         1052     77615SH                 X         3         67065            10550
XEROX CORP                COM         984121103            3       241SH                      X    3                   241
XILINX INC                COM         983919101          314     12439SH                 X         3         12283      70       86
XILINX INC                COM         983919101           29      1150SH                      X    3                   450      700
XTO ENERGY INC            COM         98385X106           17       250SH                 X        1 3          250
XTO ENERGY INC            COM         98385X106         2740     40000SH                 X         2         40000
XTO ENERGY INC            COM         98385X106          997     14550SH                 X         3         14425     125
XTO ENERGY INC            COM         98385X106          335      4887SH                      X    3                  4887
YAHOO INC                 COM         984332106            2       100SH                 X        1 3          100
YAHOO INC                 COM         984332106         1300     62943SH                 X         3         61186    1001      756
YAHOO INC                 COM         984332106          195      9442SH                      X    3                  9442
YUM BRANDS INC            COM         988498101           13       360SH                 X        1 3          360
YUM BRANDS INC            COM         988498101         2458     70055SH                 X         2         70055
YUM BRANDS INC            COM         988498101          261      7451SH                      X    3           600    6076      775
YUM BRANDS INC            COM         988498101         1667     47507SH                 X         3         45077     214     2216
ZEP INC                   COM         98944B108          279     18740SH                 X         3         18272              468
ZIMMER HLDGS INC          COM         98956P102          972     14281SH                 X         3         14168      55       58
ZIMMER HLDGS INC          COM         98956P102          385      5662SH                      X    3           770    4757      135
ZOLTEK COS INC            COM         98975W104          646     26620SH                 X         3         26620
ZOLTEK COS INC            COM         98975W104         2562    105638SH                      X    3                105638