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

                                Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   09/30/2008

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      11/12/2008
_____________________________    _______________     __________
      [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:               2,709

Form 13F Information Table Value Total:             $ 4,369,347
                                                    (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 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
CITIGROUP INC              COM          172967101      24129   1176471 SH  CALL       X         2
AAR CORP                   COM          000361105        611     36816 SH             X         3        36816
ABB LTD                    SPON ADR     000375204        831     42817 SH                 X     3         3454      7072     32291
ABB LTD                    SPON ADR     000375204       1742     89774 SH             X         3        60390               29384
ACCO BRANDS CORP           COM          00081T108        136     17975 SH             X         3        17975
AFC ENTERPRISES INC        COM          00104Q107         86     11850 SH             X         3        11850
AFLAC INC                  COM          001055102       1003     17075 SH             X        1,3       17075
AFLAC INC                  COM          001055102        156      2650 SH                 X    1,3        1850       800
AFLAC INC                  COM          001055102        150      2558 SH             X         2         2558
AFLAC INC                  COM          001055102       3701     63000 SH             X         2        63000
AFLAC INC                  COM          001055102      15156    257963 SH             X         3       249558      6065      2340
AFLAC INC                  COM          001055102       1298     22095 SH                 X     3         2354     18232      1509
AGCO CORP                  COM          001084102       1393     32700 SH             X         2        32700
AGCO CORP                  COM          001084102        121      2839 SH             X         3         2058                 781
AGCO CORP                  COM          001084102         26       605 SH                 X     3                    300       305
AES CORP                   COM          00130H105        307     26235 SH             X         3        25301       251       683
AES CORP                   COM          00130H105         32      2733 SH                 X     3         1543      1190
AK STL HLDG CORP           COM          001547108        205      7921 SH             X         3         7734                 187
AK STL HLDG CORP           COM          001547108         19       747 SH                 X     3                    747
AMR CORP                   COM          001765106        187     19089 SH             X         3        19089
AT&T INC                   COM          00206R102       1399     50120 SH             X        1,3       49870       250
AT&T INC                   COM          00206R102        234      8365 SH                 X    1,3        6888      1477
AT&T INC                   COM          00206R102        428     15312 SH             X         2        15312
AT&T INC                   COM          00206R102       7076    253450 SH             X         2       253450
AT&T INC                   COM          00206R102      29900   1070893 SH             X         3      1049913     13367      7613
AT&T INC                   COM          00206R102       5703    204245 SH                 X     3        29169    168680      6396
ATC TECHNOLOGY CORP        COM          00211W104        215      9047 SH             X         3         8820                 227
AVI BIOPHARMA INC          COM          002346104        103     85000 SH             X         3        85000
ABBOTT LABS                COM          002824100        682     11850 SH             X        1,3       11850
ABBOTT LABS                COM          002824100        101      1750 SH                 X    1,3        1250       500
ABBOTT LABS                COM          002824100      21276    369508 SH             X         3       343571     19315      6622
ABBOTT LABS                COM          002824100       5955    103424 SH                 X     3        22528     77696      3200
ABIOMED INC                COM          003654100        408     22970 SH             X         2        22970
ABIOMED INC                COM          003654100       3678    207200 SH             X         2       207200
ABIOMED INC                COM          003654100        777     43805 SH             X         3        43805
ACTIVISION BLIZZARD INC    COM          00507V109       2524    163600 SH             X         2       163600
ACTIVISION BLIZZARD INC    COM          00507V109         56      3619 SH             X         3         3619
ACTUANT CORP               CL A NEW     00508X203        192      7600 SH             X         3         7600
ACTUANT CORP               CL A NEW     00508X203          9       350 SH                 X     3                    350
ADOBE SYS INC              COM          00724F101        986     24993 SH             X         3        23142       262      1589
ADOBE SYS INC              COM          00724F101        157      3977 SH                 X     3          680      1061      2236
ADTRAN INC                 COM          00738A106        219     11234 SH             X         3         8627                2607
ADTRAN INC                 COM          00738A106         53      2700 SH                 X     3                             2700
ADVANCE AUTO PARTS INC     COM          00751Y106        219      5522 SH             X         3         3220                2302
ADVANCE AUTO PARTS INC     COM          00751Y106         23       581 SH                 X     3                    581
ADVANTAGE ENERGY INC FD    TR UNIT      00762L101        220     24010 SH             X         3        24010
AECOM TECH CORP DEL        COM          00766T100        250     10240 SH             X         2        10240
AECOM TECH CORP DEL        COM          00766T100       2319     94900 SH             X         2        94900
AECOM TECH CORP DEL        COM          00766T100        590     24142 SH             X         3        24142
AEROPOSTALE                COM          007865108        227      7060 SH             X         2         7060
AEROPOSTALE                COM          007865108       1760     54800 SH             X         2        54800
AEROPOSTALE                COM          007865108       2119     66000 SH             X         2        66000
AEROPOSTALE                COM          007865108        575     17912 SH             X         3        17209                 703
AEROPOSTALE                COM          007865108         23       730 SH                 X     3                    730
AEGON N V                  NY REG SH    007924103        207     23523 SH             X         3        20915                2608
AEGON N V                  NY REG SH    007924103        204     23232 SH                 X     3                  18534      4698
AETNA INC NEW              COM          00817Y108        640     17725 SH             X         3        15783        80      1862
AETNA INC NEW              COM          00817Y108        488     13517 SH                 X     3                  10071      3446
AFFILIATED COMPUTER SVS    CL A         008190100       1342     26500 SH             X         2        26500
AFFILIATED COMPUTER SVS    CL A         008190100        391      7735 SH             X         3         7597       138
AFFILIATED COMPUTER SVS    CL A         008190100         15       299 SH                 X     3                    299
AFFILIATED MGRS GROUP      COM          008252108         63       759 SH             X         2          759
AFFILIATED MGRS GROUP      COM          008252108       4466     53900 SH             X         2        53900
AFFILIATED MGRS GROUP      COM          008252108       1191     14381 SH             X         3        11198                3183
AFFILIATED MGRS GROUP      COM          008252108         46       550 SH                 X     3                    550
AGRIUM INC                 COM          008916108        864     15400 SH             X         2        15400
AGRIUM INC                 COM          008916108         27       485 SH             X         3          485
AIR PRODS & CHEMS INC      COM          009158106        113      1650 SH             X        1,3        1650
AIR PRODS & CHEMS INC      COM          009158106          7       100 SH                 X    1,3         100
AIR PRODS & CHEMS INC      COM          009158106         65       952 SH             X         2          952
AIR PRODS & CHEMS INC      COM          009158106       1856     27100 SH             X         2        27100
AIR PRODS & CHEMS INC      COM          009158106       7059    103070 SH             X         3        97409      2681      2980
AIR PRODS & CHEMS INC      COM          009158106       1241     18121 SH                 X     3        10158      7963
AIRGAS INC                 COM          009363102        524     10561 SH             X         3         9299                1262
AIRGAS INC                 COM          009363102         18       368 SH                 X     3                    368
AKAMAI TECHNOLOGIES INC    COM          00971T101       1613     92500 SH             X         2        92500
AKAMAI TECHNOLOGIES INC    COM          00971T101       1771    101542 SH             X         3       100685       406       451
AKAMAI TECHNOLOGIES INC    COM          00971T101         24      1356 SH                 X     3                   1356
ALBANY INTL CORP           CL A         012348108        159      5824 SH             X         3         5040                 784
ALBANY INTL CORP           CL A         012348108         44      1620 SH                 X     3                             1620
ALCOA INC                  COM          013817101         21       950 SH             X        1,3         950
ALCOA INC                  COM          013817101       2026     89737 SH             X         3        84402      3632      1703
ALCOA INC                  COM          013817101       1071     47451 SH                 X     3        22385     23132      1934
ALCATEL-LUCENT             SPON ADR     013904305          0        50 SH             X        1,3          50
ALCATEL-LUCENT             SPON ADR     013904305        156     40692 SH             X         3        26862               13830
ALCATEL-LUCENT             SPON ADR     013904305        281     73188 SH                 X     3                  70068      3120
ALEXION PHARMACEUTICALS    COM          015351109        275      7000 SH             X         2         7000
ALEXION PHARMACEUTICALS    COM          015351109       2106     53600 SH             X         2        53600
ALEXION PHARMACEUTICALS    COM          015351109       2539     64600 SH             X         2        64600
ALEXION PHARMACEUTICALS    COM          015351109        561     14273 SH             X         3        14273





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
ALFACELL CORP              COM          015404106         13     20000 SH             X         3        20000
ALLEGHENY ENERGY INC       COM          017361106         18       500 SH             X        1,3         500
ALLEGHENY ENERGY INC       COM          017361106        373     10135 SH             X         3         9897        51       187
ALLEGHENY ENERGY INC       COM          017361106          4       105 SH                 X     3                    105
ALLERGAN INC               COM          018490102         21       400 SH             X        1,3         400
ALLERGAN INC               COM          018490102         10       200 SH                 X    1,3         200
ALLERGAN INC               COM          018490102       2575     50000 SH             X         2        50000
ALLERGAN INC               COM          018490102       1645     31946 SH             X         3        25250                6696
ALLERGAN INC               COM          018490102        678     13160 SH                 X     3         1610      1917      9633
ALLETE INC                 COM NEW      018522300        392      8807 SH             X         3         8535                 272
ALLETE INC                 COM NEW      018522300         22       486 SH                 X     3                    486
ALLIANCE IMAGING INC       COM NEW      018606202        230     22410 SH             X         2        22410
ALLIANCE IMAGING INC       COM NEW      018606202       2156    209900 SH             X         2       209900
ALLIANCE IMAGING INC       COM NEW      018606202        439     42805 SH             X         3        42805
ALLIANT ENERGY CORP        COM          018802108        628     19500 SH             X        1,3       19500
ALLIANT ENERGY CORP        COM          018802108        121      3750 SH                 X    1,3        2850       900
ALLIANT ENERGY CORP        COM          018802108       1603     49768 SH             X         3        47870      1623       275
ALLIANT ENERGY CORP        COM          018802108        240      7454 SH                 X     3          237      7217
ALLIANT TECHSYSTEMS INC    COM          018804104         65       687 SH             X         2          687
ALLIANT TECHSYSTEMS INC    COM          018804104       2828     30100 SH             X         2        30100
ALLIANT TECHSYSTEMS INC    COM          018804104       6128     65241 SH             X         3        64026                1215
ALLIANZ SE                 SP ADR       018805101        158     11552 SH             X         3         9420                2132
ALLIANZ SE                 SP ADR       018805101        192     14022 SH                 X     3                  10370      3652
ALLIANCEBERNSTEIN          UT LTD PART  01881G106        170      4596 SH             X         3         4596
ALLIANCEBERNSTEIN          UT LTD PART  01881G106        252      6800 SH                 X     3                   6800
ALLSCRIPTS HEALTHCARE      COM          01988P108        190     15265 SH             X         3        15000                 265
ALLSTATE CORP              COM          020002101         17       376 SH             X        1,3         376
ALLSTATE CORP              COM          020002101       1891     41000 SH             X         2        41000
ALLSTATE CORP              COM          020002101       1295     28090 SH             X         3        27852        65       173
ALLSTATE CORP              COM          020002101       1021     22143 SH                 X     3          914     18967      2262
ALTERA CORP                COM          021441100         37      1790 SH             X         2         1790
ALTERA CORP                COM          021441100       2668    129000 SH             X         2       129000
ALTERA CORP                COM          021441100        922     44611 SH             X         3        39442       327      4842
ALTERA CORP                COM          021441100        163      7858 SH                 X     3                    569      7289
ALTRA HOLDINGS INC         COM          02208R106        202     13700 SH             X         2        13700
ALTRA HOLDINGS INC         COM          02208R106       1873    126900 SH             X         2       126900
ALTRA HOLDINGS INC         COM          02208R106        386     26177 SH             X         3        26177
ALTRIA GROUP INC           COM          02209S103         13       650 SH             X        1,3         650
ALTRIA GROUP INC           COM          02209S103          5       240 SH             X         2          240
ALTRIA GROUP INC           COM          02209S103       3151    158800 SH             X         2       158800
ALTRIA GROUP INC           COM          02209S103       1470     74100 SH             X         2        74100
ALTRIA GROUP INC           COM          02209S103      11842    596881 SH             X         3       581387      6891      8603
ALTRIA GROUP INC           COM          02209S103       4293    216357 SH                 X     3        19221    195786      1350
ALUMINA LTD                SPON ADR     022205108        191     18949 SH                 X     3                  18949
AMAZON COM INC             COM          023135106       1062     14600 SH             X         2        14600
AMAZON COM INC             COM          023135106       1195     16415 SH             X         3        16295       120
AMAZON COM INC             COM          023135106        201      2768 SH                 X     3                   1983       785
AMEDISYS INC               COM          023436108        268      5500 SH             X         2         5500
AMEDISYS INC               COM          023436108       2127     43700 SH             X         2        43700
AMEDISYS INC               COM          023436108       2502     51400 SH             X         2        51400
AMEDISYS INC               COM          023436108        597     12273 SH             X         3        12040                 233
AMEDISYS INC               COM          023436108         13       261 SH                 X     3          114       147
AMEREN CORP                COM          023608102         42      1072 SH             X        1,3        1072
AMEREN CORP                COM          023608102        234      5985 SH             X         2         5985
AMEREN CORP                COM          023608102       5225    133860 SH             X         3       132227       514      1119
AMEREN CORP                COM          023608102        168      4313 SH                 X     3          200      4113
AMERICA MOVIL SAB DE CV    SPON ADR L   02364W105         34       744 SH             X        1,3         744
AMERICA MOVIL SAB DE CV    SPON ADR L   02364W105        164      3536 SH             X         3         3536
AMERICA MOVIL SAB DE CV    SPON ADR L   02364W105         59      1270 SH                 X     3                    535       735
AMERICAN CAPITAL AGY       COM          02503X105        541     31208 SH             X         2        31208
AMERICAN CAPITAL AGY       COM          02503X105       4966    286700 SH             X         2       286700
AMERICAN CAPITAL AGY       COM          02503X105       1033     59682 SH             X         3        59682
AMERICAN ELEC PWR INC      COM          025537101        722     19494 SH             X         3        19352                 142
AMERICAN ELEC PWR INC      COM          025537101         69      1873 SH                 X     3          582      1291
AMERICAN EQTY INVT LIFE    COM          025676206         68      9093 SH             X         3         4558                4535
AMERICAN EQTY INVT LIFE    COM          025676206         45      5950 SH                 X     3                             5950
AMERICAN EXPRESS CO        COM          025816109         83      2339 SH             X        1,3        2339
AMERICAN EXPRESS CO        COM          025816109          4       120 SH                 X    1,3         120
AMERICAN EXPRESS CO        COM          025816109       4245    119827 SH             X         3       101514      2522     15791
AMERICAN EXPRESS CO        COM          025816109       1380     38942 SH                 X     3        17675     15617      5650
AMERICAN INTL GROUP INC    COM          026874107        364    109454 SH             X         3       109454
AMERICAN INTL GROUP INC    COM          026874107         40     11926 SH                 X     3                   9376      2550
AMERICAN TOWER CORP        CL A         029912201       3187     88600 SH             X         2        88600
AMERICAN TOWER CORP        CL A         029912201        136      3788 SH             X         3         3788
AMERICAN TOWER CORP        CL A         029912201        136      3791 SH                 X     3                             3791
AMERICAN SUPERCONDUCTOR    COM          030111108        254     10770 SH             X         2        10770
AMERICAN SUPERCONDUCTOR    COM          030111108       2378    100900 SH             X         2       100900
AMERICAN SUPERCONDUCTOR    COM          030111108        497     21076 SH             X         3        21076
AMERISOURCEBERGEN CORP     COM          03073E105         70      1849 SH             X         2         1849
AMERISOURCEBERGEN CORP     COM          03073E105       4198    111500 SH             X         2       111500
AMERISOURCEBERGEN CORP     COM          03073E105       1883     50000 SH             X         2        50000
AMERISOURCEBERGEN CORP     COM          03073E105       1663     44171 SH             X         3        39564       179      4428
AMERISOURCEBERGEN CORP     COM          03073E105         31       827 SH                 X     3                    827
AMERIPRISE FINL INC        COM          03076C106          8       218 SH             X        1,3         218
AMERIPRISE FINL INC        COM          03076C106        215      5617 SH             X         2         5617
AMERIPRISE FINL INC        COM          03076C106       4366    114300 SH             X         2       114300
AMERIPRISE FINL INC        COM          03076C106       2120     55500 SH             X         2        55500
AMERIPRISE FINL INC        COM          03076C106       4811    125921 SH             X         3       117969      1000      6952
AMERIPRISE FINL INC        COM          03076C106        230      6008 SH                 X     3          460      4498      1050
AMETEK INC NEW             COM          031100100       1790     43900 SH             X         2        43900





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
AMETEK INC NEW             COM          031100100        171      4205 SH             X         3         3839                 366
AMETEK INC NEW             COM          031100100         38       923 SH                 X     3                    593       330
AMGEN INC                  COM          031162100          9       150 SH             X        1,3         100        50
AMGEN INC                  COM          031162100          8       140 SH                 X    1,3         140
AMGEN INC                  COM          031162100          4        60 SH             X         2           60
AMGEN INC                  COM          031162100       1132     19100 SH             X         2        19100
AMGEN INC                  COM          031162100       4432     74778 SH             X         3        71178      2335      1265
AMGEN INC                  COM          031162100        748     12614 SH                 X     3         1261     10616       737
AMPHENOL CORP NEW          CL A         032095101       2541     63300 SH             X         2        63300
AMPHENOL CORP NEW          CL A         032095101        313      7813 SH             X         3         7251                 562
AMPHENOL CORP NEW          CL A         032095101         64      1582 SH                 X     3                   1217       365
AMTRUST FINANCIAL SVCS     COM          032359309        194     14295 SH             X         3        14295
AMTRUST FINANCIAL SVCS     COM          032359309         22      1650 SH                 X     3                   1650
ANADARKO PETE CORP         COM          032511107         10       200 SH             X        1,3         200
ANADARKO PETE CORP         COM          032511107       1455     30000 SH             X         2        30000
ANADARKO PETE CORP         COM          032511107       1677     34558 SH             X         3        33808       360       390
ANADARKO PETE CORP         COM          032511107        355      7328 SH                 X     3                   5293      2035
ANALOG DEVICES INC         COM          032654105        656     24889 SH             X         3        24889
ANALOG DEVICES INC         COM          032654105         24       892 SH                 X     3                    892
ANCHOR BANCORP WIS INC     COM          032839102        148     20194 SH             X         3        19603                 591
ANCHOR BANCORP WIS INC     COM          032839102        156     21280 SH                 X     3                  21280
ANGLO AMERN PLC            ADR NEW      03485P201        128      7633 SH             X         3         7633
ANGLO AMERN PLC            ADR NEW      03485P201        285     17051 SH                 X     3                  17051
ANGLOGOLD ASHANTI LTD      SPON ADR     035128206         23       981 SH             X         3          981
ANGLOGOLD ASHANTI LTD      SPON ADR     035128206        570     24669 SH                 X     3                  24669
ANHEUSER BUSCH COS INC     COM          035229103        878     13525 SH             X        1,3       13275       250
ANHEUSER BUSCH COS INC     COM          035229103         71      1100 SH                 X    1,3         700       400
ANHEUSER BUSCH COS INC     COM          035229103       5061     78001 SH             X         3        73886      2923      1192
ANHEUSER BUSCH COS INC     COM          035229103       5123     78964 SH                 X     3        26877     52087
ANNALY CAP MGMT INC        COM          035710409       3766    280000 SH             X         2       280000
ANNALY CAP MGMT INC        COM          035710409        105      7836 SH             X         3         7836
ANSYS INC                  COM          03662Q105        244      6430 SH             X         2         6430
ANSYS INC                  COM          03662Q105       2003     52900 SH             X         2        52900
ANSYS INC                  COM          03662Q105       2246     59300 SH             X         2        59300
ANSYS INC                  COM          03662Q105        572     15114 SH             X         3        14178                 936
ANSYS INC                  COM          03662Q105         21       545 SH                 X     3                              545
AON CORP                   COM          037389103         10       225 SH             X        1,3         225
AON CORP                   COM          037389103         47      1050 SH                 X    1,3        1050
AON CORP                   COM          037389103        523     11623 SH             X         3        11623
AON CORP                   COM          037389103        108      2393 SH                 X     3                   1883       510
APACHE CORP                COM          037411105       1590     15250 SH             X        1,3       15175        75
APACHE CORP                COM          037411105        143      1375 SH                 X    1,3        1375
APACHE CORP                COM          037411105        185      1771 SH             X         2         1771
APACHE CORP                COM          037411105       1210     11600 SH             X         2        11600
APACHE CORP                COM          037411105        605      5800 SH  CALL       X         2
APACHE CORP                COM          037411105      14803    141959 SH             X         3       133686      2292      5981
APACHE CORP                COM          037411105       1586     15207 SH                 X     3          828     10267      4112
APARTMENT INVT & MGMT      CL A         03748R101        148      4224 SH             X         2         4224
APARTMENT INVT & MGMT      CL A         03748R101       2789     79641 SH             X         3        79300                 341
APARTMENT INVT & MGMT      CL A         03748R101         61      1756 SH                 X     3                   1756
APOLLO GROUP INC           CL A         037604105        206      3472 SH             X         3         3472
APOLLO GROUP INC           CL A         037604105          7       113 SH                 X     3                    113
APPLE INC                  COM          037833100         11       100 SH             X        1,3         100
APPLE INC                  COM          037833100       5630     49530 SH             X         2        49530
APPLE INC                  COM          037833100       9638     84804 SH             X         3        78501       244      6059
APPLE INC                  COM          037833100       2066     18173 SH                 X     3         5081      6524      6568
APPLIED BIOSYSTEMS INC     COM          038149100        837     24451 SH             X         3        24251       200
APPLIED BIOSYSTEMS INC     COM          038149100         21       619 SH                 X     3                    619
APPLIED MATLS INC          COM          038222105         54      3600 SH             X        1,3        3250       350
APPLIED MATLS INC          COM          038222105         17      1100 SH                 X    1,3        1100
APPLIED MATLS INC          COM          038222105        114      7560 SH             X         2         7560
APPLIED MATLS INC          COM          038222105       6479    428207 SH             X         3       409789     13323      5095
APPLIED MATLS INC          COM          038222105        582     38438 SH                 X     3         1985     30601      5852
ARCHER DANIELS MIDLAND     COM          039483102        898     40991 SH             X         3        40991
ARCHER DANIELS MIDLAND     COM          039483102        185      8446 SH                 X     3         1480      2884      4082
ARIBA INC                  COM NEW      04033V203        281     19863 SH             X         2        19863
ARIBA INC                  COM NEW      04033V203       2596    183700 SH             X         2       183700
ARIBA INC                  COM NEW      04033V203        536     37937 SH             X         3        37937
ARROW ELECTRS INC          COM          042735100         58      2195 SH             X         2         2195
ARROW ELECTRS INC          COM          042735100       3915    149300 SH             X         2       149300
ARROW ELECTRS INC          COM          042735100       1104     42113 SH             X         3        33348                8765
ARROW ELECTRS INC          COM          042735100         56      2150 SH                 X     3                   2150
ARVINMERITOR INC           COM          043353101        213     16364 SH             X         3        13435                2929
ARVINMERITOR INC           COM          043353101         43      3290 SH                 X     3                             3290
ASIAINFO HLDGS INC         COM          04518A104        312     33990 SH             X         2        33990
ASIAINFO HLDGS INC         COM          04518A104       2872    312800 SH             X         2       312800
ASIAINFO HLDGS INC         COM          04518A104        597     65052 SH             X         3        65052
ASSOCIATED BANC CORP       COM          045487105         30      1479 SH             X         2         1479
ASSOCIATED BANC CORP       COM          045487105       1590     79700 SH             X         2        79700
ASSOCIATED BANC CORP       COM          045487105       4935    247351 SH             X         3       233350      3757     10244
ASSOCIATED BANC CORP       COM          045487105        676     33883 SH                 X     3         4878     28597       408
ASSURANT INC               COM          04621X108         38       696 SH             X         2          696
ASSURANT INC               COM          04621X108       2321     42200 SH             X         2        42200
ASSURANT INC               COM          04621X108       2420     44000 SH             X         2        44000
ASSURANT INC               COM          04621X108       1002     18211 SH             X         3        16561                1650
ASSURANT INC               COM          04621X108         10       184 SH                 X     3                    184
ATLAS AMER INC             COM          049167109        641     18790 SH             X         2        18790
ATLAS AMER INC             COM          049167109       5357    157050 SH             X         2       157050
ATLAS AMER INC             COM          049167109       5894    172800 SH             X         2       172800
ATLAS AMER INC             COM          049167109       1317     38594 SH             X         3        38594





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
ATWOOD OCEANICS INC        COM          050095108        208      5728 SH             X         3         5342                 386
AUTODESK INC               COM          052769106        331      9874 SH             X         3         9710                 164
AUTODESK INC               COM          052769106        142      4234 SH                 X     3                    688      3546
AUTOLIV INC                COM          052800109         50      1470 SH             X         2         1470
AUTOLIV INC                COM          052800109       3402    100800 SH             X         2       100800
AUTOLIV INC                COM          052800109        837     24811 SH             X         3        20871                3940
AUTOLIV INC                COM          052800109         31       919 SH                 X     3          613       306
AUTOMATIC DATA PROCESS     COM          053015103         11       250 SH             X        1,3                   250
AUTOMATIC DATA PROCESS     COM          053015103       1591     37226 SH             X         3        22247       230     14749
AUTOMATIC DATA PROCESS     COM          053015103       1042     24366 SH                 X     3          450     21216      2700
AUTONATION INC             COM          05329W102        156     13846 SH             X         3        13846
AUTONATION INC             COM          05329W102          5       409 SH                 X     3                    409
AUTOZONE INC               COM          053332102        740      5996 SH             X         3         5823        81        92
AUTOZONE INC               COM          053332102         18       149 SH                 X     3                    149
AVALONBAY CMNTYS INC       COM          053484101        611      6211 SH             X         3         6211
AVALONBAY CMNTYS INC       COM          053484101          1        15 SH                 X     3                     15
AVERY DENNISON CORP        COM          053611109       2134     47972 SH             X         3        47674        31       267
AVERY DENNISON CORP        COM          053611109        242      5443 SH                 X     3          395      5048
AVISTA CORP                COM          05379B107        258     11866 SH             X         3        11282                 584
AVON PRODS INC             COM          054303102       3105     74700 SH             X         2        74700
AVON PRODS INC             COM          054303102        910     21880 SH             X         3        21019       693       168
AVON PRODS INC             COM          054303102         66      1576 SH                 X     3                   1576
AXA                        SPON ADR     054536107        259      7922 SH                 X     3                   6032      1890
AXA                        SPON ADR     054536107        203      6214 SH             X         3         5046                1168
BB&T CORP                  COM          054937107        203      5365 SH             X         2         5365
BB&T CORP                  COM          054937107       6559    173510 SH             X         3       170978       158      2374
BB&T CORP                  COM          054937107        264      6983 SH                 X     3                   3803      3180
BJ SVCS CO                 COM          055482103          8       400 SH             X        1,3         400
BJ SVCS CO                 COM          055482103         20      1032 SH                 X    1,3        1032
BJ SVCS CO                 COM          055482103         37      1958 SH             X         2         1958
BJ SVCS CO                 COM          055482103       2596    135700 SH             X         2       135700
BJ SVCS CO                 COM          055482103        851     44470 SH             X         3        39087                5383
BJ SVCS CO                 COM          055482103        148      7731 SH                 X     3                   7731
BJS WHOLESALE CLUB INC     COM          05548J106        273      7030 SH             X         2         7030
BJS WHOLESALE CLUB INC     COM          05548J106       2141     55100 SH             X         2        55100
BJS WHOLESALE CLUB INC     COM          05548J106       2557     65800 SH             X         2        65800
BJS WHOLESALE CLUB INC     COM          05548J106        662     17040 SH             X         3        16439                 601
BP PLC                     SPON ADR     055622104        358      7135 SH             X        1,3        7135
BP PLC                     SPON ADR     055622104        112      2238 SH                 X    1,3        2038       200
BP PLC                     SPON ADR     055622104      10057    200468 SH             X         3       185349      7269      7850
BP PLC                     SPON ADR     055622104       4136     82445 SH                 X     3        17214     64053      1178
BP PRUDHOE BAY RTY TR      UT BEN INT   055630107         19       200 SH             X        1,3         200
BP PRUDHOE BAY RTY TR      UT BEN INT   055630107        516      5550 SH             X         3         5550
BP PRUDHOE BAY RTY TR      UT BEN INT   055630107         14       150 SH                 X     3                    150
BMC SOFTWARE INC           COM          055921100       1259     43971 SH             X         3        34883                9088
BMC SOFTWARE INC           COM          055921100        420     14675 SH                 X     3         1339      2750     10586
BADGER METER INC           COM          056525108          6       125 SH             X         2          125
BADGER METER INC           COM          056525108       4937    105152 SH             X         3       105152
BADGER METER INC           COM          056525108        800     17050 SH                 X     3         2000     15050
BAKER HUGHES INC           COM          057224107        806     13317 SH             X         3        13317
BAKER HUGHES INC           COM          057224107         74      1227 SH                 X     3                    355       872
BALCHEM CORP               COM          057665200        179      6696 SH             X         2         6696
BALCHEM CORP               COM          057665200       1654     62000 SH             X         2        62000
BALCHEM CORP               COM          057665200        347     13014 SH             X         3        12794                 220
BALDOR ELEC CO             COM          057741100        283      9816 SH             X         3         9362                 454
BALL CORP                  COM          058498106       2052     51950 SH             X         2        51950
BALL CORP                  COM          058498106        251      6356 SH             X         3         6314                  42
BALL CORP                  COM          058498106        103      2612 SH                 X     3                   2612
BANCO BILBAO VIZCAYA       SPON ADR     05946K101        167     10322 SH             X         3         8536                1786
BANCO BILBAO VIZCAYA       SPON ADR     05946K101         61      3748 SH                 X     3                    346      3402
BANCO ITAU HLDG FINANC     SPADRPFD     059602201        271     15500 SH                 X     3                  15500
BANCO SANTANDER SA         ADR          05964H105         21      1420 SH             X         3         1420
BANCO SANTANDER SA         ADR          05964H105        155     10352 SH                 X     3                  10352
BANK OF AMERICA CORP       COM          060505104        840     24012 SH             X        1,3       24012
BANK OF AMERICA CORP       COM          060505104        120      3424 SH                 X    1,3        2674       750
BANK OF AMERICA CORP       COM          060505104        621     17750 SH             X         2        17750
BANK OF AMERICA CORP       COM          060505104       3321     94890 SH             X         2        94890
BANK OF AMERICA CORP       COM          060505104      20927    597917 SH             X         3       582491      6840      8586
BANK OF AMERICA CORP       COM          060505104       3913    111794 SH                 X     3        21234     87112      3448
BANK MUTUAL CORP NEW       COM          063750103        119     10444 SH             X         3         9889                 555
BANK MUTUAL CORP NEW       COM          063750103        137     12090 SH                 X     3                  12090
BANK OF NEW YORK MELLON    COM          064058100       3735    114631 SH             X         3        94727       100     19804
BANK OF NEW YORK MELLON    COM          064058100       1117     34281 SH                 X     3         1322     20109     12850
BANKUNITED FINL CORP       CL A         06652B103          8     10000 SH             X         3        10000
BARD C R INC               COM          067383109         24       250 SH                 X    1,3         250
BARD C R INC               COM          067383109        997     10513 SH             X         3         9707       136       670
BARD C R INC               COM          067383109       1611     16977 SH                 X     3        16400       577
BARCLAYS BK PLC            DJAIG CMDTY  06738C778          6       110 SH             X         2          110
BARCLAYS BK PLC            DJAIG CMDTY  06738C778       3361     65211 SH             X         3        64391                 820
BARCLAYS BK PLC            DJAIG CMDTY  06738C778         31       600 SH                 X     3          200       400
BARRICK GOLD CORP          COM          067901108        126      3438 SH             X         3         3438
BARRICK GOLD CORP          COM          067901108        761     20710 SH                 X     3                  20710
BAXTER INTL INC            COM          071813109        159      2425 SH             X        1,3        2425
BAXTER INTL INC            COM          071813109         13       192 SH                 X    1,3         192
BAXTER INTL INC            COM          071813109       2205     33600 SH             X         2        33600
BAXTER INTL INC            COM          071813109      16458    250770 SH             X         3       249374       655       741
BAXTER INTL INC            COM          071813109       1652     25164 SH                 X     3        12544     12620
BEACON ROOFING SUPPLY      COM          073685109        256     16380 SH             X         2        16380
BEACON ROOFING SUPPLY      COM          073685109       2395    153300 SH             X         2       153300
BEACON ROOFING SUPPLY      COM          073685109        551     35297 SH             X         3        31297                4000





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
BEACON ROOFING SUPPLY      COM          073685109         42      2700 SH                 X     3                   2700
BECTON DICKINSON & CO      COM          075887109         24       300 SH             X        1,3         300
BECTON DICKINSON & CO      COM          075887109       3034     37800 SH             X         2        37800
BECTON DICKINSON & CO      COM          075887109       2478     30880 SH             X         2        30880
BECTON DICKINSON & CO      COM          075887109       2730     34013 SH             X         3        33778        40       195
BECTON DICKINSON & CO      COM          075887109         48       599 SH                 X     3                    599
BED BATH & BEYOND INC      COM          075896100        176      5609 SH             X         3         5347        99       163
BED BATH & BEYOND INC      COM          075896100         48      1536 SH                 X     3                    706       830
BELDEN INC                 COM          077454106        678     21343 SH             X         3        18794                2549
BELDEN INC                 COM          077454106        110      3457 SH                 X     3                    387      3070
BEMIS INC                  COM          081437105       1467     55982 SH             X         3        53558                2424
BEMIS INC                  COM          081437105         85      3236 SH                 X     3                   3236
BERKLEY W R CORP           COM          084423102       1610     68350 SH             X         2        68350
BERKLEY W R CORP           COM          084423102        178      7570 SH             X         3         6696                 874
BERKSHIRE HATHAWAY INC     CL A         084670108        784         6 SH             X         3            6
BERKSHIRE HATHAWAY INC     CL A         084670108       1959        15 SH                 X     3                     13         2
BERKSHIRE HATHAWAY INC     CL B         084670207       4166       948 SH             X         3          853        15        80
BERKSHIRE HATHAWAY INC     CL B         084670207       1661       378 SH                 X     3            4       313        61
BEST BUY INC               COM          086516101          2        52 SH             X         2           52
BEST BUY INC               COM          086516101       1009     26900 SH             X         2        26900
BEST BUY INC               COM          086516101       1524     40650 SH             X         2        40650
BEST BUY INC               COM          086516101       2107     56192 SH             X         3        48397        55      7740
BEST BUY INC               COM          086516101        575     15336 SH                 X     3         1755     10464      3117
BHP BILLITON LTD           SPON ADR     088606108       1254     24125 SH             X        1,3       24125
BHP BILLITON LTD           SPON ADR     088606108        112      2150 SH                 X    1,3        1750       400
BHP BILLITON LTD           SPON ADR     088606108        828     15919 SH             X         3        14300      1030       589
BHP BILLITON LTD           SPON ADR     088606108        738     14186 SH                 X     3          900     11695      1591
BIG LOTS INC               COM          089302103        241      8670 SH             X         2         8670
BIG LOTS INC               COM          089302103       1934     69500 SH             X         2        69500
BIG LOTS INC               COM          089302103       2235     80300 SH             X         2        80300
BIG LOTS INC               COM          089302103       1419     51006 SH             X         3        51006
BIG LOTS INC               COM          089302103         30      1066 SH                 X     3                   1066
BIO RAD LABS INC           CL A         090572207        248      2500 SH             X         3         2500
BIOMARIN PHARMACEUTICAL    COM          09061G101        195      7360 SH             X         2         7360
BIOMARIN PHARMACEUTICAL    COM          09061G101       1542     58200 SH             X         2        58200
BIOMARIN PHARMACEUTICAL    COM          09061G101       1770     66800 SH             X         2        66800
BIOMARIN PHARMACEUTICAL    COM          09061G101        398     15035 SH             X         3        15035
BIOMARIN PHARMACEUTICAL    COM          09061G101         15       575 SH                 X     3                              575
BIOGEN IDEC INC            COM          09062X103       1715     34100 SH             X         2        34100
BIOGEN IDEC INC            COM          09062X103        195      3877 SH             X         3         3706                 171
BIOGEN IDEC INC            COM          09062X103        110      2193 SH                 X     3          730      1236       227
BLACK & DECKER CORP        COM          091797100          6       100 SH             X        1,3         100
BLACK & DECKER CORP        COM          091797100        216      3553 SH             X         3         3242        35       276
BLACK & DECKER CORP        COM          091797100          3        50 SH                 X     3                     50
BLACKROCK INC              COM          09247X101       1178      6058 SH             X         3         5858       200
BLACKROCK INC              COM          09247X101        714      3670 SH                 X     3         3525                 145
BLACKROCK WORLD INVT TR    COMSHBINT    09250K103        153     14544 SH             X         3        14544
BLOCK H & R INC            COM          093671105        282     12432 SH             X         3         9556       157      2719
BLOCK H & R INC            COM          093671105         93      4093 SH                 X     3         1600      2493
BLOCKBUSTER INC            CL A         093679108        315    153740 SH             X         2       153740
BLOCKBUSTER INC            CL A         093679108       2911   1419800 SH             X         2      1419800
BLOCKBUSTER INC            CL A         093679108        582    283970 SH             X         3       283970
BLUE CHIP VALUE FD INC     COM          095333100         36     10300 SH             X        1,3       10300
BOEING CO                  COM          097023105         32       550 SH             X        1,3         550
BOEING CO                  COM          097023105         12       206 SH                 X    1,3         206
BOEING CO                  COM          097023105         98      1714 SH             X         2         1714
BOEING CO                  COM          097023105       1552     27065 SH             X         2        27065
BOEING CO                  COM          097023105      12501    217979 SH             X         3       209658      4953      3368
BOEING CO                  COM          097023105       1241     21633 SH                 X     3         2302     18835       496
BORGWARNER INC             COM          099724106        584     17831 SH             X         3        16198                1633
BORGWARNER INC             COM          099724106         26       792 SH                 X     3                    792
BRADY CORP                 CL A         104674106        164      4652 SH             X         3         3555       600       497
BRADY CORP                 CL A         104674106       1399     39660 SH                 X     3          122     39538
BRIGGS & STRATTON CORP     COM          109043109        261     16126 SH             X         3        15764                 362
BRIGGS & STRATTON CORP     COM          109043109        269     16600 SH                 X     3         2300     14300
BRINKS CO                  COM          109696104        363      5954 SH             X         3         5510                 444
BRISTOL MYERS SQUIBB CO    COM          110122108        610     29240 SH             X        1,3       29240
BRISTOL MYERS SQUIBB CO    COM          110122108         56      2700 SH                 X    1,3        2600       100
BRISTOL MYERS SQUIBB CO    COM          110122108        224     10735 SH             X         2        10735
BRISTOL MYERS SQUIBB CO    COM          110122108       1583     75900 SH             X         2        75900
BRISTOL MYERS SQUIBB CO    COM          110122108       2505    120150 SH             X         2       120150
BRISTOL MYERS SQUIBB CO    COM          110122108       7348    352445 SH             X         3       344962      4802      2681
BRISTOL MYERS SQUIBB CO    COM          110122108       1483     71105 SH                 X     3         8302     54501      8302
BRITISH AMERN TOB PLC      SPON ADR     110448107        155      2504 SH             X         3         2055                 449
BRITISH AMERN TOB PLC      SPON ADR     110448107         81      1307 SH                 X     3                     85      1222
BROADCOM CORP              CL A         111320107        570     30601 SH             X         3        30601
BROADCOM CORP              CL A         111320107         30      1614 SH                 X     3          790       585       239
BROCADE COMMUNICATIONS     COM NEW      111621306         85     14535 SH             X         3         9960                4575
BROCADE COMMUNICATIONS     COM NEW      111621306         17      2982 SH                 X     3                   2982
BROWN FORMAN CORP          CL B         115637209        381      5309 SH             X         3         5218        60        31
BROWN FORMAN CORP          CL B         115637209          8       118 SH                 X     3                    118
BURLINGTON NORTHN SANTA    COM          12189T104       2143     23183 SH             X         3        21534        32      1617
BURLINGTON NORTHN SANTA    COM          12189T104        890      9632 SH                 X     3          223      5659      3750
C&D TECHNOLOGIES INC       COM          124661109        198     34909 SH             X         3        34029                 880
CBIZ INC                   COM          124805102        175     20700 SH             X         2        20700
CBIZ INC                   COM          124805102       1641    194200 SH             X         2       194200
CBIZ INC                   COM          124805102        333     39388 SH             X         3        39388
CBS CORP NEW               CL B         124857202         74      5095 SH             X         2         5095
CBS CORP NEW               CL B         124857202       1776    121799 SH             X         3       120528       395       876
CBS CORP NEW               CL B         124857202         57      3941 SH                 X     3                   3941





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
CF INDS HLDGS INC          COM          125269100        197      2156 SH             X         3         2156
CF INDS HLDGS INC          COM          125269100         47       516 SH                 X     3                     81       435
C H ROBINSON WORLDWIDE     COM NEW      12541W209       1244     24406 SH             X         3        17470                6936
C H ROBINSON WORLDWIDE     COM NEW      12541W209        645     12661 SH                 X     3         1135      1947      9579
CIGNA CORP                 COM          125509109         48      1405 SH             X         2         1405
CIGNA CORP                 COM          125509109       3252     95700 SH             X         2        95700
CIGNA CORP                 COM          125509109       1209     35589 SH             X         3        31079                4510
CIGNA CORP                 COM          125509109        191      5628 SH                 X     3                   4328      1300
CIT GROUP INC              COM          125581108        118     16915 SH             X         3        13090                3825
CIT GROUP INC              COM          125581108          1       182 SH                 X     3                    182
CME GROUP INC              COM          12572Q105        254       683 SH             X         3          683
CME GROUP INC              COM          12572Q105         71       191 SH                 X     3                     36       155
CMS ENERGY CORP            COM          125896100         63      5044 SH             X         2         5044
CMS ENERGY CORP            COM          125896100       3797    304500 SH             X         2       304500
CMS ENERGY CORP            COM          125896100       1293    103688 SH             X         3        91958               11730
CMS ENERGY CORP            COM          125896100          8       644 SH                 X     3                    644
CSX CORP                   COM          126408103        120      2200 SH             X        1,3        2200
CSX CORP                   COM          126408103       2199     40300 SH             X         2        40300
CSX CORP                   COM          126408103        807     14790 SH             X         3        14699                  91
CSX CORP                   COM          126408103        526      9648 SH                 X     3                   9648
CVS CAREMARK CORP          COM          126650100       2222     66000 SH             X         2        66000
CVS CAREMARK CORP          COM          126650100       2706     80400 SH             X         2        80400
CVS CAREMARK CORP          COM          126650100       2528     75090 SH             X         2        75090
CVS CAREMARK CORP          COM          126650100       4361    129588 SH             X         3       129026                 562
CVS CAREMARK CORP          COM          126650100        570     16944 SH                 X     3         2154     10350      4440
CA INC                     COM          12673P105        316     15836 SH             X         3        15646                 190
CA INC                     COM          12673P105         99      4955 SH                 X     3                   4955
CAMECO CORP                COM          13321L108         16       700 SH             X         3          700
CAMECO CORP                COM          13321L108        409     18341 SH                 X     3                  18341
CAMERON INTERNATIONAL      COM          13342B105       1349     35000 SH             X         2        35000
CAMERON INTERNATIONAL      COM          13342B105        362      9383 SH             X         3         8975                 408
CAMERON INTERNATIONAL      COM          13342B105        166      4308 SH                 X     3                   2796      1512
CAMPBELL SOUP CO           COM          134429109         39      1000 SH             X        1,3        1000
CAMPBELL SOUP CO           COM          134429109       1049     27189 SH             X         3        26870       229        90
CAMPBELL SOUP CO           COM          134429109         75      1933 SH                 X     3                   1933
CANADIAN NAT RES LTD       COM          136385101        271      3952 SH             X         3         3952
CANADIAN NAT RES LTD       COM          136385101         93      1353 SH                 X     3                    874       479
CANON INC                  ADR          138006309       1035     27406 SH             X         3        19775                7631
CANON INC                  ADR          138006309        245      6499 SH                 X     3                   3402      3097
CAPITAL ONE FINL CORP      COM          14040H105         24       462 SH             X         2          462
CAPITAL ONE FINL CORP      COM          14040H105       1668     32700 SH             X         2        32700
CAPITAL ONE FINL CORP      COM          14040H105       1171     22960 SH             X         3        21690                1270
CAPITAL ONE FINL CORP      COM          14040H105        348      6815 SH                 X     3                   6815
CARDINAL HEALTH INC        COM          14149Y108          9       173 SH             X        1,3         173
CARDINAL HEALTH INC        COM          14149Y108       3167     64266 SH             X         3        57846       173      6247
CARDINAL HEALTH INC        COM          14149Y108        741     15042 SH                 X     3           21     12721      2300
CARDIONET INC              COM          14159L103        320     12840 SH             X         2        12840
CARDIONET INC              COM          14159L103       2998    120100 SH             X         2       120100
CARDIONET INC              COM          14159L103        612     24523 SH             X         3        24523
CARNIVAL CORP              PAIRED CTF   143658300       1722     48727 SH             X         3        48211       159       357
CARNIVAL CORP              PAIRED CTF   143658300        307      8680 SH                 X     3          370      8186       124
CASEYS GEN STORES INC      COM          147528103        152      5047 SH             X         3         3100                1947
CASEYS GEN STORES INC      COM          147528103         68      2250 SH                 X     3                             2250
CATERPILLAR INC DEL        COM          149123101        198      3325 SH             X        1,3        3325
CATERPILLAR INC DEL        COM          149123101         24       400 SH                 X    1,3         200       200
CATERPILLAR INC DEL        COM          149123101         78      1317 SH             X         2         1317
CATERPILLAR INC DEL        COM          149123101       9138    153314 SH             X         3       148091      2565      2658
CATERPILLAR INC DEL        COM          149123101       3175     53280 SH                 X     3        33686     18811       783
CELGENE CORP               COM          151020104       2513     39720 SH             X         3        33195       300      6225
CELGENE CORP               COM          151020104        441      6971 SH                 X     3          980      1865      4126
CENTERPOINT ENERGY INC     COM          15189T107       2360    162000 SH             X         2       162000
CENTERPOINT ENERGY INC     COM          15189T107       1746    119791 SH             X         3       115921      3011       859
CENTERPOINT ENERGY INC     COM          15189T107        101      6920 SH                 X     3                   2210      4710
CENTEX CORP                COM          152312104        227     14015 SH             X         3        14015
CENTEX CORP                COM          152312104         19      1172 SH                 X     3                   1172
CENTRAL EUROPEAN DIST      COM          153435102        563     12393 SH             X         2        12393
CENTRAL EUROPEAN DIST      COM          153435102       4418     97300 SH             X         2        97300
CENTRAL EUROPEAN DIST      COM          153435102       5149    113400 SH             X         2       113400
CENTRAL EUROPEAN DIST      COM          153435102       1168     25708 SH             X         3        25708
CENTURYTEL INC             COM          156700106        390     10648 SH             X         3        10437       211
CENTURYTEL INC             COM          156700106         15       406 SH                 X     3                    406
CENVEO INC                 COM          15670S105        141     18400 SH             X         3        18400
CERNER CORP                COM          156782104       1420     31800 SH             X         2        31800
CERNER CORP                COM          156782104         64      1449 SH             X         3          838                 611
CHARLES RIV LABS INTL      COM          159864107       2299     41400 SH             X         2        41400
CHARLES RIV LABS INTL      COM          159864107        125      2254 SH             X         3         1586                 668
CHARLES RIV LABS INTL      COM          159864107         62      1110 SH                 X     3                    750       360
CHECKPOINT SYS INC         COM          162825103        516     27394 SH             X         3        27394
CHESAPEAKE ENERGY CORP     COM          165167107         11       300 SH             X        1,3         300
CHESAPEAKE ENERGY CORP     COM          165167107       1470     41000 SH             X         2        41000
CHESAPEAKE ENERGY CORP     COM          165167107        682     19020 SH             X         3        18913                 107
CHESAPEAKE ENERGY CORP     COM          165167107        207      5776 SH                 X     3          970      1701      3105
CHEVRON CORP NEW           COM          166764100        336      4075 SH             X        1,3        4075
CHEVRON CORP NEW           COM          166764100        124      1503 SH                 X    1,3        1078       425
CHEVRON CORP NEW           COM          166764100        717      8693 SH             X         2         8693
CHEVRON CORP NEW           COM          166764100       9473    114850 SH             X         2       114850
CHEVRON CORP NEW           COM          166764100      45821    555544 SH             X         3       534743     15236      5565
CHEVRON CORP NEW           COM          166764100       6987     84711 SH                 X     3        18291     60216      6204
CHUBB CORP                 COM          171232101         11       200 SH                 X    1,3         200
CHUBB CORP                 COM          171232101       4612     84000 SH             X         2        84000





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
CHUBB CORP                 COM          171232101       3453     62908 SH             X         3        61678      1150        80
CHUBB CORP                 COM          171232101        348      6342 SH                 X     3                   5909       433
CIENA CORP                 COM NEW      171779309        358     35525 SH             X         3        35525
CIMAREX ENERGY CO          COM          171798101         18       372 SH             X         2          372
CIMAREX ENERGY CO          COM          171798101       1213     24800 SH             X         2        24800
CIMAREX ENERGY CO          COM          171798101        501     10250 SH             X         2        10250
CIMAREX ENERGY CO          COM          171798101        454      9282 SH             X         3         7722                1560
CINCINNATI FINL CORP       COM          172062101       2564     90154 SH             X         3        89800                 354
CINCINNATI FINL CORP       COM          172062101         69      2423 SH                 X     3                   1872       551
CIRRUS LOGIC INC           COM          172755100         89     16362 SH             X         3        16362
CISCO SYS INC              COM          17275R102       1373     60840 SH             X        1,3       60840
CISCO SYS INC              COM          17275R102        141      6250 SH                 X    1,3        5100      1150
CISCO SYS INC              COM          17275R102        365     16170 SH             X         2        16170
CISCO SYS INC              COM          17275R102       6705    297200 SH             X         2       297200
CISCO SYS INC              COM          17275R102      27839   1233995 SH             X         3      1193697     24970     15328
CISCO SYS INC              COM          17275R102       3855    170865 SH                 X     3        38348    126173      6344
CINTAS CORP                COM          172908105       1291     44978 SH             X         3        30078       750     14150
CINTAS CORP                COM          172908105        324     11295 SH                 X     3                   6795      4500
CITIGROUP INC              COM          172967101         16       775 SH             X        1,3         775
CITIGROUP INC              COM          172967101          2       120 SH                 X    1,3         120
CITIGROUP INC              COM          172967101        145      7080 SH             X         2         7080
CITIGROUP INC              COM          172967101      15856    773092 SH             X         3       746532     11761     14799
CITIGROUP INC              COM          172967101       1629     79448 SH                 X     3        11068     67355      1025
CITRIX SYS INC             COM          177376100        341     13482 SH             X         3        13345       137
CITRIX SYS INC             COM          177376100          4       175 SH                 X     3                    175
CITY NATL CORP             COM          178566105         57      1050 SH             X         2         1050
CITY NATL CORP             COM          178566105       3177     58500 SH             X         2        58500
CITY NATL CORP             COM          178566105        857     15789 SH             X         3        13222                2567
CITY NATL CORP             COM          178566105        158      2901 SH                 X     3                   2901
CLARCOR INC                COM          179895107         39      1038 SH             X         3          558                 480
CLARCOR INC                COM          179895107        531     14000 SH                 X     3                  14000
CLAYMORE EXCHANGE TRADE    BNY BRI&C    18383M100        829     23844 SH             X         3        23829                  15
CLAYMORE EXCHANGE TRADE    BNY BRI&C    18383M100         88      2545 SH                 X     3                   1724       821
CLEAN HARBORS INC          COM          184496107        337      4990 SH             X         2         4990
CLEAN HARBORS INC          COM          184496107       3101     45900 SH             X         2        45900
CLEAN HARBORS INC          COM          184496107        645      9552 SH             X         3         9552
CLOROX CO DEL              COM          189054109         25       400 SH             X        1,3         400
CLOROX CO DEL              COM          189054109         31       500 SH                 X    1,3         500
CLOROX CO DEL              COM          189054109        110      1760 SH             X         2         1760
CLOROX CO DEL              COM          189054109       4120     65722 SH             X         3        64305                1417
CLOROX CO DEL              COM          189054109        681     10866 SH                 X     3         8748      1618       500
COACH INC                  COM          189754104        882     35210 SH             X         3        35210
COACH INC                  COM          189754104        578     23103 SH                 X     3        21465       411      1227
COCA COLA CO               COM          191216100        986     18649 SH             X        1,3       18524       125
COCA COLA CO               COM          191216100         85      1600 SH                 X    1,3        1500       100
COCA COLA CO               COM          191216100        493      9323 SH             X         2         9323
COCA COLA CO               COM          191216100       2275     43030 SH             X         2        43030
COCA COLA CO               COM          191216100      25690    485818 SH             X         3       443209     29632     12977
COCA COLA CO               COM          191216100       4008     75787 SH                 X     3        12825     59297      3665
COGNEX CORP                COM          192422103        207     10264 SH             X         3         9600                 664
COLGATE PALMOLIVE CO       COM          194162103          8       100 SH             X        1,3         100
COLGATE PALMOLIVE CO       COM          194162103          8       100 SH                 X    1,3                   100
COLGATE PALMOLIVE CO       COM          194162103        202      2675 SH             X         2         2675
COLGATE PALMOLIVE CO       COM          194162103       1070     14200 SH             X         2        14200
COLGATE PALMOLIVE CO       COM          194162103       3564     47300 SH             X         2        47300
COLGATE PALMOLIVE CO       COM          194162103      16970    225210 SH             X         3       218542      6096       572
COLGATE PALMOLIVE CO       COM          194162103       3297     43751 SH                 X     3        10375     31876      1500
COLLECTIVE BRANDS INC      COM          19421W100         47      2554 SH             X         3         1499                1055
COLLECTIVE BRANDS INC      COM          19421W100        171      9365 SH                 X     3                   9365
COLONIAL BANCGROUP INC     COM          195493309         98     12427 SH             X         3         5674                6753
COLONIAL BANCGROUP INC     COM          195493309         46      5910 SH                 X     3                   1000      4910
COMCAST CORP NEW           CL A         20030N101         15       750 SH             X        1,3         750
COMCAST CORP NEW           CL A         20030N101        161      8202 SH             X         2         8202
COMCAST CORP NEW           CL A         20030N101       6940    353539 SH             X         3       343378      4951      5210
COMCAST CORP NEW           CL A         20030N101        320     16317 SH                 X     3         4173     11725       419
COMCAST CORP NEW           CL A SPL     20030N200         16       787 SH             X         3          787
COMCAST CORP NEW           CL A SPL     20030N200        425     21546 SH                 X     3                  16767      4779
COMERICA INC               COM          200340107        436     13288 SH             X         3        13288
COMERICA INC               COM          200340107        191      5821 SH                 X     3         1000      4821
COMMERCE BANCSHARES INC    COM          200525103       3549     76491 SH             X         3        75920                 571
COMMERCE BANCSHARES INC    COM          200525103       1240     26720 SH                 X     3                  26720
COMMVAULT SYSTEMS INC      COM          204166102        136     11250 SH             X         2        11250
COMMVAULT SYSTEMS INC      COM          204166102       1268    105200 SH             X         2       105200
COMMVAULT SYSTEMS INC      COM          204166102        260     21564 SH             X         3        21564
COMPANHIA DE BEBIDAS       SP ADR PFD   20441W203        177      3241 SH             X         3         2638                 603
COMPANHIA DE BEBIDAS       SP ADR PFD   20441W203         96      1757 SH                 X     3                    115      1642
COMPUTER SCIENCES CORP     COM          205363104        587     14614 SH             X         3        14500       114
COMPUTER SCIENCES CORP     COM          205363104        259      6447 SH                 X     3                   4097      2350
COMPUWARE CORP             COM          205638109        154     15921 SH             X         3        15921
COMPUWARE CORP             COM          205638109          2       249 SH                 X     3                    249
CONAGRA FOODS INC          COM          205887102          8       400 SH             X        1,3         400
CONAGRA FOODS INC          COM          205887102          6       300 SH                 X    1,3         300
CONAGRA FOODS INC          COM          205887102         86      4440 SH             X         2         4440
CONAGRA FOODS INC          COM          205887102       1696     87145 SH             X         3        85956       253       936
CONAGRA FOODS INC          COM          205887102         93      4780 SH                 X     3                   4780
CON-WAY INC                COM          205944101         19       431 SH             X         2          431
CON-WAY INC                COM          205944101       1239     28100 SH             X         2        28100
CON-WAY INC                COM          205944101        340      7704 SH             X         3         6052                1652
CONOCOPHILLIPS             COM          20825C104       1621     22136 SH             X        1,3       22118        18
CONOCOPHILLIPS             COM          20825C104        113      1538 SH                 X    1,3        1194       344





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
CONOCOPHILLIPS             COM          20825C104        201      2750 SH             X         2         2750
CONOCOPHILLIPS             COM          20825C104       8876    121170 SH             X         2       121170
CONOCOPHILLIPS             COM          20825C104      11349    154943 SH             X         3       150762       663      3518
CONOCOPHILLIPS             COM          20825C104       2867     39144 SH                 X     3        17715     17088      4341
CONSECO INC                COM NEW      208464883        131     37246 SH             X         3        37246
CONSOL ENERGY INC          COM          20854P109        271      5905 SH             X         3         5905
CONSOL ENERGY INC          COM          20854P109         22       484 SH                 X     3                     64       420
CONSOLIDATED EDISON INC    COM          209115104        157      3655 SH             X         2         3655
CONSOLIDATED EDISON INC    COM          209115104       3943     91779 SH             X         3        89450       910      1419
CONSOLIDATED EDISON INC    COM          209115104        186      4334 SH                 X     3                   4334
CONSTELLATION ENERGY GR    COM          210371100        214      8811 SH             X         3         8415                 396
CONSTELLATION ENERGY GR    COM          210371100          3       126 SH                 X     3                    126
CONTANGO OIL & GAS CO      COM NEW      21075N204        746     13826 SH             X         2        13826
CONTANGO OIL & GAS CO      COM NEW      21075N204       6858    127050 SH             X         2       127050
CONTANGO OIL & GAS CO      COM NEW      21075N204       6899    127800 SH             X         2       127800
CONTANGO OIL & GAS CO      COM NEW      21075N204       1550     28726 SH             X         3        28726
CONTINENTAL AIRLS INC      CL B         210795308         23      1394 SH             X         2         1394
CONTINENTAL AIRLS INC      CL B         210795308       1573     94300 SH             X         2        94300
CONTINENTAL AIRLS INC      CL B         210795308        471     28222 SH             X         3        24632                3590
CONVERGYS CORP             COM          212485106        179     12101 SH             X         3        12101
CONVERGYS CORP             COM          212485106          9       585 SH                 X     3                    585
CORINTHIAN COLLEGES INC    COM          218868107        341     22728 SH             X         3        21145                1583
CORNELL COMPANIES INC      COM          219141108        311     11440 SH             X         2        11440
CORNELL COMPANIES INC      COM          219141108       2903    106800 SH             X         2       106800
CORNELL COMPANIES INC      COM          219141108        594     21856 SH             X         3        21856
CORNING INC                COM          219350105       2202    140800 SH             X         2       140800
CORNING INC                COM          219350105       1568    100240 SH             X         3        98903       569       768
CORNING INC                COM          219350105        157     10038 SH                 X     3         1790      7710       538
CORRECTIONS CORP AMER      COM NEW      22025Y407        148      5940 SH             X         2         5940
CORRECTIONS CORP AMER      COM NEW      22025Y407       2878    115800 SH             X         2       115800
CORRECTIONS CORP AMER      COM NEW      22025Y407       1354     54500 SH             X         2        54500
CORRECTIONS CORP AMER      COM NEW      22025Y407        366     14715 SH             X         3        13576                1139
COSTCO WHSL CORP NEW       COM          22160K105       1915     29500 SH             X         2        29500
COSTCO WHSL CORP NEW       COM          22160K105       2159     33242 SH             X         3        32582        42       618
COSTCO WHSL CORP NEW       COM          22160K105        520      8013 SH                 X     3          200      5926      1887
COVANCE INC                COM          222816100       2652     30000 SH             X         2        30000
COVANCE INC                COM          222816100        293      3309 SH             X         3         2603                 706
COVANCE INC                COM          222816100         19       210 SH                 X     3                    210
CROWN CASTLE INTL CORP     COM          228227104       2005     69200 SH             X         2        69200
CROWN CASTLE INTL CORP     COM          228227104         34      1166 SH             X         3         1166
CUMMINS INC                COM          231021106        734     16786 SH             X         3        16393                 393
CUMMINS INC                COM          231021106         45      1020 SH                 X     3                    645       375
CURRENCYSHS JPN YEN TR     JPN YEN      23130A102        250      2661 SH                 X     3                   2661
CYBERSOURCE CORP           COM          23251J106        202     12530 SH             X         2        12530
CYBERSOURCE CORP           COM          23251J106       1895    117600 SH             X         2       117600
CYBERSOURCE CORP           COM          23251J106        388     24139 SH             X         3        23942                 197
CYBERONICS INC             COM          23251P102        681     40080 SH             X         3        39521                 559
CYTEC INDS INC             COM          232820100         56      1445 SH             X         2         1445
CYTEC INDS INC             COM          232820100       3735     96000 SH             X         2        96000
CYTEC INDS INC             COM          232820100       1112     28568 SH             X         3        24617                3951
CYTEC INDS INC             COM          232820100         11       276 SH                 X     3          118       158
DNP SELECT INCOME FD       COM          23325P104         34      3602 SH             X        1,3        3602
DNP SELECT INCOME FD       COM          23325P104         28      3000 SH                 X     3                   3000
DNP SELECT INCOME FD       COM          23325P104        548     58515 SH             X         3        58515
DG FASTCHANNEL INC         COM          23326R109        366     16700 SH             X         2        16700
DG FASTCHANNEL INC         COM          23326R109       3413    155700 SH             X         2       155700
DG FASTCHANNEL INC         COM          23326R109        699     31908 SH             X         3        31908
DTE ENERGY CO              COM          233331107        129      3215 SH             X         2         3215
DTE ENERGY CO              COM          233331107       2451     61089 SH             X         3        60323       355       411
DTE ENERGY CO              COM          233331107         64      1597 SH                 X     3                   1597
DANAHER CORP DEL           COM          235851102       1287     18545 SH             X        1,3       18545
DANAHER CORP DEL           COM          235851102        144      2075 SH                 X    1,3        1475       600
DANAHER CORP DEL           COM          235851102       3405     49066 SH             X         3        39225        34      9807
DANAHER CORP DEL           COM          235851102        710     10229 SH                 X     3         1740      1490      6999
DAVITA INC                 COM          23918K108         84      1481 SH             X         2         1481
DAVITA INC                 COM          23918K108       5433     95300 SH             X         2        95300
DAVITA INC                 COM          23918K108       1288     22588 SH             X         3        19068                3520
DAVITA INC                 COM          23918K108        243      4261 SH                 X     3                   4261
DAYTON SUPERIOR CORP       COM          240028308         18     13200 SH             X         3        13200
DEAN FOODS CO NEW          COM          242370104         30      1300 SH             X        1,3        1300
DEAN FOODS CO NEW          COM          242370104        541     23176 SH             X         3        23176
DEERE & CO                 COM          244199105         35       700 SH             X        1,3         700
DEERE & CO                 COM          244199105          8       160 SH             X         2          160
DEERE & CO                 COM          244199105       2653     53600 SH             X         2        53600
DEERE & CO                 COM          244199105       2931     59211 SH             X         3        57761      1320       130
DEERE & CO                 COM          244199105        617     12462 SH                 X     3         2300      6068      4094
DELL INC                   COM          24702R101         89      5390 SH             X        1,3        5090       300
DELL INC                   COM          24702R101         35      2100 SH                 X    1,3        2100
DELL INC                   COM          24702R101        101      6140 SH             X         2         6140
DELL INC                   COM          24702R101       8813    534789 SH             X         3       521312      7978      5499
DELL INC                   COM          24702R101        263     15944 SH                 X     3          710     13304      1930
DENBURY RES INC            COM NEW      247916208        177      9299 SH             X         3         5706                3593
DENBURY RES INC            COM NEW      247916208         20      1038 SH                 X     3                   1038
DENNYS CORP                COM          24869P104        122     47420 SH             X         3        47420
DENTSPLY INTL INC NEW      COM          249030107        648     17250 SH             X        1,3       17250
DENTSPLY INTL INC NEW      COM          249030107         41      1100 SH                 X    1,3        1100
DENTSPLY INTL INC NEW      COM          249030107         34       905 SH             X         2          905
DENTSPLY INTL INC NEW      COM          249030107       1746     46500 SH             X         2        46500
DENTSPLY INTL INC NEW      COM          249030107       2444     65100 SH             X         2        65100
DENTSPLY INTL INC NEW      COM          249030107        798     21277 SH             X         3        17872                3405





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
DENTSPLY INTL INC NEW      COM          249030107         33       891 SH                 X     3                    411       480
DEVELOPERS DIVERSIFIED     COM          251591103         83      2605 SH             X         2         2605
DEVELOPERS DIVERSIFIED     COM          251591103       2223     70152 SH             X         3        69851                 301
DEVELOPERS DIVERSIFIED     COM          251591103         48      1522 SH                 X     3                   1522
DEVON ENERGY CORP NEW      COM          25179M103       2052     22500 SH             X         2        22500
DEVON ENERGY CORP NEW      COM          25179M103       1536     16837 SH             X         3        16453                 384
DEVON ENERGY CORP NEW      COM          25179M103        245      2686 SH                 X     3                   2241       445
DEVRY INC DEL              COM          251893103        439      8862 SH             X         3         8431                 431
DIAGEO P L C               SP ADR NEW   25243Q205       1057     15345 SH             X         3        11070                4275
DIAGEO P L C               SP ADR NEW   25243Q205        348      5051 SH                 X     3                   4251       800
DIAMONDS TR                UNIT SER 1   252787106       5490     50668 SH             X         3        50668
DIRECTV GROUP INC          COM          25459L106       1247     47651 SH             X         3        36643               11008
DIRECTV GROUP INC          COM          25459L106        532     20332 SH                 X     3         1618      2502     16212
DISNEY WALT CO             COM          254687106         15       500 SH             X        1,3         500
DISNEY WALT CO             COM          254687106          8       270 SH             X         2          270
DISNEY WALT CO             COM          254687106       6961    226810 SH             X         3       211595     12585      2630
DISNEY WALT CO             COM          254687106       1295     42198 SH                 X     3         1525     40473       200
DISCOVER FINL SVCS         COM          254709108          1        74 SH             X        1,3          74
DISCOVER FINL SVCS         COM          254709108        504     36464 SH             X         3        36185                 279
DISCOVER FINL SVCS         COM          254709108        146     10561 SH                 X     3                   4227      6334
DOLAN MEDIA CO             COM          25659P402        101     10000 SH             X         3        10000
DOLLAR TREE INC            COM          256746108       2167     59600 SH             X         2        59600
DOLLAR TREE INC            COM          256746108        137      3771 SH             X         3         2928                 843
DOLLAR TREE INC            COM          256746108         15       405 SH                 X     3                    405
DOMINION RES INC VA NEW    COM          25746U109         17       400 SH             X        1,3         400
DOMINION RES INC VA NEW    COM          25746U109         39       905 SH             X         2          905
DOMINION RES INC VA NEW    COM          25746U109       5232    122300 SH             X         2       122300
DOMINION RES INC VA NEW    COM          25746U109       3222     75305 SH             X         3        72766       215      2324
DOMINION RES INC VA NEW    COM          25746U109        339      7929 SH                 X     3         1555      6374
DONALDSON INC              COM          257651109        294      7008 SH             X         2         7008
DONALDSON INC              COM          257651109       2242     53500 SH             X         2        53500
DONALDSON INC              COM          257651109       2707     64600 SH             X         2        64600
DONALDSON INC              COM          257651109        714     17021 SH             X         3        16363                 658
DONNELLEY R R & SONS CO    COM          257867101         13       540 SH             X        1,3         540
DONNELLEY R R & SONS CO    COM          257867101          7       300 SH                 X    1,3         300
DONNELLEY R R & SONS CO    COM          257867101        498     20296 SH             X         3        19520       500       276
DONNELLEY R R & SONS CO    COM          257867101         78      3189 SH                 X     3                    313      2876
DOVER CORP                 COM          260003108        453     11181 SH             X         3        11181
DOVER CORP                 COM          260003108        254      6259 SH                 X     3         2060      3907       292
DOW CHEM CO                COM          260543103        119      3750 SH             X        1,3        3750
DOW CHEM CO                COM          260543103         46      1434 SH                 X    1,3         984       450
DOW CHEM CO                COM          260543103        162      5095 SH             X         2         5095
DOW CHEM CO                COM          260543103       1786     56200 SH             X         2        56200
DOW CHEM CO                COM          260543103       6096    191830 SH             X         3       184829      2996      4005
DOW CHEM CO                COM          260543103        737     23193 SH                 X     3         4822     15372      2999
DU PONT E I DE NEMOURS     COM          263534109        673     16704 SH             X        1,3       16704
DU PONT E I DE NEMOURS     COM          263534109        111      2750 SH                 X    1,3        2350       400
DU PONT E I DE NEMOURS     COM          263534109        221      5475 SH             X         2         5475
DU PONT E I DE NEMOURS     COM          263534109       7336    182025 SH             X         3       178056      1548      2421
DU PONT E I DE NEMOURS     COM          263534109       1093     27129 SH                 X     3         4303     20643      2183
DUKE REALTY CORP           COM NEW      264411505        150      6101 SH             X         3         4897                1204
DUKE REALTY CORP           COM NEW      264411505        118      4815 SH                 X     3                    595      4220
DUKE ENERGY CORP NEW       COM          26441C105         10       600 SH             X        1,3         600
DUKE ENERGY CORP NEW       COM          26441C105          5       300 SH                 X    1,3         300
DUKE ENERGY CORP NEW       COM          26441C105       1284     73693 SH             X         3        70589       404      2700
DUKE ENERGY CORP NEW       COM          26441C105        226     12965 SH                 X     3         1404      4431      7130
DUN & BRADSTREET CORP      COM          26483E100       2170     23000 SH             X         2        23000
DUN & BRADSTREET CORP      COM          26483E100        185      1955 SH             X         3         1470                 485
DUN & BRADSTREET CORP      COM          26483E100         18       190 SH                 X     3                              190
DYNCORP INTL INC           CL A         26817C101        162      9690 SH             X         2         9690
DYNCORP INTL INC           CL A         26817C101       1503     89700 SH             X         2        89700
DYNCORP INTL INC           CL A         26817C101        314     18686 SH             X         3        18686
E M C CORP MASS            COM          268648102       2801    234200 SH             X         2       234200
E M C CORP MASS            COM          268648102       1316    110016 SH             X         3       107934       503      1579
E M C CORP MASS            COM          268648102        146     12235 SH                 X     3         3962      7227      1046
ENSCO INTL INC             COM          26874Q100        947     16428 SH             X         3        15917       511
ENSCO INTL INC             COM          26874Q100         95      1655 SH                 X     3                   1655
ENI S P A                  SPON ADR     26874R108        187      3535 SH             X         3         3535
ENI S P A                  SPON ADR     26874R108        140      2643 SH                 X     3                   2643
EOG RES INC                COM          26875P101          9       100 SH             X        1,3         100
EOG RES INC                COM          26875P101        819      9158 SH             X         3         9004        50       104
EOG RES INC                COM          26875P101        107      1200 SH                 X     3                   1200
EXCO RESOURCES INC         COM          269279402        237     14550 SH             X         2        14550
EXCO RESOURCES INC         COM          269279402       1743    106800 SH             X         2       106800
EXCO RESOURCES INC         COM          269279402       2224    136300 SH             X         2       136300
EXCO RESOURCES INC         COM          269279402        477     29220 SH             X         3        29220
EASTMAN CHEM CO            COM          277432100         74      1345 SH             X         2         1345
EASTMAN CHEM CO            COM          277432100       1194     21697 SH             X         3        21612                  85
EASTMAN CHEM CO            COM          277432100         41       752 SH                 X     3                    752
EASTMAN KODAK CO           COM          277461109        295     19195 SH             X         3        17872        73      1250
EASTMAN KODAK CO           COM          277461109         24      1580 SH                 X     3          100       630       850
EATON CORP                 COM          278058102         44       778 SH             X         2          778
EATON CORP                 COM          278058102       2826     50300 SH             X         2        50300
EATON CORP                 COM          278058102       1421     25300 SH             X         2        25300
EATON CORP                 COM          278058102       1589     28276 SH             X         3        25379                2897
EATON CORP                 COM          278058102        346      6156 SH                 X     3          133      4343      1680
EATON VANCE CORP           COM NVTG     278265103        236      6710 SH             X         3         4658                2052
EATON VANCE CORP           COM NVTG     278265103         24       675 SH                 X     3                    675
EATON VANCE TX ADV GLBL    COM          27828S101        125      8669 SH             X         3         8669
EATON VANCE TX ADV GLBL    COM          27828S101         22      1500 SH                 X     3          330      1170





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
EBAY INC                   COM          278642103       2574    115000 SH             X         2       115000
EBAY INC                   COM          278642103        451     20179 SH             X         3        19739       104       336
EBAY INC                   COM          278642103         31      1375 SH                 X     3                    725       650
ECOLAB INC                 COM          278865100       1324     27283 SH             X         3        20647      6484       152
ECOLAB INC                 COM          278865100        159      3277 SH                 X     3                   3077       200
EDGE PETE CORP DEL         COM          279862106         89     49720 SH             X         2        49720
EDGE PETE CORP DEL         COM          279862106        819    455100 SH             X         2       455100
EDGE PETE CORP DEL         COM          279862106        171     95147 SH             X         3        95147
EDISON INTL                COM          281020107         70      1752 SH             X        1,3        1752
EDISON INTL                COM          281020107         51      1267 SH             X         2         1267
EDISON INTL                COM          281020107       3643     91300 SH             X         2        91300
EDISON INTL                COM          281020107       1862     46662 SH             X         3        42850        61      3751
EDISON INTL                COM          281020107         34       841 SH                 X     3                    841
EDWARDS LIFESCIENCES       COM          28176E108       1046     18109 SH             X         3        18009                 100
EDWARDS LIFESCIENCES       COM          28176E108         38       657 SH                 X     3                    657
EL PASO CORP               COM          28336L109         56      4389 SH             X         2         4389
EL PASO CORP               COM          28336L109       4104    321600 SH             X         2       321600
EL PASO CORP               COM          28336L109       1115     87376 SH             X         3        74926               12450
EL PASO CORP               COM          28336L109         63      4934 SH                 X     3         2390      1844       700
ELECTRONIC ARTS INC        COM          285512109        173      4670 SH             X         2         4670
ELECTRONIC ARTS INC        COM          285512109       5718    154577 SH             X         3       146279      5843      2455
ELECTRONIC ARTS INC        COM          285512109        288      7775 SH                 X     3          560      7215
ELECTRONICS FOR IMAGING    COM          286082102        212     15225 SH             X         3        15225
EMBARQ CORP                COM          29078E105        397      9790 SH             X         2         9790
EMBARQ CORP                COM          29078E105       4732    116700 SH             X         2       116700
EMBARQ CORP                COM          29078E105       4785    117993 SH             X         3       112613       330      5050
EMBARQ CORP                COM          29078E105         84      2078 SH                 X     3                   2078
EMBRAER-EMPRESA BRASIL     SP ADR COM   29081M102        264      9789 SH             X         3         4281                5508
EMBRAER-EMPRESA BRASIL     SP ADR COM   29081M102         66      2431 SH                 X     3                    127      2304
EMERSON ELEC CO            COM          291011104        868     21275 SH             X        1,3       21275
EMERSON ELEC CO            COM          291011104         76      1860 SH                 X    1,3        1760       100
EMERSON ELEC CO            COM          291011104       2776     68050 SH             X         2        68050
EMERSON ELEC CO            COM          291011104       2929     71810 SH             X         2        71810
EMERSON ELEC CO            COM          291011104      11358    278462 SH             X         3       273316      3960      1186
EMERSON ELEC CO            COM          291011104       4122    101044 SH                 X     3        15331     85213       500
EMPIRE DIST ELEC CO        COM          291641108        206      9656 SH             X         3         9462                 194
EMPIRE DIST ELEC CO        COM          291641108          3       150 SH                 X     3                    150
EMPLOYERS HOLDINGS INC     COM          292218104        177     10200 SH             X         3        10200
ENCANA CORP                COM          292505104        208      3168 SH             X         3         2564                 604
ENCANA CORP                COM          292505104        358      5445 SH                 X     3                   4900       545
ENERGIZER HLDGS INC        COM          29266R108       7131     88532 SH             X         3        87947                 585
ENERGIZER HLDGS INC        COM          29266R108       2928     36353 SH                 X     3          400      7203     28750
ENERPLUS RES FD            UT TR G NEW  29274D604        477     12827 SH             X         3        12827
ENERPLUS RES FD            UT TR G NEW  29274D604        346      9310 SH                 X     3                   9310
ENNIS INC                  COM          293389102         79      5083 SH             X         3         2543                2540
ENNIS INC                  COM          293389102        108      7010 SH                 X     3                   3700      3310
ENTERGY CORP NEW           COM          29364G103         27       300 SH             X        1,3         300
ENTERGY CORP NEW           COM          29364G103         37       418 SH             X         2          418
ENTERGY CORP NEW           COM          29364G103       2617     29400 SH             X         2        29400
ENTERGY CORP NEW           COM          29364G103       1195     13431 SH             X         3        12255                1176
ENTERGY CORP NEW           COM          29364G103         15       166 SH                 X     3                    166
EQUIFAX INC                COM          294429105        536     15556 SH             X         3        15110        89       357
EQUIFAX INC                COM          294429105         23       659 SH                 X     3                    659
EQUINIX INC                COM NEW      29444U502        431      6198 SH             X         2         6198
EQUINIX INC                COM NEW      29444U502       3410     49100 SH             X         2        49100
EQUINIX INC                COM NEW      29444U502       3987     57400 SH             X         2        57400
EQUINIX INC                COM NEW      29444U502        881     12679 SH             X         3        12679
EQUINIX INC                COM NEW      29444U502         67       970 SH                 X     3                              970
EQUITABLE RES INC          COM          294549100         43      1185 SH             X         2         1185
EQUITABLE RES INC          COM          294549100       3158     86100 SH             X         2        86100
EQUITABLE RES INC          COM          294549100        885     24127 SH             X         3        19613                4514
EQUITY RESIDENTIAL         SH BEN INT   29476L107        155      3490 SH             X         2         3490
EQUITY RESIDENTIAL         SH BEN INT   29476L107       1668     37550 SH             X         2        37550
EQUITY RESIDENTIAL         SH BEN INT   29476L107       3580     80615 SH             X         3        80138        76       401
EQUITY RESIDENTIAL         SH BEN INT   29476L107         75      1690 SH                 X     3          200      1490
ERESEARCHTECHNOLOGY INC    COM          29481V108        318     26730 SH             X         2        26730
ERESEARCHTECHNOLOGY INC    COM          29481V108       2972    249500 SH             X         2       249500
ERESEARCHTECHNOLOGY INC    COM          29481V108        608     51100 SH             X         3        51100
ERICSSON L M TEL CO        ADRBSEK10    294821608         86      9150 SH             X         3         1240                7910
ERICSSON L M TEL CO        ADRBSEK10    294821608        204     21652 SH                 X     3                  21652
EURONET WORLDWIDE INC      COM          298736109        239     14300 SH             X         3        14300
EXACTECH INC               COM          30064E109        139      6250 SH             X         2         6250
EXACTECH INC               COM          30064E109       1290     58000 SH             X         2        58000
EXACTECH INC               COM          30064E109        265     11939 SH             X         3        11939
EXELON CORP                COM          30161N101        505      8066 SH             X        1,3        8066
EXELON CORP                COM          30161N101        152      2426 SH                 X    1,3        2426
EXELON CORP                COM          30161N101        190      3036 SH             X         2         3036
EXELON CORP                COM          30161N101      10320    164798 SH             X         3       160282      2907      1609
EXELON CORP                COM          30161N101        666     10638 SH                 X     3         1645      8886       107
EXPEDIA INC DEL            COM          30212P105          3       225 SH             X        1,3         225
EXPEDIA INC DEL            COM          30212P105         51      3384 SH             X         2         3384
EXPEDIA INC DEL            COM          30212P105       3483    230500 SH             X         2       230500
EXPEDIA INC DEL            COM          30212P105        967     63992 SH             X         3        55292                8700
EXPEDIA INC DEL            COM          30212P105         43      2866 SH                 X     3         1300      1195       371
EXPRESS SCRIPTS INC        COM          302182100       1668     22600 SH             X         2        22600
EXPRESS SCRIPTS INC        COM          302182100       1737     23532 SH             X         3        23142                 390
EXPRESS SCRIPTS INC        COM          302182100       1092     14788 SH                 X     3        10765      3613       410
EXXON MOBIL CORP           COM          30231G102       2098     27013 SH             X        1,3       26863       150
EXXON MOBIL CORP           COM          30231G102        349      4500 SH                 X    1,3        3775       725
EXXON MOBIL CORP           COM          30231G102        699      8995 SH             X         2         8995





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
EXXON MOBIL CORP           COM          30231G102       6061     78050 SH             X         2        78050
EXXON MOBIL CORP           COM          30231G102      82846   1066768 SH             X         3      1026435     31483      8850
EXXON MOBIL CORP           COM          30231G102      19597    252344 SH                 X     3        36516    211648      4180
FLIR SYS INC               COM          302445101       1245     32400 SH             X         2        32400
FLIR SYS INC               COM          302445101       3877    100900 SH             X         2       100900
FLIR SYS INC               COM          302445101       1364     35531 SH             X         3        17926               17605
FLIR SYS INC               COM          302445101        542     14116 SH                 X     3         1412      2879      9825
F M C CORP                 COM NEW      302491303       1326     25800 SH             X         2        25800
F M C CORP                 COM NEW      302491303        101      1961 SH             X         3         1359                 602
FMC TECHNOLOGIES INC       COM          30249U101       1070     22995 SH             X         3        10144               12851
FMC TECHNOLOGIES INC       COM          30249U101        524     11261 SH                 X     3         1050      1561      8650
FNB CORP PA                COM          302520101        505     31584 SH             X         3        31584
FPL GROUP INC              COM          302571104         60      1200 SH             X        1,3        1200
FPL GROUP INC              COM          302571104       2188     43505 SH             X         3        38803      4602       100
FPL GROUP INC              COM          302571104        384      7636 SH                 X     3         1009      6627
FAMILY DLR STORES INC      COM          307000109        448     18896 SH             X         3        16571                2325
FAMILY DLR STORES INC      COM          307000109         66      2764 SH                 X     3                   2764
FASTENAL CO                COM          311900104          4        80 SH             X         2           80
FASTENAL CO                COM          311900104       1415     28652 SH             X         3        26452       750      1450
FASTENAL CO                COM          311900104         62      1254 SH                 X     3                    869       385
FEDERATED INVS INC PA      CL B         314211103        337     11679 SH             X         3        11509                 170
FEDERATED INVS INC PA      CL B         314211103          6       203 SH                 X     3                    203
FEDEX CORP                 COM          31428X106        603      7629 SH             X         3         7459        33       137
FEDEX CORP                 COM          31428X106         77       975 SH                 X     3                    975
FIFTH THIRD BANCORP        COM          316773100        696     58453 SH             X         3        58453
FIFTH THIRD BANCORP        COM          316773100         24      1986 SH                 X     3                   1986
FIRST HORIZON NATL CORP    COM          320517105         51      5433 SH             X         2         5433
FIRST HORIZON NATL CORP    COM          320517105       3543    378500 SH             X         2       378500
FIRST HORIZON NATL CORP    COM          320517105        876     92730 SH             X         3        78073               14657
FIRST NIAGARA FINL GP      COM          33582V108        134      8529 SH             X         3         5778                2751
FIRST NIAGARA FINL GP      COM          33582V108         34      2190 SH                 X     3                             2190
FIRST SOLAR INC            COM          336433107        860      4550 SH             X         2         4550
FIRST SOLAR INC            COM          336433107         14        75 SH             X         3           75
FIRST SOLAR INC            COM          336433107        215      1137 SH                 X     3                    477       660
1ST SOURCE CORP            COM          336901103        844     35903 SH                 X     3                  35903
FISERV INC                 COM          337738108       1604     33900 SH             X         2        33900
FISERV INC                 COM          337738108       1869     39494 SH             X         3        39004       490
FISERV INC                 COM          337738108        271      5725 SH                 X     3          500      5225
FIRSTENERGY CORP           COM          337932107         13       200 SH             X        1,3         200
FIRSTENERGY CORP           COM          337932107        780     11639 SH             X         3        11639
FIRSTENERGY CORP           COM          337932107        137      2049 SH                 X     3                   1861       188
FLUOR CORP NEW             COM          343412102       1064     19100 SH             X         2        19100
FLUOR CORP NEW             COM          343412102        397      7128 SH             X         3         7128
FLUOR CORP NEW             COM          343412102         19       350 SH                 X     3                              350
FLOWSERVE CORP             COM          34354P105        821      9254 SH             X         3         4493                4761
FLOWSERVE CORP             COM          34354P105        327      3683 SH                 X     3          295       738      2650
FORD MTR CO DEL            COMPAR .01   345370860        604    116130 SH             X         3       116130
FORD MTR CO DEL            COMPAR .01   345370860        153     29362 SH                 X     3           98     29264
FOREST LABS INC            COM          345838106       1657     58600 SH             X         2        58600
FOREST LABS INC            COM          345838106        381     13448 SH             X         3        13080       253       115
FOREST LABS INC            COM          345838106        321     11337 SH                 X     3                  10333      1004
FOREST OIL CORP            COMPAR .01   346091705        414      8348 SH             X         3         7568                 780
FOREST OIL CORP            COMPAR .01   346091705         15       295 SH                 X     3                              295
FORTUNE BRANDS INC         COM          349631101         20       350 SH             X        1,3         350
FORTUNE BRANDS INC         COM          349631101        709     12366 SH             X         3        11117       664       585
FORTUNE BRANDS INC         COM          349631101        529      9223 SH                 X     3         1925      7298
FRANKLIN RES INC           COM          354613101        532      6032 SH             X         3         5974                  58
FRANKLIN RES INC           COM          354613101        194      2203 SH                 X     3          310       728      1165
FREEPORT-MCMORAN           COM          35671D857       1228     21600 SH             X         2        21600
FREEPORT-MCMORAN           COM          35671D857       1828     32161 SH             X         2        32161
FREEPORT-MCMORAN           COM          35671D857       1558     27396 SH             X         3        27212                 184
FREEPORT-MCMORAN           COM          35671D857        201      3536 SH                 X     3          530      2847       159
FRESENIUS MED CARE         SPON ADR     358029106        198      3805 SH             X         3         3215                 590
FRESENIUS MED CARE         SPON ADR     358029106         89      1717 SH                 X     3                    113      1604
FRONTIER COMMUNICATIONS    COM          35906A108        262     22771 SH             X         3        22771
FRONTIER COMMUNICATIONS    COM          35906A108          1        94 SH                 X     3                     94
FUJIFILM HLDGS CORP        ADR 2 ORD    35958N107         34      1307 SH             X         3         1307
FUJIFILM HLDGS CORP        ADR 2 ORD    35958N107        404     15560 SH                 X     3                  15560
GABELLI EQUITY TR INC      COM          362397101        113     16360 SH             X         3        16360
GAFISA S A                 SPON ADR     362607301        145      5650 SH             X         2         5650
GAFISA S A                 SPON ADR     362607301       1092     42500 SH             X         2        42500
GAFISA S A                 SPON ADR     362607301       1344     52300 SH             X         2        52300
GAFISA S A                 SPON ADR     362607301        296     11510 SH             X         3        11510
GALLAGHER ARTHUR J & CO    COM          363576109        187      7305 SH             X         3         3663                3642
GALLAGHER ARTHUR J & CO    COM          363576109         77      3000 SH                 X     3                   3000
GAMESTOP CORP NEW          CL A         36467W109       1731     50600 SH             X         2        50600
GAMESTOP CORP NEW          CL A         36467W109       1888     55200 SH             X         2        55200
GAMESTOP CORP NEW          CL A         36467W109        689     20141 SH             X         3        10355                9786
GAMESTOP CORP NEW          CL A         36467W109        456     13324 SH                 X     3          761      5372      7191
GANNETT INC                COM          364730101        332     19623 SH             X         3        17423      2000       200
GANNETT INC                COM          364730101         64      3813 SH                 X     3                   1288      2525
GAP INC DEL                COM          364760108         40      2264 SH             X         2         2264
GAP INC DEL                COM          364760108       2848    160200 SH             X         2       160200
GAP INC DEL                COM          364760108       1034     58133 SH             X         3        51654        96      6383
GAP INC DEL                COM          364760108        242     13626 SH                 X     3                   8674      4952
GARTNER INC                COM          366651107        223      9815 SH             X         3         9002                 813
GASCO ENERGY INC           COM          367220100        468    257129 SH             X         2       257129
GASCO ENERGY INC           COM          367220100       4346   2388000 SH             X         2      2388000
GASCO ENERGY INC           COM          367220100        889    488535 SH             X         3       488535
GEHL CO                    COM          368483103        656     22300 SH                 X     3                  22300





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
GENENTECH INC              COM NEW      368710406        145      1638 SH             X         2         1638
GENENTECH INC              COM NEW      368710406       1552     17500 SH             X         2        17500
GENENTECH INC              COM NEW      368710406      10968    123680 SH             X         3       119171      3610       899
GENENTECH INC              COM NEW      368710406       1625     18319 SH                 X     3         1125     17194
GENERAL COMMUNICATION      CL A         369385109        185     20000 SH             X         3        20000
GENERAL DYNAMICS CORP      COM          369550108         14       192 SH                 X    1,3         192
GENERAL DYNAMICS CORP      COM          369550108       2245     30500 SH             X         2        30500
GENERAL DYNAMICS CORP      COM          369550108       1753     23800 SH             X         3        23562        99       139
GENERAL DYNAMICS CORP      COM          369550108        605      8216 SH                 X     3          440      5796      1980
GENERAL ELECTRIC CO        COM          369604103       1046     41034 SH             X        1,3       41034
GENERAL ELECTRIC CO        COM          369604103        150      5870 SH                 X    1,3        4520      1350
GENERAL ELECTRIC CO        COM          369604103        514     20176 SH             X         2        20176
GENERAL ELECTRIC CO        COM          369604103      61928   2428537 SH             X         3      2262314    104640     61583
GENERAL ELECTRIC CO        COM          369604103      12933    507163 SH                 X     3       104723    382941     19499
GENERAL GROWTH PPTYS       COM          370021107         59      3930 SH             X         2         3930
GENERAL GROWTH PPTYS       COM          370021107        400     26465 SH             X         3        26357                 108
GENERAL GROWTH PPTYS       COM          370021107          7       495 SH                 X     3                    495
GENERAL MLS INC            COM          370334104          7       100 SH             X        1,3         100
GENERAL MLS INC            COM          370334104        125      1815 SH             X         2         1815
GENERAL MLS INC            COM          370334104       4603     66975 SH             X         3        64028      1792      1155
GENERAL MLS INC            COM          370334104       1323     19248 SH                 X     3         9270      9578       400
GENERAL MTRS CORP          COM          370442105          2       250 SH             X        1,3         250
GENERAL MTRS CORP          COM          370442105        199     21110 SH             X         3        20931        75       104
GENERAL MTRS CORP          COM          370442105          5       564 SH                 X     3                    564
GENUINE PARTS CO           COM          372460105         58      1435 SH             X         2         1435
GENUINE PARTS CO           COM          372460105        784     19502 SH             X         3        19172       169       161
GENUINE PARTS CO           COM          372460105        122      3046 SH                 X     3                   3046
GENWORTH FINL INC          COM CL A     37247D106         54      6216 SH             X         3         6216
GENWORTH FINL INC          COM CL A     37247D106         71      8213 SH                 X     3                   5188      3025
GENZYME CORP               COM          372917104       2224     27500 SH             X         2        27500
GENZYME CORP               COM          372917104        223      2752 SH             X         3         2752
GENZYME CORP               COM          372917104        282      3483 SH                 X     3          420      2932       131
GILEAD SCIENCES INC        COM          375558103       1897     41575 SH             X        1,3       41475       100
GILEAD SCIENCES INC        COM          375558103        198      4350 SH                 X    1,3        3250      1100
GILEAD SCIENCES INC        COM          375558103       3582     78500 SH             X         2        78500
GILEAD SCIENCES INC        COM          375558103       2263     49600 SH             X         2        49600
GILEAD SCIENCES INC        COM          375558103       3905     85573 SH             X         3        72419      1242     11912
GILEAD SCIENCES INC        COM          375558103       1320     28930 SH                 X     3         1893     10207     16830
GLAXOSMITHKLINE PLC        SPON ADR     37733W105         55      1277 SH             X        1,3        1277
GLAXOSMITHKLINE PLC        SPON ADR     37733W105         20       455 SH                 X    1,3         455
GLAXOSMITHKLINE PLC        SPON ADR     37733W105       1400     32204 SH             X         3        31664       540
GLAXOSMITHKLINE PLC        SPON ADR     37733W105        599     13789 SH                 X     3          100     12049      1640
GOLD FIELDS LTD NEW        SPON ADR     38059T106        411     42887 SH                 X     3                  42887
GOLDMAN SACHS GROUP INC    COM          38141G104         83       647 SH             X         2          647
GOLDMAN SACHS GROUP INC    COM          38141G104       2541     19855 SH             X         2        19855
GOLDMAN SACHS GROUP INC    COM          38141G104      10796     84337 SH             X         3        81684      2165       488
GOLDMAN SACHS GROUP INC    COM          38141G104       1895     14806 SH                 X     3         3257     10761       788
GOODRICH CORP              COM          382388106        291      6993 SH             X         3         6871                 122
GOODRICH CORP              COM          382388106          6       137 SH                 X     3                    137
GOODYEAR TIRE & RUBR CO    COM          382550101        186     12140 SH             X         3        11940                 200
GOODYEAR TIRE & RUBR CO    COM          382550101          6       421 SH                 X     3                    421
GOOGLE INC                 CL A         38259P508          2         5 SH             X        1,3           5
GOOGLE INC                 CL A         38259P508        203       507 SH             X         2          507
GOOGLE INC                 CL A         38259P508       5976     14920 SH             X         2        14920
GOOGLE INC                 CL A         38259P508       9402     23475 SH             X         3        21928       356      1191
GOOGLE INC                 CL A         38259P508       1803      4502 SH                 X     3          321      2481      1700
GRAFTECH INTL LTD          COM          384313102        133      8810 SH             X         2         8810
GRAFTECH INTL LTD          COM          384313102       1046     69200 SH             X         2        69200
GRAFTECH INTL LTD          COM          384313102       1257     83200 SH             X         2        83200
GRAFTECH INTL LTD          COM          384313102        262     17378 SH             X         3        17378
GRAINGER W W INC           COM          384802104         37       425 SH             X        1,3         425
GRAINGER W W INC           COM          384802104       1585     18225 SH             X         3        15050                3175
GRAINGER W W INC           COM          384802104        495      5694 SH                 X     3          200      3774      1720
GREAT PLAINS ENERGY INC    COM          391164100        313     14068 SH             X         3        13771                 297
GREAT PLAINS ENERGY INC    COM          391164100         66      2966 SH                 X     3          920       400      1646
GUESS INC                  COM          401617105       1559     44800 SH             X         2        44800
GUESS INC                  COM          401617105         89      2567 SH             X         3         2092                 475
GUESS INC                  COM          401617105         15       444 SH                 X     3                    109       335
HCP INC                    COM          40414L109        545     13574 SH             X         3        13574
HCP INC                    COM          40414L109         89      2208 SH                 X     3                   2208
HSBC HLDGS PLC             SP ADR NEW   404280406        575      7113 SH             X         3         6193       468       452
HSBC HLDGS PLC             SP ADR NEW   404280406        811     10029 SH                 X     3                   8897      1132
HALLIBURTON CO             COM          406216101       2753     85000 SH             X         2        85000
HALLIBURTON CO             COM          406216101       1798     55500 SH             X         2        55500
HALLIBURTON CO             COM          406216101       1249     38567 SH             X         3        38011       130       426
HALLIBURTON CO             COM          406216101        309      9531 SH                 X     3          300      7621      1610
HANGER ORTHOPEDIC GROUP    COM NEW      41043F208        250     14350 SH             X         2        14350
HANGER ORTHOPEDIC GROUP    COM NEW      41043F208       2298    131700 SH             X         2       131700
HANGER ORTHOPEDIC GROUP    COM NEW      41043F208        474     27165 SH             X         3        27165
HANOVER INS GROUP INC      COM          410867105         78      1721 SH             X         2         1721
HANOVER INS GROUP INC      COM          410867105       4552    100000 SH             X         2       100000
HANOVER INS GROUP INC      COM          410867105       1194     26222 SH             X         3        21956                4266
HANSEN NAT CORP            COM          411310105       2032     67164 SH             X         3        65436      1000       728
HANSEN NAT CORP            COM          411310105         49      1635 SH                 X     3         1035       600
HARLEY DAVIDSON INC        COM          412822108       2391     64115 SH             X         3        63561       554
HARLEY DAVIDSON INC        COM          412822108        570     15273 SH                 X     3          800     14473
HARRIS CORP DEL            COM          413875105       2042     44200 SH             X         2        44200
HARRIS CORP DEL            COM          413875105        286      6198 SH             X         3         6058                 140
HARRIS CORP DEL            COM          413875105         25       533 SH                 X     3                    533
HARSCO CORP                COM          415864107       1450     39000 SH             X         2        39000





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
HARSCO CORP                COM          415864107         96      2572 SH             X         3         1895                 677
HARSCO CORP                COM          415864107         11       284 SH                 X     3                    284
HARTFORD FINL SVCS GR      COM          416515104         12       300 SH                 X    1,3         300
HARTFORD FINL SVCS GR      COM          416515104        771     18814 SH             X         3        17786                1028
HARTFORD FINL SVCS GR      COM          416515104        511     12464 SH                 X     3         6475      2867      3122
HASBRO INC                 COM          418056107        526     15155 SH             X         3        14942       213
HASBRO INC                 COM          418056107         12       358 SH                 X     3                    358
HAWAIIAN ELEC IND          COM          419870100        265      9122 SH             X         3         8212                 910
HEALTHSOUTH CORP           COM NEW      421924309        210     11400 SH             X         3        11400
HEARTLAND FINL USA INC     COM          42234Q102        202      8058 SH             X         3         8058
HEINZ H J CO               COM          423074103        160      3200 SH             X         2         3200
HEINZ H J CO               COM          423074103       2164     43300 SH             X         2        43300
HEINZ H J CO               COM          423074103       4380     87659 SH             X         3        86333       427       899
HEINZ H J CO               COM          423074103        818     16372 SH                 X     3                  14045      2327
HELMERICH & PAYNE INC      COM          423452101         28       639 SH             X         2          639
HELMERICH & PAYNE INC      COM          423452101       1296     30000 SH             X         2        30000
HELMERICH & PAYNE INC      COM          423452101       2328     53900 SH             X         2        53900
HELMERICH & PAYNE INC      COM          423452101        690     15973 SH             X         3        12927                3046
HELMERICH & PAYNE INC      COM          423452101         75      1745 SH                 X     3                   1745
HENRY JACK & ASSOC INC     COM          426281101         20      1000 SH             X        1,3        1000
HENRY JACK & ASSOC INC     COM          426281101         88      4340 SH             X         3          720                3620
HENRY JACK & ASSOC INC     COM          426281101        325     16000 SH                 X     3                  16000
HERCULES INC               COM          427056106        395     19964 SH             X         3        19964
HERCULES INC               COM          427056106          8       396 SH                 X     3                    396
HERSHEY CO                 COM          427866108          6       140 SH                 X    1,3         140
HERSHEY CO                 COM          427866108        102      2570 SH             X         2         2570
HERSHEY CO                 COM          427866108        452     11437 SH             X         3        11297        15       125
HERSHEY CO                 COM          427866108        100      2526 SH                 X     3                   2526
HESS CORP                  COM          42809H107       1835     22360 SH             X         2        22360
HESS CORP                  COM          42809H107       1161     14138 SH             X         3        14068                  70
HESS CORP                  COM          42809H107        127      1545 SH                 X     3                   1545
HEWLETT PACKARD CO         COM          428236103       1328     28725 SH             X        1,3       28725
HEWLETT PACKARD CO         COM          428236103         97      2090 SH                 X    1,3        1740       350
HEWLETT PACKARD CO         COM          428236103       4934    106700 SH             X         2       106700
HEWLETT PACKARD CO         COM          428236103       4099     88650 SH             X         2        88650
HEWLETT PACKARD CO         COM          428236103      10839    234415 SH             X         3       219263      4103     11049
HEWLETT PACKARD CO         COM          428236103       3501     75721 SH                 X     3        46680     14099     14942
HILB ROGAL & HOBBS CO      COM          431294107        323      6905 SH             X         3         6598                 307
HILL INTERNATIONAL INC     COM          431466101        153     11020 SH             X         2        11020
HILL INTERNATIONAL INC     COM          431466101       1435    103600 SH             X         2       103600
HILL INTERNATIONAL INC     COM          431466101        292     21078 SH             X         3        21078
HILL ROM HLDGS INC         COM          431475102        293      9662 SH             X         3         8827                 835
HILLENBRAND INC            COM          431571108        206     10210 SH             X         2        10210
HILLENBRAND INC            COM          431571108       1905     94500 SH             X         2        94500
HILLENBRAND INC            COM          431571108        399     19784 SH             X         3        19530                 254
HOLOGIC INC                COM          436440101         10       500 SH             X        1,3         500
HOLOGIC INC                COM          436440101        507     26242 SH             X         3        13406               12836
HOLOGIC INC                COM          436440101        211     10897 SH                 X     3         1066      2002      7829
HOME DEPOT INC             COM          437076102         75      2900 SH             X        1,3        2900
HOME DEPOT INC             COM          437076102         31      1200 SH                 X    1,3        1200
HOME DEPOT INC             COM          437076102       3658    141303 SH             X         3       139291       602      1410
HOME DEPOT INC             COM          437076102        219      8442 SH                 X     3          783      7659
HONEYWELL INTL INC         COM          438516106         74      1775 SH             X        1,3        1775
HONEYWELL INTL INC         COM          438516106         23       562 SH                 X    1,3         562
HONEYWELL INTL INC         COM          438516106          4       100 SH             X         2          100
HONEYWELL INTL INC         COM          438516106       1074     25850 SH             X         2        25850
HONEYWELL INTL INC         COM          438516106       1698     40875 SH             X         3        37553        79      3243
HONEYWELL INTL INC         COM          438516106        519     12492 SH                 X     3         2786      8316      1390
HOSPIRA INC                COM          441060100          1        30 SH             X        1,3          30
HOSPIRA INC                COM          441060100        488     12777 SH             X         3        12562        82       133
HOSPIRA INC                COM          441060100         78      2035 SH                 X     3         1791       244
HOST HOTELS & RESORTS      COM          44107P104        323     24287 SH             X         3        24287
HOST HOTELS & RESORTS      COM          44107P104         42      3193 SH                 X     3         1680      1021       492
HUDSON CITY BANCORP        COM          443683107        804     43585 SH             X         3        42618                 967
HUDSON CITY BANCORP        COM          443683107         31      1688 SH                 X     3                   1688
HUMANA INC                 COM          444859102        430     10447 SH             X         3        10388                  59
HUMANA INC                 COM          444859102          9       211 SH                 X     3                    211
HUNT J B TRANS SVCS INC    COM          445658107         17       515 SH             X         2          515
HUNT J B TRANS SVCS INC    COM          445658107       1181     35400 SH             X         2        35400
HUNT J B TRANS SVCS INC    COM          445658107       1665     49900 SH             X         2        49900
HUNT J B TRANS SVCS INC    COM          445658107        475     14217 SH             X         3         9943                4274
HUNT J B TRANS SVCS INC    COM          445658107         47      1400 SH                 X     3                   1400
HUNTINGTON BANCSHARES      COM          446150104         62      7716 SH             X         3         7716
HUNTINGTON BANCSHARES      COM          446150104         55      6945 SH                 X     3                    880      6065
HURCO COMPANIES INC        COM          447324104        207      7000 SH             X         3         7000
IMS HEALTH INC             COM          449934108        383     20266 SH             X         3        20141                 125
IMS HEALTH INC             COM          449934108         72      3816 SH                 X     3                   2816      1000
ITT EDUCATIONAL SVCS       COM          45068B109        413      5101 SH             X         3         4936                 165
ITT CORP NEW               COM          450911102         48       863 SH             X         2          863
ITT CORP NEW               COM          450911102       1813     32600 SH             X         2        32600
ITT CORP NEW               COM          450911102       3481     62600 SH             X         2        62600
ITT CORP NEW               COM          450911102       1672     30067 SH             X         3        27113        44      2910
ITT CORP NEW               COM          450911102         95      1715 SH                 X     3          920       545       250
ICON PUB LTD CO            SPON ADR     45103T107        484     12650 SH             X         2        12650
ICON PUB LTD CO            SPON ADR     45103T107       3006     78600 SH             X         2        78600
ICON PUB LTD CO            SPON ADR     45103T107       8507    222402 SH             X         3       216546      3750      2106
ICON PUB LTD CO            SPON ADR     45103T107        429     11226 SH                 X     3         1120     10106
IKON OFFICE SOLUTIONS      COM          451713101        221     13000 SH             X         3        13000
IHS INC                    CL A         451734107       2096     44000 SH             X         2        44000
IHS INC                    CL A         451734107         35       734 SH             X         3          734





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
ILLINOIS TOOL WKS INC      COM          452308109        246      5540 SH             X        1,3        5490        50
ILLINOIS TOOL WKS INC      COM          452308109         14       320 SH                 X    1,3         320
ILLINOIS TOOL WKS INC      COM          452308109       2572     57854 SH             X         3        56217       724       913
ILLINOIS TOOL WKS INC      COM          452308109       2085     46906 SH                 X     3         7113     39460       333
IMAX CORP                  COM          45245E109        365     61610 SH             X         2        61610
IMAX CORP                  COM          45245E109       3363    568000 SH             X         2       568000
IMAX CORP                  COM          45245E109        697    117871 SH             X         3       117871
IMPERIAL OIL LTD           COM NEW      453038408        293      6877 SH             X         3         6336                 541
IMPERIAL OIL LTD           COM NEW      453038408         67      1575 SH                 X     3                    103      1472
INFINEON TECHNOLOGIES      SPON ADR     45662N103         63     11199 SH             X         3        11199
INFINEON TECHNOLOGIES      SPON ADR     45662N103          2       375 SH                 X     3                    375
INFOSYS TECHNOLOGIES       SPON ADR     456788108        117      3505 SH             X         3         2359                1146
INFOSYS TECHNOLOGIES       SPON ADR     456788108        164      4933 SH                 X     3                   3292      1641
ING GROEP N V              SPON ADR     456837103         95      4447 SH             X         3         3614                 833
ING GROEP N V              SPON ADR     456837103        122      5693 SH                 X     3                   4381      1312
INGRAM MICRO INC           CL A         457153104         59      3687 SH             X         2         3687
INGRAM MICRO INC           CL A         457153104       4236    263600 SH             X         2       263600
INGRAM MICRO INC           CL A         457153104       1124     69922 SH             X         3        58817               11105
INTEL CORP                 COM          458140100        143      7650 SH             X        1,3        7650
INTEL CORP                 COM          458140100         41      2200 SH                 X    1,3        1300       900
INTEL CORP                 COM          458140100        183      9752 SH             X         2         9752
INTEL CORP                 COM          458140100       5366    286480 SH             X         2       286480
INTEL CORP                 COM          458140100      19092   1019346 SH             X         3       976810     27937     14599
INTEL CORP                 COM          458140100       1799     96059 SH                 X     3         5765     78108     12186
INTEGRYS ENERGY GROUP      COM          45822P105         64      1289 SH             X        1,3        1289
INTEGRYS ENERGY GROUP      COM          45822P105        316      6325 SH             X         2         6325
INTEGRYS ENERGY GROUP      COM          45822P105       1209     24200 SH             X         2        24200
INTEGRYS ENERGY GROUP      COM          45822P105       6688    133931 SH             X         3       131514      1973       444
INTEGRYS ENERGY GROUP      COM          45822P105        281      5617 SH                 X     3                   5617
INTL BUSINESS MACHS        COM          459200101       1423     12170 SH             X        1,3       12170
INTL BUSINESS MACHS        COM          459200101        212      1813 SH                 X    1,3        1375       438
INTL BUSINESS MACHS        COM          459200101        165      1410 SH             X         2         1410
INTL BUSINESS MACHS        COM          459200101       5170     44200 SH             X         2        44200
INTL BUSINESS MACHS        COM          459200101       4873     41660 SH             X         2        41660
INTL BUSINESS MACHS        COM          459200101      39167    334886 SH             X         3       312195      9445     13246
INTL BUSINESS MACHS        COM          459200101       5971     51049 SH                 X     3         7032     36336      7681
INTERNATIONAL GAME TECH    COM          459902102         41      2400 SH             X        1,3        2400
INTERNATIONAL GAME TECH    COM          459902102         72      4167 SH             X         2         4167
INTERNATIONAL GAME TECH    COM          459902102       2616    152245 SH             X         3       148624      1560      2061
INTERNATIONAL GAME TECH    COM          459902102         96      5587 SH                 X     3          740      4710       137
INTL PAPER CO              COM          460146103         73      2799 SH             X        1,3        2799
INTL PAPER CO              COM          460146103        462     17651 SH             X         3        17651
INTL PAPER CO              COM          460146103        383     14622 SH                 X     3                  12267      2355
INTERNET CAP GROUP INC     COM NEW      46059C205        145     17859 SH             X         2        17859
INTERNET CAP GROUP INC     COM NEW      46059C205       1367    168500 SH             X         2       168500
INTERNET CAP GROUP INC     COM NEW      46059C205        277     34171 SH             X         3        34171
INTERPUBLIC GROUP COS      COM          460690100         48      6235 SH             X         2         6235
INTERPUBLIC GROUP COS      COM          460690100       3445    444460 SH             X         2       444460
INTERPUBLIC GROUP COS      COM          460690100        899    116083 SH             X         3        99383               16700
INTERSIL CORP              CL A         46069S109         14       831 SH             X         2          831
INTERSIL CORP              CL A         46069S109        987     59500 SH             X         2        59500
INTERSIL CORP              CL A         46069S109        257     15524 SH             X         3        12173                3351
INTUITIVE SURGICAL INC     COM NEW      46120E602        256      1061 SH             X         3         1024                  37
INTUITIVE SURGICAL INC     COM NEW      46120E602        136       564 SH                 X     3                    491        73
INTREPID POTASH INC        COM          46121Y102        230      7640 SH             X         2         7640
INTREPID POTASH INC        COM          46121Y102       1833     60800 SH             X         2        60800
INTREPID POTASH INC        COM          46121Y102       2161     71700 SH             X         2        71700
INTREPID POTASH INC        COM          46121Y102        470     15600 SH             X         3        15600
INVERNESS MED INNOVAT      COM          46126P106        306     10190 SH             X         2        10190
INVERNESS MED INNOVAT      COM          46126P106       2313     77100 SH             X         2        77100
INVERNESS MED INNOVAT      COM          46126P106       2826     94200 SH             X         2        94200
INVERNESS MED INNOVAT      COM          46126P106        624     20801 SH             X         3        20801
ISHARES INC                MSCI BRAZIL  464286400        231      4110 SH             X         3         4110
ISHARES INC                MSCI BRAZIL  464286400         24       420 SH                 X     3          120       300
ISHARES TR                 LGR IND      464287119        838     14944 SH             X         3        14944
ISHARES TR                 S&P1500IND   464287150        769     14716 SH             X         3        14716
ISHARES TR                 S&P1500IND   464287150         40       770 SH                 X     3                    770
ISHARES TR                 DJ SEL DIV   464287168         32       600 SH             X        1,3         600
ISHARES TR                 DJ SEL DIV   464287168      16252    305268 SH             X         3       304968       300
ISHARES TR                 DJ SEL DIV   464287168        513      9632 SH                 X     3                   9632
ISHARES TR                 USTIPSBDFD   464287176       2420     23892 SH             X         3        23892
ISHARES TR                 FTSEXNHUA    464287184        558     16198 SH             X         3        16198
ISHARES TR                 FTSEXNHUA    464287184        115      3342 SH                 X     3         1800      1542
ISHARES TR                 S&P 500 IND  464287200         21       180 SH             X        1,3         180
ISHARES TR                 S&P 500 IND  464287200      25778    220667 SH             X         3       216142      1220      3305
ISHARES TR                 S&P 500 IND  464287200       1710     14634 SH                 X     3          224      6151      8259
ISHARES TR                 LEH AGG BD   464287226       3397     34459 SH             X         3        33609       850
ISHARES TR                 LEH AGG BD   464287226        264      2675 SH                 X     3                   2675
ISHARES TR                 MSCI EMERG   464287234      12777    373923 SH             X         3       371954                1969
ISHARES TR                 MSCI EMERG   464287234        596     17445 SH                 X     3        14145      3300
ISHARES TR                 IBOXX INV    464287242       4530     50455 SH             X         3        50455
ISHARES TR                 IBOXX INV    464287242        207      2300 SH                 X     3         1300      1000
ISHARES TR                 S&P500 GR    464287309      13111    230907 SH             X         3       217286      1600     12021
ISHARES TR                 S&P500 GR    464287309        131      2310 SH                 X     3         1263      1047
ISHARES TR                 S&PNATRES    464287374        210      5829 SH             X         3         5829
ISHARES TR                 S&PLTNAM40   464287390        225      5795 SH             X         3         5795
ISHARES TR                 S&P 500 VL   464287408       3073     51344 SH             X         3        51254                  90
ISHARES TR                 S&P 500 VL   464287408        229      3827 SH                 X     3          400      3427
ISHARES TR                 7-10YRTRBD   464287440       3754     42200 SH             X         2        42200
ISHARES TR                 7-10YRTRBD   464287440        865      9724 SH             X         3         9724





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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                 1-3YRTRBD    464287457       1151     13774 SH             X         3        13774
ISHARES TR                 MSCI EAFE    464287465        113      2015 SH             X         2         2015
ISHARES TR                 MSCI EAFE    464287465      44293    786739 SH             X         3       776967      4071      5701
ISHARES TR                 MSCI EAFE    464287465       4414     78405 SH                 X     3         7868     44094     26443
ISHARES TR                 RUS MCPVL    464287473       3397     86642 SH             X         3        82022                4620
ISHARES TR                 RUS MCPVL    464287473        191      4869 SH                 X     3         2064      2805
ISHARES TR                 RUS MCPGR    464287481       4124     95100 SH             X         2        95100
ISHARES TR                 RUS MCPGR    464287481       8403    193800 SH             X         2       193800
ISHARES TR                 RUS MCPGR    464287481      11414    263212 SH             X         3       178842               84370
ISHARES TR                 RUS MCPGR    464287481        568     13100 SH                 X     3         2218     10882
ISHARES TR                 RUS MIDCAP   464287499       6025     73331 SH             X         3        69074       250      4007
ISHARES TR                 RUS MIDCAP   464287499         45       550 SH                 X     3                    550
ISHARES TR                 S&P MC 400   464287507      12979    179363 SH             X         3       177440      1923
ISHARES TR                 S&P MC 400   464287507       2313     31966 SH                 X     3         2958     29008
ISHARES TR                 COHEN&STRE   464287564        991     12921 SH             X         3        12921
ISHARES TR                 COHEN&STRE   464287564         15       190 SH                 X     3                    190
ISHARES TR                 CONS SRVC    464287580        666     12562 SH             X         3        12562
ISHARES TR                 RUS 1000 VL  464287598        962     15058 SH             X         2        15058
ISHARES TR                 RUS 1000 VL  464287598       1237     19361 SH             X         3        19361
ISHARES TR                 RUS 1000 VL  464287598        539      8438 SH                 X     3                    678      7760
ISHARES TR                 S&PMC400GR   464287606         38       511 SH             X         2          511
ISHARES TR                 S&PMC400GR   464287606       5414     72202 SH             X         3        72166                  36
ISHARES TR                 S&PMC400GR   464287606         99      1326 SH                 X     3          221      1105
ISHARES TR                 RUS 1000 GR  464287614       7421    152863 SH             X         3       152863
ISHARES TR                 RUS 1000 GR  464287614        312      6435 SH                 X     3                   6435
ISHARES TR                 RUS 1000     464287622      10729    168807 SH             X         3       168699       108
ISHARES TR                 RUS 2000 VL  464287630        672     10000 SH             X         2        10000
ISHARES TR                 RUS 2000 VL  464287630       5756     85608 SH             X         3        85107                 501
ISHARES TR                 RUS 2000 VL  464287630        998     14846 SH                 X     3          813      7433      6600
ISHARES TR                 RUS 2000 GR  464287648       4325     61180 SH             X         2        61180
ISHARES TR                 RUS 2000 GR  464287648       5281     74700 SH             X         2        74700
ISHARES TR                 RUS 2000 GR  464287648       9646    136429 SH             X         3        78691               57738
ISHARES TR                 RUS 2000 GR  464287648        134      1894 SH                 X     3          413      1481
ISHARES TR                 RUS 2000     464287655         79      1157 SH             X         2         1157
ISHARES TR                 RUS 2000     464287655      15445    227128 SH             X         3       226496       538        94
ISHARES TR                 RUS 2000     464287655       1033     15198 SH                 X     3         1655     13543
ISHARES TR                 S&P MC VL    464287705         28       414 SH             X         2          414
ISHARES TR                 S&P MC VL    464287705      10625    154661 SH             X         3       152881      1152       628
ISHARES TR                 S&P MC VL    464287705       3741     54455 SH                 X     3        51222      3233
ISHARES TR                 DJ US TELE   464287713        282     13840 SH             X         3        13840
ISHARES TR                 DJ US TELE   464287713         24      1176 SH                 X     3                   1176
ISHARES TR                 DJ US TECH   464287721       1603     33796 SH             X         3        32846                 950
ISHARES TR                 DJ US TECH   464287721         91      1920 SH                 X     3                   1920
ISHARES TR                 DJ US RE     464287739        334      5384 SH             X         3         5384
ISHARES TR                 DJ US RE     464287739        248      4000 SH                 X     3                   4000
ISHARES TR                 DJ US INDL   464287754        271      4718 SH             X         3         4718
ISHARES TR                 DJ US INDL   464287754          8       131 SH                 X     3                    131
ISHARES TR                 DJ US HLCR   464287762       1897     30585 SH             X         3        30585
ISHARES TR                 DJ US HLCR   464287762         58       936 SH                 X     3                    936
ISHARES TR                 DJUSFINL     464287770       1604     21696 SH             X         3        21696
ISHARES TR                 DJUSFINL     464287770        117      1587 SH                 X     3                    642       945
ISHARES TR                 DJUSFINL     464287788        442      6361 SH             X         3         6361
ISHARES TR                 DJUSFINL     464287788          7       100 SH                 X     3                    100
ISHARES TR                 DJ US ENER   464287796       1085     28896 SH             X         3        28896
ISHARES TR                 DJ US ENER   464287796         16       416 SH                 X     3                    416
ISHARES TR                 S&P SC 600   464287804         30       500 SH             X        1,3         500
ISHARES TR                 S&P SC 600   464287804       2605     43777 SH             X         3        43771                   6
ISHARES TR                 S&P SC 600   464287804        978     16428 SH                 X     3                  16428
ISHARES TR                 DJBASMATL    464287838        609     10674 SH             X         3        10674
ISHARES TR                 DJBASMATL    464287838         10       168 SH                 X     3                    168
ISHARES TR                 S&P EURO     464287861        365      9154 SH             X         3         9154
ISHARES TR                 S&P SC VL    464287879       4476     68809 SH             X         3        68586                 223
ISHARES TR                 S&P SC VL    464287879        497      7635 SH                 X     3         6933       702
ISHARES TR                 LG VL IND    464288109        704     11443 SH             X         3        11443
ISHARES TR                 MIDCOREIND   464288208        284      4185 SH             X         3         4185
ISHARES TR                 MID GR IND   464288307        354      4723 SH             X         3         4723
ISHARES TR                 MID VL IND   464288406        651      9979 SH             X         3         9979
ISHARES TR                 MID VL IND   464288406        171      2625 SH                 X     3         2625
ISHARES TR                 S&PMUNB      464288414       3359     34520 SH             X         3        31010                3510
ISHARES TR                 S&PMUNB      464288414         58       600 SH                 X     3                    600
ISHARES TR                 LEH INT G    464288612       1564     15646 SH             X         3        15646
ISHARES TR                 LEH INT G    464288612         24       240 SH                 X     3                    240
ISHARES TR                 LEH INT C    464288638       2333     25220 SH             X         3        25020       200
ISHARES TR                 USPFDSTK     464288687        550     19360 SH             X         3        19360
ISHARES TR                 SC VAL IND   464288703       5036     74715 SH             X         3        74715
ISHARES TR                 DJ BRDEAL    464288794       2362     82310 SH             X         2        82310
ISHARES TR                 DJ BRDEAL    464288794        388     13518 SH             X         3        13518
ISHARES TR                 DJ BRDEAL    464288794         16       573 SH                 X     3                    573
ISHARES TR                 DJ MED DEV   464288810        443      7714 SH             X         3         7714
ISHARES TR                 MSCI VL      464288877        663     13142 SH             X         3        13142
ISHARES TR                 MSCI VL      464288877         15       300 SH                 X     3                    300
ISHARES TR                 MSCI GR      464288885       1705     30129 SH             X         3        29658       471
ISHARES TR                 MSCI GR      464288885        106      1869 SH                 X     3                   1869
ISHARES SILVER TRUST       ISHARES      46428Q109        376     31752 SH             X         3        31642                 110
ISHARES SILVER TRUST       ISHARES      46428Q109         32      2690 SH                 X     3                             2690
IVANHOE MINES LTD          COM          46579N103        109     18006 SH                 X     3                  18006
JPMORGAN & CHASE & CO      COM          46625H100        239      5111 SH             X        1,3        5111
JPMORGAN & CHASE & CO      COM          46625H100        167      3575 SH             X         2         3575
JPMORGAN & CHASE & CO      COM          46625H100       6310    135120 SH             X         2       135120
JPMORGAN & CHASE & CO      COM          46625H100      52634   1127057 SH             X         3      1113979      7584      5494





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
JPMORGAN & CHASE & CO      COM          46625H100       6370    136396 SH                 X     3        58256     75193      2947
JACOBS ENGR GROUP INC      COM          469814107       1005     18500 SH             X         2        18500
JACOBS ENGR GROUP INC      COM          469814107        953     17544 SH             X         3        17544
JACOBS ENGR GROUP INC      COM          469814107        126      2321 SH                 X     3          350      1756       215
JANUS CAP GROUP INC        COM          47102X105       1908     78571 SH             X         3        77828       295       448
JANUS CAP GROUP INC        COM          47102X105         43      1787 SH                 X     3                   1787
JOHNSON & JOHNSON          COM          478160104       1898     27402 SH             X        1,3       26852       550
JOHNSON & JOHNSON          COM          478160104        204      2950 SH                 X    1,3        1950      1000
JOHNSON & JOHNSON          COM          478160104        575      8293 SH             X         2         8293
JOHNSON & JOHNSON          COM          478160104       9356    135050 SH             X         2       135050
JOHNSON & JOHNSON          COM          478160104      44480    642023 SH             X         3       610748     18421     12854
JOHNSON & JOHNSON          COM          478160104       6764     97628 SH                 X     3        20908     74648      2072
JOHNSON CTLS INC           COM          478366107          1        30 SH             X         2           30
JOHNSON CTLS INC           COM          478366107       1929     63600 SH             X         2        63600
JOHNSON CTLS INC           COM          478366107       8306    273860 SH             X         3       262710     10300       850
JOHNSON CTLS INC           COM          478366107       4882    160950 SH                 X     3        23117    136751      1082
JONES APPAREL GROUP INC    COM          480074103        189     10210 SH             X         3        10210
JONES APPAREL GROUP INC    COM          480074103         14       740 SH                 X     3                    740
JOY GLOBAL INC             COM          481165108        347      7696 SH             X         3         4761                2935
KHD HUMBOLDT WEDAG INTL    COM          482462108        185      9630 SH             X         2         9630
KHD HUMBOLDT WEDAG INTL    COM          482462108       1711     89200 SH             X         2        89200
KHD HUMBOLDT WEDAG INTL    COM          482462108        353     18411 SH             X         3        18411
KT CORP                    SPON ADR     48268K101         36      2150 SH             X         3         2150
KT CORP                    SPON ADR     48268K101        461     27471 SH                 X     3                  27471
KANSAS CITY SOUTHERN       COM NEW      485170302        210      4730 SH             X         2         4730
KANSAS CITY SOUTHERN       COM NEW      485170302       1655     37300 SH             X         2        37300
KANSAS CITY SOUTHERN       COM NEW      485170302       1970     44400 SH             X         2        44400
KANSAS CITY SOUTHERN       COM NEW      485170302        603     13606 SH             X         3        12897                 709
KANSAS CITY SOUTHERN       COM NEW      485170302        266      6000 SH                 X     3                   6000
KELLOGG CO                 COM          487836108       2029     36165 SH             X        1,3       36065       100
KELLOGG CO                 COM          487836108        184      3275 SH                 X    1,3        2350       925
KELLOGG CO                 COM          487836108        375      6685 SH             X         2         6685
KELLOGG CO                 COM          487836108      17974    320390 SH             X         3       312604      5111      2675
KELLOGG CO                 COM          487836108       1699     30292 SH                 X     3        12859     17433
KEYCORP NEW                COM          493267108       1916    160500 SH             X         2       160500
KEYCORP NEW                COM          493267108        894     74883 SH             X         3        68703                6180
KEYCORP NEW                COM          493267108         11       907 SH                 X     3                    907
KIMBERLY CLARK CORP        COM          494368103        922     14225 SH             X        1,3       14175        50
KIMBERLY CLARK CORP        COM          494368103        182      2800 SH                 X    1,3        2150       650
KIMBERLY CLARK CORP        COM          494368103        181      2790 SH             X         2         2790
KIMBERLY CLARK CORP        COM          494368103      14329    220990 SH             X         3       200347     13491      7152
KIMBERLY CLARK CORP        COM          494368103       3910     60309 SH                 X     3        17382     38859      4068
KIMCO REALTY CORP          COM          49446R109         10       280 SH             X         2          280
KIMCO REALTY CORP          COM          49446R109        409     11061 SH             X         3        11061
KIMCO REALTY CORP          COM          49446R109          5       127 SH                 X     3                    127
KINDER MORGAN ENERGY       UT LTD PART  494550106          8       145 SH             X         2          145
KINDER MORGAN ENERGY       UT LTD PART  494550106       1090     20951 SH             X         3        20951
KINDER MORGAN ENERGY       UT LTD PART  494550106        183      3520 SH                 X     3          200      3320
KING PHARMACEUTICALS       COM          495582108        214     22291 SH             X         3        21756       535
KING PHARMACEUTICALS       COM          495582108          8       867 SH                 X     3                    867
KINROSS GOLD CORP          COMNOPAR     496902404        215     13350 SH             X         3        13350
KNOLL INC                  COM NEW      498904200         94      6205 SH             X         3         3115                3090
KNOLL INC                  COM NEW      498904200         61      4035 SH                 X     3                             4035
KOHLS CORP                 COM          500255104         14       300 SH             X        1,3         300
KOHLS CORP                 COM          500255104         14       300 SH                 X    1,3                   300
KOHLS CORP                 COM          500255104        221      4806 SH             X         2         4806
KOHLS CORP                 COM          500255104       3829     83100 SH             X         2        83100
KOHLS CORP                 COM          500255104      14298    310287 SH             X         3       286182     12802     11303
KOHLS CORP                 COM          500255104       1647     35737 SH                 X     3         2275     30352      3110
KOREA ELECTRIC PWR         SPON ADR     500631106         42      3365 SH             X         3         3365
KOREA ELECTRIC PWR         SPON ADR     500631106        272     21986 SH                 X     3                  21986
KRAFT FOODS INC            CL A         50075N104         11       345 SH             X        1,3         345
KRAFT FOODS INC            CL A         50075N104        120      3670 SH             X         2         3670
KRAFT FOODS INC            CL A         50075N104       6697    204491 SH             X         3       202387       154      1950
KRAFT FOODS INC            CL A         50075N104       4451    135923 SH                 X     3         4847    126916      4160
KROGER CO                  COM          501044101         66      2417 SH             X         2         2417
KROGER CO                  COM          501044101       4287    156000 SH             X         2       156000
KROGER CO                  COM          501044101       2946    107200 SH             X         2       107200
KROGER CO                  COM          501044101       2468     89800 SH             X         2        89800
KROGER CO                  COM          501044101       1558     56731 SH             X         3        50344                6387
KROGER CO                  COM          501044101        174      6334 SH                 X     3                   6334
KULICKE & SOFFA INDS       COM          501242101        107     23633 SH             X         3        23633
LKQ CORP                   COM          501889208        226     13320 SH             X         2        13320
LKQ CORP                   COM          501889208       1773    104500 SH             X         2       104500
LKQ CORP                   COM          501889208       2118    124800 SH             X         2       124800
LKQ CORP                   COM          501889208        499     29363 SH             X         3        28292                1071
LKQ CORP                   COM          501889208         16       925 SH                 X     3                              925
LSI CORPORATION            COM          502161102        326     60802 SH             X         3        51402                9400
LSI CORPORATION            COM          502161102         29      5348 SH                 X     3                   5348
L-3 COMMUNICATIONS HLDG    COM          502424104       2126     21625 SH             X        1,3       21575        50
L-3 COMMUNICATIONS HLDG    COM          502424104        182      1850 SH                 X    1,3        1525       325
L-3 COMMUNICATIONS HLDG    COM          502424104       2217     22550 SH             X         2        22550
L-3 COMMUNICATIONS HLDG    COM          502424104        800      8134 SH             X         3         7762                 372
L-3 COMMUNICATIONS HLDG    COM          502424104        370      3767 SH                 X     3          795      2257       715
LABORATORY CORP AMER       COM NEW      50540R409       1349     19409 SH             X         3        16192                3217
LABORATORY CORP AMER       COM NEW      50540R409        362      5207 SH                 X     3          970       950      3287
LAUDER ESTEE COS INC       CL A         518439104       1297     25979 SH             X         3        25024       955
LAUDER ESTEE COS INC       CL A         518439104        148      2970 SH                 X     3          100      2870
LEGGETT & PLATT INC        COM          524660107        278     12741 SH             X         3        12741
LEGGETT & PLATT INC        COM          524660107          3       126 SH                 X     3                    126





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
LEGG MASON INC             COM          524901105        259      6803 SH             X         3         6803
LEGG MASON INC             COM          524901105          9       237 SH                 X     3                    237
LEUCADIA NATL CORP         COM          527288104        296      6514 SH             X         3         6514
LEUCADIA NATL CORP         COM          527288104        240      5280 SH                 X     3                   2880      2400
LIBERTY GLOBAL INC         COM SER A    530555101         56      1846 SH             X         2         1846
LIBERTY GLOBAL INC         COM SER A    530555101       4006    132200 SH             X         2       132200
LIBERTY GLOBAL INC         COM SER A    530555101        966     31882 SH             X         3        26762                5120
LIBERTY GLOBAL INC         COM SER A    530555101         36      1192 SH                 X     3                             1192
LIBERTY MEDIA CORP NEW     ENT COM A    53071M500         72      2869 SH             X         2         2869
LIBERTY MEDIA CORP NEW     ENT COM A    53071M500       4272    171100 SH             X         2       171100
LIBERTY MEDIA CORP NEW     ENT COM A    53071M500       1049     41994 SH             X         3        35394                6600
LIBERTY MEDIA CORP NEW     ENT COM A    53071M500        104      4152 SH                 X     3                    273      3879
LILLY ELI & CO             COM          532457108          4       100 SH             X        1,3         100
LILLY ELI & CO             COM          532457108          4       100 SH                 X    1,3         100
LILLY ELI & CO             COM          532457108        316      7175 SH             X         2         7175
LILLY ELI & CO             COM          532457108       2699     61300 SH             X         2        61300
LILLY ELI & CO             COM          532457108       9510    215997 SH             X         3       210573      4690       734
LILLY ELI & CO             COM          532457108      12044    273546 SH                 X     3       252129     21417
LIMITED BRANDS INC         COM          532716107        393     22701 SH             X         3        22701
LIMITED BRANDS INC         COM          532716107        101      5806 SH                 X     3                    439      5367
LINCOLN ELEC HLDGS INC     COM          533900106        191      2970 SH             X         2         2970
LINCOLN ELEC HLDGS INC     COM          533900106       1524     23700 SH             X         2        23700
LINCOLN ELEC HLDGS INC     COM          533900106       1775     27600 SH             X         2        27600
LINCOLN ELEC HLDGS INC     COM          533900106        538      8364 SH             X         3         7431                 933
LINCOLN ELEC HLDGS INC     COM          533900106         45       700 SH                 X     3                              700
LINCOLN NATL CORP IND      COM          534187109         11       250 SH             X        1,3         250
LINCOLN NATL CORP IND      COM          534187109        634     14820 SH             X         3        14650                 170
LINCOLN NATL CORP IND      COM          534187109        977     22813 SH                 X     3        13300      9513
LINEAR TECHNOLOGY CORP     COM          535678106          6       195 SH             X        1,3         195
LINEAR TECHNOLOGY CORP     COM          535678106        282      9190 SH             X         3         8972                 218
LINEAR TECHNOLOGY CORP     COM          535678106         91      2968 SH                 X     3          886       482      1600
LOCKHEED MARTIN CORP       COM          539830109        258      2350 SH             X        1,3        2325        25
LOCKHEED MARTIN CORP       COM          539830109        103       936 SH                 X    1,3         686       250
LOCKHEED MARTIN CORP       COM          539830109        343      3128 SH             X         2         3128
LOCKHEED MARTIN CORP       COM          539830109       1305     11900 SH             X         2        11900
LOCKHEED MARTIN CORP       COM          539830109       3372     30750 SH             X         2        30750
LOCKHEED MARTIN CORP       COM          539830109      18521    168879 SH             X         3       159121      3637      6121
LOCKHEED MARTIN CORP       COM          539830109       2080     18962 SH                 X     3          595     12163      6204
LOEWS CORP                 COM          540424108        715     18101 SH             X         3        18101
LOEWS CORP                 COM          540424108        149      3767 SH                 X     3                   3143       624
LORILLARD INC              COM          544147101         86      1208 SH             X         2         1208
LORILLARD INC              COM          544147101       5151     72400 SH             X         2        72400
LORILLARD INC              COM          544147101       1400     19673 SH             X         3        16883                2790
LORILLARD INC              COM          544147101         32       453 SH                 X     3                    453
LOWES COS INC              COM          548661107        402     16950 SH             X        1,3       16950
LOWES COS INC              COM          548661107         10       420 SH                 X    1,3         220       200
LOWES COS INC              COM          548661107        190      8039 SH             X         2         8039
LOWES COS INC              COM          548661107       1320     55700 SH             X         2        55700
LOWES COS INC              COM          548661107       9175    387293 SH             X         3       375189      7990      4114
LOWES COS INC              COM          548661107        870     36743 SH                 X     3         2660     33759       324
LUBRIZOL CORP              COM          549271104        470     10900 SH             X        1,3       10900
LUBRIZOL CORP              COM          549271104         71      1650 SH                 X    1,3        1250       400
LUBRIZOL CORP              COM          549271104        122      2827 SH             X         3         2202                 625
LUBRIZOL CORP              COM          549271104        225      5220 SH                 X     3                   5220
LUCAS ENERGY INC           COM NEW      549333201         78     47500 SH             X         3        47500
LULULEMON ATHLETICA INC    COM          550021109        248     10759 SH             X         3        10759
LULULEMON ATHLETICA INC    COM          550021109         12       500 SH                 X     3          500
LUMINEX CORP DEL           COM          55027E102        333     13330 SH             X         2        13330
LUMINEX CORP DEL           COM          55027E102       3109    124300 SH             X         2       124300
LUMINEX CORP DEL           COM          55027E102        721     28837 SH             X         3        28489                 348
LUMINEX CORP DEL           COM          55027E102          6       256 SH                 X     3                    256
M & T BK CORP              COM          55261F104        174      1954 SH             X         3         1954
M & T BK CORP              COM          55261F104        139      1554 SH                 X     3                   1554
MDU RES GROUP INC          COM          552690109       3674    126706 SH             X         3        83371     41535      1800
MDU RES GROUP INC          COM          552690109        414     14260 SH                 X     3                  14260
MEMC ELECTR MATLS INC      COM          552715104        848     30000 SH             X         2        30000
MEMC ELECTR MATLS INC      COM          552715104        712     25207 SH             X         3        18319                6888
MEMC ELECTR MATLS INC      COM          552715104        367     12974 SH                 X     3         1666      3364      7944
MFA MTG INVTS INC          COM          55272X102         87     13362 SH             X         3         6697                6665
MFA MTG INVTS INC          COM          55272X102         57      8740 SH                 X     3                             8740
MGE ENERGY INC             COM          55277P104       1511     42503 SH             X         3        38834                3669
MGE ENERGY INC             COM          55277P104        140      3950 SH                 X     3                   3950
MPS GROUP INC              COM          553409103        129     12803 SH             X         3         5030                7773
MPS GROUP INC              COM          553409103         62      6200 SH                 X     3                   6200
MSC SOFTWARE CORP          COM          553531104        203     18960 SH             X         3        18960
MTS SYS CORP               COM          553777103        465     11046 SH             X         2        11046
MTS SYS CORP               COM          553777103       4252    101000 SH             X         2       101000
MTS SYS CORP               COM          553777103        900     21386 SH             X         3        21217                 169
MTS SYS CORP               COM          553777103         11       267 SH                 X     3          116       151
MACYS INC                  COM          55616P104        187     10410 SH             X         3        10410
MACYS INC                  COM          55616P104         36      1989 SH                 X     3                   1989
MAGNA INTL INC             CL A         559222401         35       690 SH             X         3          690
MAGNA INTL INC             CL A         559222401        330      6455 SH                 X     3                   6455
MANITOWOC INC              COM          563571108       1362     87563 SH             X         3        87371                 192
MANITOWOC INC              COM          563571108         77      4921 SH                 X     3                   4586       335
MANPOWER INC               COM          56418H100         49      1146 SH             X         2         1146
MANPOWER INC               COM          56418H100       3733     86500 SH             X         2        86500
MANPOWER INC               COM          56418H100       2525     58496 SH             X         3        54474                4022
MANPOWER INC               COM          56418H100        126      2910 SH                 X     3                   2710       200
MANULIFE FINL CORP         COM          56501R106        603     16426 SH             X         3        15934                 492





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
MANULIFE FINL CORP         COM          56501R106         29       778 SH                 X     3                    778
MARATHON OIL CORP          COM          565849106         37       930 SH             X         2          930
MARATHON OIL CORP          COM          565849106       2793     70050 SH             X         2        70050
MARATHON OIL CORP          COM          565849106       3420     85789 SH             X         3        85255        72       462
MARATHON OIL CORP          COM          565849106        583     14624 SH                 X     3          336      8746      5542
MARCUS CORP                COM          566330106         30      1857 SH             X         3         1250                 607
MARCUS CORP                COM          566330106        353     21960 SH                 X     3          300     19050      2610
MARKET VECTORS ETF TR      COAL ETF     57060U837        259      8800 SH             X         3         8800
MARKET VECTORS ETF TR      COAL ETF     57060U837          6       200 SH                 X     3                    200
MARKET VECTORS ETF TR      LEHMUNETF    57060U845        973      9840 SH             X         3         9840
MARSH & MCLENNAN COS       COM          571748102       1626     51200 SH             X         2        51200
MARSH & MCLENNAN COS       COM          571748102        736     23185 SH             X         3        22910       275
MARSH & MCLENNAN COS       COM          571748102         21       669 SH                 X     3                    669
MARSHALL & ILSLEY CORP     COM          571837103         54      2676 SH             X        1,3                            2676
MARSHALL & ILSLEY CORP     COM          571837103          3       145 SH             X         2                              145
MARSHALL & ILSLEY CORP     COM          571837103     107108   5315526 SH             X         3      2071425     45600   3198501
MARSHALL & ILSLEY CORP     COM          571837103      53043   2632396 SH                 X     3          950    277825   2353621
MARRIOTT INTL INC NEW      CL A         571903202          2        90 SH             X         2           90
MARRIOTT INTL INC NEW      CL A         571903202        273     10460 SH             X         3        10460
MARRIOTT INTL INC NEW      CL A         571903202         16       620 SH                 X     3                    620
MASCO CORP                 COM          574599106        450     25100 SH             X         3        25100
MASCO CORP                 COM          574599106          2       122 SH                 X     3                    122
MASSEY ENERGY CORP         COM          576206106        662     18557 SH             X         3         8740                9817
MASSEY ENERGY CORP         COM          576206106        288      8069 SH                 X     3          754      1308      6007
MASTERCARD INC             CL A         57636Q104        678      3825 SH             X         3         2055                1770
MASTERCARD INC             CL A         57636Q104        480      2706 SH                 X     3          159      1001      1546
MATSUSHITA ELEC INDL       ADR          576879209        273     15774 SH                 X     3                  15774
MATTEL INC                 COM          577081102        198     11002 SH             X         3        11002
MATTEL INC                 COM          577081102        131      7287 SH                 X     3                   2510      4777
MAXIMUS INC                COM          577933104        680     18455 SH             X         3        18070                 385
MCAFEE INC                 COM          579064106       2571     75700 SH             X         2        75700
MCAFEE INC                 COM          579064106        119      3498 SH             X         3         2221                1277
MCCORMICK & CO INC         COM NVTG     579780206        499     12972 SH             X         3        11666       221      1085
MCCORMICK & CO INC         COM NVTG     579780206         24       613 SH                 X     3                    613
MCDONALDS CORP             COM          580135101         47       760 SH             X        1,3         760
MCDONALDS CORP             COM          580135101        166      2692 SH             X         2         2692
MCDONALDS CORP             COM          580135101      19264    312221 SH             X         3       308588      2499      1134
MCDONALDS CORP             COM          580135101       3438     55729 SH                 X     3        27100     27309      1320
MCGRATH RENTCORP           COM          580589109      15331    531971 SH             X        1,3      531971
MCGRATH RENTCORP           COM          580589109          4       140 SH             X         2          140
MCGRAW HILL COS INC        COM          580645109       2598     82201 SH             X         3        61448      6862     13891
MCGRAW HILL COS INC        COM          580645109        242      7664 SH                 X     3                   5214      2450
MCKESSON CORP              COM          58155Q103        786     14612 SH             X         3        14483       129
MCKESSON CORP              COM          58155Q103         23       435 SH                 X     3                    285       150
MEADWESTVACO CORP          COM          583334107         64      2738 SH             X         2         2738
MEADWESTVACO CORP          COM          583334107       4352    186700 SH             X         2       186700
MEADWESTVACO CORP          COM          583334107       1496     64175 SH             X         3        56743                7432
MEADWESTVACO CORP          COM          583334107         73      3144 SH                 X     3                   3144
MEDASSETS INC              COM          584045108        303     17600 SH             X         2        17600
MEDASSETS INC              COM          584045108       2821    164000 SH             X         2       164000
MEDASSETS INC              COM          584045108        581     33772 SH             X         3        33772
MEDCO HEALTH SOLUTIONS     COM          58405U102          3        60 SH             X        1,3          60
MEDCO HEALTH SOLUTIONS     COM          58405U102         54      1200 SH                 X    1,3        1200
MEDCO HEALTH SOLUTIONS     COM          58405U102       4491     99800 SH             X         2        99800
MEDCO HEALTH SOLUTIONS     COM          58405U102       2443     54298 SH             X         3        53175       837       286
MEDCO HEALTH SOLUTIONS     COM          58405U102        311      6901 SH                 X     3          784      6117
MEDTRONIC INC              COM          585055106        523     10445 SH             X        1,3       10295       150
MEDTRONIC INC              COM          585055106        137      2725 SH                 X    1,3        2300       425
MEDTRONIC INC              COM          585055106        208      4159 SH             X         2         4159
MEDTRONIC INC              COM          585055106      13463    268716 SH             X         3       259545      5547      3624
MEDTRONIC INC              COM          585055106       1309     26125 SH                 X     3          609     24936       580
MERCK & CO INC             COM          589331107        361     11450 SH             X        1,3       11300       150
MERCK & CO INC             COM          589331107         94      2975 SH                 X    1,3        2975
MERCK & CO INC             COM          589331107        139      4405 SH             X         2         4405
MERCK & CO INC             COM          589331107       7308    231563 SH             X         3       221801      5416      4346
MERCK & CO INC             COM          589331107       2084     66048 SH                 X     3        19575     40002      6471
MEREDITH CORP              COM          589433101        349     12450 SH             X         3        10475                1975
MEREDITH CORP              COM          589433101         54      1919 SH                 X     3                   1919
MERIT MED SYS INC          COM          589889104        180      9580 SH             X         2         9580
MERIT MED SYS INC          COM          589889104       1691     90100 SH             X         2        90100
MERIT MED SYS INC          COM          589889104        373     19852 SH             X         3        19487                 365
MERRILL LYNCH & CO INC     COM          590188108          1        20 SH             X         2           20
MERRILL LYNCH & CO INC     COM          590188108       1323     52275 SH             X         3        52275
MERRILL LYNCH & CO INC     COM          590188108        215      8498 SH                 X     3                   8498
METAVANTE TECHNOLOGIES     COM          591407101         17       892 SH             X        1,3                             892
METAVANTE TECHNOLOGIES     COM          591407101      33050   1715972 SH             X         3       713930     14900    987142
METAVANTE TECHNOLOGIES     COM          591407101       7855    407825 SH                 X     3                  17858    389967
METLIFE INC                COM          59156R108       3937     70300 SH             X         2        70300
METLIFE INC                COM          59156R108       1491     26620 SH             X         3        26292        65       263
METLIFE INC                COM          59156R108        372      6643 SH                 X     3          100      4943      1600
METTLER TOLEDO INTL        COM          592688105        267      2722 SH             X         3         2261                 461
METTLER TOLEDO INTL        COM          592688105        131      1336 SH                 X     3                     88      1248
MICROSOFT CORP             COM          594918104        328     12300 SH             X        1,3       12300
MICROSOFT CORP             COM          594918104         19       700 SH                 X    1,3         200       500
MICROSOFT CORP             COM          594918104        281     10536 SH             X         2        10536
MICROSOFT CORP             COM          594918104       8941    335000 SH             X         2       335000
MICROSOFT CORP             COM          594918104       2469     92500 SH             X         2        92500
MICROSOFT CORP             COM          594918104      38991   1460888 SH             X         3      1373112     53714     34062
MICROSOFT CORP             COM          594918104       6100    228549 SH                 X     3        32841    190118      5590
MICROCHIP TECHNOLOGY       COM          595017104        430     14596 SH             X         3        13826       670       100





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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         20       150 SH             X        1,3         150
MIDCAP SPDR TR             UNIT SER 1   595635103         13       100 SH                 X    1,3                   100
MIDCAP SPDR TR             UNIT SER 1   595635103       7271     55166 SH             X         3        54696       470
MIDCAP SPDR TR             UNIT SER 1   595635103        676      5128 SH                 X     3                   5128
MIDDLEBY CORP              COM          596278101        244      4490 SH             X         2         4490
MIDDLEBY CORP              COM          596278101       2281     42000 SH             X         2        42000
MIDDLEBY CORP              COM          596278101        468      8609 SH             X         3         8609
MIDDLEBY CORP              COM          596278101         15       277 SH                 X     3          120       157
MIDWEST BANC HOLDINGS      COM          598251106        117     29247 SH             X        1,3       29247
MILLIPORE CORP             COM          601073109        296      4306 SH             X         3         4250                  56
MILLIPORE CORP             COM          601073109         36       517 SH                 X     3                    517
MINDRAY MEDICAL INTL       SPON ADR     602675100        388     11500 SH                 X     3                  11500
MITSUBISHI UFJ FINL        SPON ADR     606822104        132     15105 SH             X         3        15105
MIZUHO FINL GROUP INC      SPON ADR     60687Y109        103     11760 SH             X         3        11760
MODINE MFG CO              COM          607828100        508     35097 SH             X         3        34812                 285
MODINE MFG CO              COM          607828100        312     21565 SH                 X     3         2000     17320      2245
MONSANTO CO NEW            COM          61166W101        817      8250 SH             X        1,3        8250
MONSANTO CO NEW            COM          61166W101         57       575 SH                 X    1,3         275       300
MONSANTO CO NEW            COM          61166W101        196      1980 SH             X         2         1980
MONSANTO CO NEW            COM          61166W101       3633     36700 SH             X         2        36700
MONSANTO CO NEW            COM          61166W101      13819    139622 SH             X         3       132243      2076      5303
MONSANTO CO NEW            COM          61166W101       1120     11317 SH                 X     3          958      5534      4825
MOODYS CORP                COM          615369105        576     16927 SH             X         3        16443       249       235
MOODYS CORP                COM          615369105         92      2695 SH                 X     3                   2695
MOOG INC                   CL A         615394202        236      5496 SH             X         3         5267                 229
MORGAN STANLEY             COM NEW      617446448         26      1149 SH             X        1,3        1149
MORGAN STANLEY             COM NEW      617446448          1        40 SH             X         2           40
MORGAN STANLEY             COM NEW      617446448       2667    115950 SH             X         3       112998      2020       932
MORGAN STANLEY             COM NEW      617446448        477     20726 SH                 X     3          654     19536       536
MOSAIC CO                  COM          61945A107        563      8284 SH             X         3         8284
MOSAIC CO                  COM          61945A107        176      2594 SH                 X     3          130      2218       246
MOTOROLA INC               COM          620076109          1       100 SH             X        1,3         100
MOTOROLA INC               COM          620076109        314     43974 SH             X         3        43861       113
MOTOROLA INC               COM          620076109        217     30379 SH                 X     3         5500      9354     15525
MURPHY OIL CORP            COM          626717102        662     10314 SH             X         3        10106       150        58
MURPHY OIL CORP            COM          626717102        478      7455 SH                 X     3                   7455
NCR CORP NEW               COM          62886E108        184      8324 SH             X         3         5767                2557
NCR CORP NEW               COM          62886E108         30      1339 SH                 X     3                   1339
NTT DOCOMO INC             SPON ADR     62942M201        120      7527 SH             X         3         6088                1439
NTT DOCOMO INC             SPON ADR     62942M201         67      4187 SH                 X     3                    274      3913
NANOGEN INC                COM          630075109          3     10000 SH             X         3        10000
NATIONAL CITY CORP         COM          635405103          0       250 SH             X        1,3         250
NATIONAL CITY CORP         COM          635405103        111     63637 SH             X         3        63637
NATIONAL CITY CORP         COM          635405103          3      1555 SH                 X     3                   1555
NATIONAL FUEL GAS CO       COM          636180101        219      5183 SH             X         3         3618       150      1415
NATIONAL FUEL GAS CO       COM          636180101         38       898 SH                 X     3                    898
NATIONAL OILWELL VARCO     COM          637071101       1618     32203 SH             X         3        31451       672        80
NATIONAL OILWELL VARCO     COM          637071101        649     12927 SH                 X     3         9360      1709      1858
NATIONAL SEMICONDUCTOR     COM          637640103        275     15988 SH             X         3        15312       478       198
NATIONAL SEMICONDUCTOR     COM          637640103         13       737 SH                 X     3          200       537
NATUS MEDICAL INC DEL      COM          639050103        268     11838 SH             X         2        11838
NATUS MEDICAL INC DEL      COM          639050103       2488    109800 SH             X         2       109800
NATUS MEDICAL INC DEL      COM          639050103        519     22892 SH             X         3        22670                 222
NAVISTAR INTL CORP NEW     COM          63934E108       3224     59500 SH             X         2        59500
NAVISTAR INTL CORP NEW     COM          63934E108         53       989 SH             X         3          989
NESS TECHNOLOGIES INC      COM          64104X108        151     13129 SH             X         3        13129
NETEZZA CORP               COM          64111N101        249     22820 SH             X         2        22820
NETEZZA CORP               COM          64111N101       2327    213700 SH             X         2       213700
NETEZZA CORP               COM          64111N101        477     43805 SH             X         3        43805
NEWELL RUBBERMAID INC      COM          651229106         21      1200 SH             X        1,3        1200
NEWELL RUBBERMAID INC      COM          651229106          6       350 SH                 X    1,3         350
NEWELL RUBBERMAID INC      COM          651229106       1575     91223 SH             X         3        89762      1196       265
NEWELL RUBBERMAID INC      COM          651229106        106      6153 SH                 X     3          538      2125      3490
NEWMONT MINING CORP        COM          651639106        359      9275 SH             X        1,3        9275
NEWMONT MINING CORP        COM          651639106         27       700 SH                 X    1,3         700
NEWMONT MINING CORP        COM          651639106        732     18893 SH             X         3        18143       162       588
NEWMONT MINING CORP        COM          651639106        590     15227 SH                 X     3                  15227
NEWS CORP                  CL A         65248E104       1332    111100 SH             X         2       111100
NEWS CORP                  CL A         65248E104        814     67846 SH             X         3        67846
NEWS CORP                  CL A         65248E104        100      8323 SH                 X     3                   5960      2363
NEXEN INC                  COM          65334H102          4       164 SH             X         3          164
NEXEN INC                  COM          65334H102        340     14632 SH                 X     3                  13428      1204
NICOR INC                  COM          654086107         11       248 SH                 X    1,3         248
NICOR INC                  COM          654086107        109      2455 SH             X         2         2455
NICOR INC                  COM          654086107       2459     55453 SH             X         3        53218       192      2043
NICOR INC                  COM          654086107        138      3102 SH                 X     3          491      2011       600
NIDEC CORP                 SPON ADR     654090109        141      9276 SH             X         3         7617                1659
NIDEC CORP                 SPON ADR     654090109         96      6306 SH                 X     3                   1792      4514
NIKE INC                   CL B         654106103        803     12000 SH             X        1,3       12000
NIKE INC                   CL B         654106103         60       900 SH                 X    1,3         600       300
NIKE INC                   CL B         654106103        124      1860 SH             X         2         1860
NIKE INC                   CL B         654106103       3285     49100 SH             X         2        49100
NIKE INC                   CL B         654106103       3291     49200 SH             X         2        49200
NIKE INC                   CL B         654106103      13565    202765 SH             X         3       185597      3525     13643
NIKE INC                   CL B         654106103       1507     22523 SH                 X     3         1454     12366      8703
NIPPON TELEG & TEL CORP    SPON ADR     654624105        105      4675 SH             X         3         4675
NIPPON TELEG & TEL CORP    SPON ADR     654624105        826     36717 SH                 X     3                  36717
NISOURCE INC               COM          65473P105        191     12950 SH             X         2        12950
NISOURCE INC               COM          65473P105       3982    269789 SH             X         3       267262       259      2268
NISOURCE INC               COM          65473P105        242     16382 SH                 X     3         3500      6677      6205





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
NOKIA CORP                 SPON ADR     654902204         15       800 SH             X        1,3         800
NOKIA CORP                 SPON ADR     654902204        850     45560 SH             X         3        42221      2090      1249
NOKIA CORP                 SPON ADR     654902204        839     44989 SH                 X     3        30325      7061      7603
NOBLE ENERGY INC           COM          655044105         48       868 SH             X         2          868
NOBLE ENERGY INC           COM          655044105       1112     20000 SH             X         2        20000
NOBLE ENERGY INC           COM          655044105       3530     63500 SH             X         2        63500
NOBLE ENERGY INC           COM          655044105       1325     23839 SH             X         3        21389                2450
NOBLE ENERGY INC           COM          655044105        123      2207 SH                 X     3                   1606       601
NORDSTROM INC              COM          655664100       1112     38572 SH             X         3        30907        54      7611
NORDSTROM INC              COM          655664100        435     15107 SH                 X     3         1717      2903     10487
NORFOLK SOUTHERN CORP      COM          655844108        862     13023 SH             X         3        12524       228       271
NORFOLK SOUTHERN CORP      COM          655844108        146      2200 SH                 X     3         1090       847       263
NORTHERN TR CORP           COM          665859104         72      1000 SH             X        1,3        1000
NORTHERN TR CORP           COM          665859104         41       570 SH                 X    1,3         420       150
NORTHERN TR CORP           COM          665859104        273      3778 SH             X         2         3778
NORTHERN TR CORP           COM          665859104       1083     15000 SH             X         2        15000
NORTHERN TR CORP           COM          665859104      12552    173850 SH             X         3       167375      4355      2120
NORTHERN TR CORP           COM          665859104       1558     21577 SH                 X     3         7845     13732
NORTHROP GRUMMAN CORP      COM          666807102        477      7875 SH             X        1,3        7875
NORTHROP GRUMMAN CORP      COM          666807102         58       950 SH                 X    1,3         650       300
NORTHROP GRUMMAN CORP      COM          666807102       2431     40150 SH             X         2        40150
NORTHROP GRUMMAN CORP      COM          666807102       1508     24910 SH             X         3        24121       736        53
NORTHROP GRUMMAN CORP      COM          666807102        375      6196 SH                 X     3          250      5946
NOVAGOLD RES INC           COM NEW      66987E206         70     10803 SH                 X     3                  10803
NOVARTIS A G               SPON ADR     66987V109        465      8801 SH             X         3         6631                2170
NOVARTIS A G               SPON ADR     66987V109         76      1435 SH                 X     3           50       975       410
NOVAVAX INC                COM          670002104        235     81100 SH             X         3        81100
NOVELL INC                 COM          670006105        242     47125 SH             X         3        47125
NOVELL INC                 COM          670006105          7      1313 SH                 X     3                   1313
NOVELLUS SYS INC           COM          670008101        250     12747 SH             X         3        12747
NOVELLUS SYS INC           COM          670008101          1        35 SH                 X     3                     35
NSTAR                      COM          67019E107         10       300 SH             X        1,3         300
NSTAR                      COM          67019E107         54      1620 SH             X         3         1620
NSTAR                      COM          67019E107        210      6271 SH                 X     3                   6271
NUCOR CORP                 COM          670346105         35       876 SH             X         2          876
NUCOR CORP                 COM          670346105       1149     29100 SH             X         2        29100
NUCOR CORP                 COM          670346105       2402     60800 SH             X         2        60800
NUCOR CORP                 COM          670346105       2733     69186 SH             X         3        66300       294      2592
NUCOR CORP                 COM          670346105         45      1147 SH                 X     3                   1147
NUVEEN MUN MKT OPPORT      COM          67062W103        160     14615 SH             X         3        14615
NVIDIA CORP                COM          67066G104        242     22577 SH             X         3        22478        99
NVIDIA CORP                COM          67066G104         10       932 SH                 X     3                    932
NUVEEN DIVID ADVANTAGE     COM          67066V101        108     10000 SH             X         3        10000
NUVASIVE INC               COM          670704105        305      6190 SH             X         2         6190
NUVASIVE INC               COM          670704105       2851     57800 SH             X         2        57800
NUVASIVE INC               COM          670704105        584     11831 SH             X         3        11831
OGE ENERGY CORP            COM          670837103        247      7983 SH             X         3         7050                 933
NUVEEN MUN VALUE FD INC    COM          670928100         77      8200 SH             X        1,3        8200
NUVEEN MUN VALUE FD INC    COM          670928100        227     24173 SH             X         3        24173
NUVEEN MUN VALUE FD INC    COM          670928100        108     11500 SH                 X     3                  11500
OCCIDENTAL PETE CORP       COM          674599105         49       700 SH             X        1,3         700
OCCIDENTAL PETE CORP       COM          674599105       2114     30000 SH             X         2        30000
OCCIDENTAL PETE CORP       COM          674599105       4565     64810 SH             X         3        62404      1884       522
OCCIDENTAL PETE CORP       COM          674599105        685      9724 SH                 X     3                   9724
OCEANEERING INTL INC       COM          675232102         82      1545 SH             X         3         1218                 327
OCEANEERING INTL INC       COM          675232102        382      7165 SH                 X     3                   7165
OCULUS INNOVATIVE SCI      COM          67575P108         89     47017 SH             X         2        47017
OCULUS INNOVATIVE SCI      COM          67575P108          2      1000 SH             X         3         1000
OFFICE DEPOT INC           COM          676220106         56      9638 SH             X         3         9638
OFFICE DEPOT INC           COM          676220106         14      2400 SH                 X     3                   2400
OIL STS INTL INC           COM          678026105         33       945 SH             X         3          945
OIL STS INTL INC           COM          678026105        192      5429 SH                 X     3                   5429
OLD NATL BANCORP IND       COM          680033107        144      7205 SH             X         3         7205
OLD NATL BANCORP IND       COM          680033107        128      6385 SH                 X     3                   6385
OLD REP INTL CORP          COM          680223104        283     22191 SH             X         3        16823                5368
OLD REP INTL CORP          COM          680223104        152     11926 SH                 X     3         1406      9820       700
OMNICARE INC               COM          681904108       1594     55400 SH             X         2        55400
OMNICARE INC               COM          681904108        104      3637 SH             X         3         2371                1266
OMNICOM GROUP INC          COM          681919106        405     10500 SH             X        1,3       10500
OMNICOM GROUP INC          COM          681919106         27       700 SH                 X    1,3         600       100
OMNICOM GROUP INC          COM          681919106        736     19079 SH             X         3        18986        28        65
OMNICOM GROUP INC          COM          681919106         75      1955 SH                 X     3          640      1133       182
OMNITURE INC               COM          68212S109        145      7906 SH             X         2         7906
OMNITURE INC               COM          68212S109       1327     72300 SH             X         2        72300
OMNITURE INC               COM          68212S109        278     15132 SH             X         3        15132
ON SEMICONDUCTOR CORP      COM          682189105        184     27150 SH             X         2        27150
ON SEMICONDUCTOR CORP      COM          682189105       1420    210100 SH             X         2       210100
ON SEMICONDUCTOR CORP      COM          682189105       1697    251000 SH             X         2       251000
ON SEMICONDUCTOR CORP      COM          682189105        375     55465 SH             X         3        55465
ONEOK INC NEW              COM          682680103       2253     65500 SH             X         2        65500
ONEOK INC NEW              COM          682680103        236      6865 SH             X         3         5798                1067
ONYX PHARMACEUTICALS       COM          683399109       1121     30990 SH             X         3        30990
ONYX PHARMACEUTICALS       COM          683399109         16       440 SH                 X     3                    440
ORACLE CORP                COM          68389X105         10       500 SH             X        1,3         500
ORACLE CORP                COM          68389X105       2869    141250 SH             X         2       141250
ORACLE CORP                COM          68389X105       1566     77100 SH             X         2        77100
ORACLE CORP                COM          68389X105       7937    390828 SH             X         3       362670      3649     24509
ORACLE CORP                COM          68389X105       2081    102472 SH                 X     3        41424     35010     26038
OSHKOSH CORP               COM          688239201        414     31427 SH             X         3        31427
OSHKOSH CORP               COM          688239201        483     36730 SH                 X     3                  36730





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
OVERHILL FARMS INC         COM          690212105        191     37120 SH             X         2        37120
OVERHILL FARMS INC         COM          690212105       1772    344100 SH             X         2       344100
OVERHILL FARMS INC         COM          690212105        366     71075 SH             X         3        71075
OWENS & MINOR INC NEW      COM          690732102        178      3670 SH             X         3         2348                1322
OWENS & MINOR INC NEW      COM          690732102         64      1310 SH                 X     3                             1310
OWENS CORNING NEW          COM          690742101       1901     79500 SH             X         2        79500
OWENS CORNING NEW          COM          690742101         34      1429 SH             X         3         1429
PG&E CORP                  COM          69331C108        668     17828 SH             X         3        17527       189       112
PG&E CORP                  COM          69331C108         69      1836 SH                 X     3                   1836
PNC FINL SVCS GROUP INC    COM          693475105       1755     23500 SH             X         2        23500
PNC FINL SVCS GROUP INC    COM          693475105       3864     51716 SH             X         3        51482                 234
PNC FINL SVCS GROUP INC    COM          693475105        594      7949 SH                 X     3                   7949
PPG INDS INC               COM          693506107        181      3097 SH             X         2         3097
PPG INDS INC               COM          693506107       4422     75830 SH             X         2        75830
PPG INDS INC               COM          693506107       3522     60386 SH             X         3        57019       144      3223
PPG INDS INC               COM          693506107        588     10082 SH                 X     3         4977      5105
PPL CORP                   COM          69351T106         34       909 SH             X         2          909
PPL CORP                   COM          69351T106       2229     60200 SH             X         2        60200
PPL CORP                   COM          69351T106        718     19407 SH             X         3        16977                2430
PPL CORP                   COM          69351T106          9       236 SH                 X     3                    236
PACCAR INC                 COM          693718108         51      1342 SH             X         2         1342
PACCAR INC                 COM          693718108       3274     85728 SH             X         3        83197      1149      1382
PACCAR INC                 COM          693718108        243      6351 SH                 X     3          360      5991
PALL CORP                  COM          696429307        214      6231 SH             X         3         6082       102        47
PALL CORP                  COM          696429307          4       110 SH                 X     3                    110
PARAMETRIC TECHNOLOGY      COM NEW      699173209        284     15450 SH             X         2        15450
PARAMETRIC TECHNOLOGY      COM NEW      699173209       2171    118000 SH             X         2       118000
PARAMETRIC TECHNOLOGY      COM NEW      699173209       2563    139300 SH             X         2       139300
PARAMETRIC TECHNOLOGY      COM NEW      699173209        618     33586 SH             X         3        32267                1319
PARAMETRIC TECHNOLOGY      COM NEW      699173209         23      1225 SH                 X     3                             1225
PAREXEL INTL CORP          COM          699462107        286      9990 SH             X         2         9990
PAREXEL INTL CORP          COM          699462107       2648     92400 SH             X         2        92400
PAREXEL INTL CORP          COM          699462107        577     20119 SH             X         3        19648                 471
PARKER HANNIFIN CORP       COM          701094104         33       625 SH                 X    1,3         625
PARKER HANNIFIN CORP       COM          701094104       2019     38100 SH             X         2        38100
PARKER HANNIFIN CORP       COM          701094104       2216     41807 SH             X         3        40527       629       651
PARKER HANNIFIN CORP       COM          701094104        338      6372 SH                 X     3         1812      4045       515
PAYCHEX INC                COM          704326107         36      1075 SH             X        1,3        1075
PAYCHEX INC                COM          704326107        594     17972 SH             X         3        17504       266       202
PAYCHEX INC                COM          704326107         98      2959 SH                 X     3                   2959
PEABODY ENERGY CORP        COM          704549104        212      4718 SH             X         3         4718
PEABODY ENERGY CORP        COM          704549104        429      9527 SH                 X     3          660      7419      1448
PEETS COFFEE & TEA INC     COM          705560100        244      8750 SH             X         2         8750
PEETS COFFEE & TEA INC     COM          705560100       2289     82000 SH             X         2        82000
PEETS COFFEE & TEA INC     COM          705560100        491     17588 SH             X         3        16916                 672
PENGROWTH ENERGY TR        TR UNIT NEW  706902509        175     11705 SH             X         3        11705
PENNEY J C INC             COM          708160106        868     26046 SH             X         3        25731        65       250
PENNEY J C INC             COM          708160106        622     18666 SH                 X     3           75     18591
PEOPLES UNITED FINL        COM          712704105         12       635 SH             X         3          635
PEOPLES UNITED FINL        COM          712704105        217     11260 SH                 X     3                  11260
PEPCO HOLDINGS INC         COM          713291102        846     36916 SH             X         3        36770                 146
PEPCO HOLDINGS INC         COM          713291102         16       680 SH                 X     3                    680
PEPSIAMERICAS INC          COM          71343P200        311     15010 SH             X         2        15010
PEPSIAMERICAS INC          COM          71343P200       2418    116700 SH             X         2       116700
PEPSIAMERICAS INC          COM          71343P200       2876    138800 SH             X         2       138800
PEPSIAMERICAS INC          COM          71343P200        652     31485 SH             X         3        30864                 621
PEPSICO INC                COM          713448108       1596     22387 SH             X        1,3       22337        50
PEPSICO INC                COM          713448108        308      4325 SH                 X    1,3        3675       650
PEPSICO INC                COM          713448108        300      4215 SH             X         2         4215
PEPSICO INC                COM          713448108       6315     88600 SH             X         2        88600
PEPSICO INC                COM          713448108      23906    335442 SH             X         3       312958     13486      8998
PEPSICO INC                COM          713448108       6839     95960 SH                 X     3        21073     65996      8891
PERKINELMER INC            COM          714046109        300     12024 SH             X         3        11631       123       270
PERKINELMER INC            COM          714046109         13       504 SH                 X     3                    504
PERMIAN BASIN RTY TR       UT BEN INT   714236106        284     12200 SH             X         3        12200
PEROT SYS CORP             CL A         714265105        336     19375 SH             X         3        15000                4375
PEROT SYS CORP             CL A         714265105         52      3000 SH                 X     3                   3000
PERRIGO CO                 COM          714290103        327      8500 SH             X         2         8500
PERRIGO CO                 COM          714290103       2708     70400 SH             X         2        70400
PERRIGO CO                 COM          714290103       2946     76600 SH             X         2        76600
PERRIGO CO                 COM          714290103       1029     26771 SH             X         3        26005                 766
PETROHAWK ENERGY CORP      COM          716495106       2487    115000 SH             X         2       115000
PETROHAWK ENERGY CORP      COM          716495106        248     11425 SH             X         3        11425
PETROHAWK ENERGY CORP      COM          716495106         19       880 SH                 X     3                    880
PETROLEO BRASILEIRO SA     SPON ADR     71654V408        361      8222 SH             X         3         7546                 676
PETROLEO BRASILEIRO SA     SPON ADR     71654V408        117      2673 SH                 X     3                    826      1847
PFIZER INC                 COM          717081103        188     10188 SH             X        1,3       10188
PFIZER INC                 COM          717081103         13       680 SH                 X    1,3         680
PFIZER INC                 COM          717081103        515     27945 SH             X         2        27945
PFIZER INC                 COM          717081103       2467    133800 SH             X         2       133800
PFIZER INC                 COM          717081103      21814   1182938 SH             X         3      1137507     29688     15743
PFIZER INC                 COM          717081103       3619    196273 SH                 X     3        27947    158164     10162
PHARMERICA CORP            COM          71714F104        240     10660 SH             X         3        10152                 508
PHILIP MORRIS INTL INC     COM          718172109         31       650 SH             X        1,3         650
PHILIP MORRIS INTL INC     COM          718172109        194      4030 SH             X         2         4030
PHILIP MORRIS INTL INC     COM          718172109       4565     94900 SH             X         2        94900
PHILIP MORRIS INTL INC     COM          718172109       3564     74100 SH             X         2        74100
PHILIP MORRIS INTL INC     COM          718172109      24859    516820 SH             X         3       509166      4350      3304
PHILIP MORRIS INTL INC     COM          718172109      11006    228820 SH                 X     3        16902    210127      1791
PINNACLE WEST CAP CORP     COM          723484101         82      2385 SH             X         2         2385





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
PINNACLE WEST CAP CORP     COM          723484101       2080     60460 SH             X         2        60460
PINNACLE WEST CAP CORP     COM          723484101       1831     53199 SH             X         3        52456       384       359
PINNACLE WEST CAP CORP     COM          723484101         37      1082 SH                 X     3                   1082
PIONEER NAT RES CO         COM          723787107        154      2947 SH             X         3         2947
PIONEER NAT RES CO         COM          723787107        188      3590 SH                 X     3                   2410      1180
PITNEY BOWES INC           COM          724479100        240      7225 SH             X         2         7225
PITNEY BOWES INC           COM          724479100       3153     94787 SH             X         3        93952        73       762
PITNEY BOWES INC           COM          724479100        163      4901 SH                 X     3          344      4557
PLAINS EXPL& PRODTN CO     COM          726505100        274      7804 SH             X         3         6959                 845
PLUM CREEK TIMBER CO       COM          729251108        106      2125 SH             X         2         2125
PLUM CREEK TIMBER CO       COM          729251108       2095     42024 SH             X         3        40159       150      1715
PLUM CREEK TIMBER CO       COM          729251108       1058     21213 SH                 X     3          278     20635       300
POPULAR INC                COM          733174106         93     11200 SH             X        1,3       11200
POPULAR INC                COM          733174106         72      8655 SH             X         3         8655
POTASH CORP SASK INC       COM          73755L107        373      2825 SH             X         3         2674                 151
POTASH CORP SASK INC       COM          73755L107        143      1084 SH                 X     3                    671       413
POTLATCH CORP NEW          COM          737630103        211      4553 SH             X         3         4208                 345
POTLATCH CORP NEW          COM          737630103         22       469 SH                 X     3                    469
POWELL INDS INC            COM          739128106        539     13200 SH                 X     3                  13200
POWERSHARES QQQ TRUST      UNIT SER 1   73935A104          8       200 SH             X        1,3         200
POWERSHARES QQQ TRUST      UNIT SER 1   73935A104       1050     26976 SH             X         3        26976
POWERSHARES QQQ TRUST      UNIT SER 1   73935A104         50      1293 SH                 X     3                   1293
POWERSHARES DB CMDTY       UT BEN INT   73935S105        678     20003 SH             X         3        20003
POWERSHARES DB CMDTY       UT BEN INT   73935S105         14       415 SH                 X     3                    415
POWERSHARES ETF TRUST      HIYLDEQDV    73935X302        542     49185 SH             X         3        49185
POWERSHARES ETF TRUST      WNDRHLLCLN   73935X500       1266     85166 SH             X         3        85166
POWERSHARES ETF TRUST      WNDRHLLCLN   73935X500         54      3660 SH                 X     3                   3660
POWERSHARES ETF TRUST      WATER RESC   73935X575        496     26982 SH             X         3        26982
POWERSHARES ETF TRUST      WATER RESC   73935X575         18      1000 SH                 X     3                   1000
POWERSHARES ETF TRUST      FTSE R1000   73935X583       4419     97367 SH             X         3        87131       400      9836
POWERSHARES ETF TRUST      FTSE R1000   73935X583         97      2132 SH                 X     3                   2132
POWERSHARES ETF TRUST      DYN BIOGEN   73935X856        235     12985 SH             X         3        12985
PRAXAIR INC                COM          74005P104         14       200 SH             X        1,3         200
PRAXAIR INC                COM          74005P104        102      1420 SH             X         2         1420
PRAXAIR INC                COM          74005P104       1973     27500 SH             X         2        27500
PRAXAIR INC                COM          74005P104       1284     17900 SH             X         2        17900
PRAXAIR INC                COM          74005P104       4823     67233 SH             X         3        57901        24      9308
PRAXAIR INC                COM          74005P104       1580     22024 SH                 X     3        10225      3499      8300
PRECISION CASTPARTS        COM          740189105       1168     14828 SH             X         3        10168                4660
PRECISION CASTPARTS        COM          740189105        644      8173 SH                 X     3         1206      1273      5694
PRICE T ROWE GROUP INC     COM          74144T108          6       120 SH             X         2          120
PRICE T ROWE GROUP INC     COM          74144T108       1341     24968 SH             X         3        24842        52        74
PRICE T ROWE GROUP INC     COM          74144T108        196      3642 SH                 X     3         2415       412       815
PRINCIPAL FINANCIAL GR     COM          74251V102         64      1479 SH             X         2         1479
PRINCIPAL FINANCIAL GR     COM          74251V102       4623    106300 SH             X         2       106300
PRINCIPAL FINANCIAL GR     COM          74251V102       1438     33060 SH             X         3        28941        29      4090
PRINCIPAL FINANCIAL GR     COM          74251V102         97      2232 SH                 X     3                   2232
PROASSURANCE CORP          COM          74267C106        359      6417 SH             X         3         6116                 301
PROASSURANCE CORP          COM          74267C106         72      1285 SH                 X     3                   1285
PROCTER & GAMBLE CO        COM          742718109       2286     32800 SH             X        1,3       32800
PROCTER & GAMBLE CO        COM          742718109        250      3592 SH                 X    1,3        2792       800
PROCTER & GAMBLE CO        COM          742718109        341      4890 SH             X         2         4890
PROCTER & GAMBLE CO        COM          742718109       6851     98300 SH             X         2        98300
PROCTER & GAMBLE CO        COM          742718109      54739    785467 SH             X         3       749357     19258     16852
PROCTER & GAMBLE CO        COM          742718109      10522    150989 SH                 X     3        24669    116480      9840
PROGRESS ENERGY INC        COM          743263105        195      4510 SH             X         2         4510
PROGRESS ENERGY INC        COM          743263105       5015    116280 SH             X         3       114325       539      1416
PROGRESS ENERGY INC        COM          743263105        242      5608 SH                 X     3          350      3103      2155
PROGRESSIVE CORP OHIO      COM          743315103        190     10914 SH             X         2        10914
PROGRESSIVE CORP OHIO      COM          743315103       4385    251986 SH             X         3       242990      3176      5820
PROGRESSIVE CORP OHIO      COM          743315103        212     12181 SH                 X     3                   9209      2972
PROLOGIS                   SH BEN INT   743410102        124      3015 SH             X         2         3015
PROLOGIS                   SH BEN INT   743410102       1836     44492 SH             X         3        43941       172       379
PROLOGIS                   SH BEN INT   743410102         59      1425 SH                 X     3                    969       456
PROSHARES TR               ULT FIN PRO  74347R743        813     46330 SH             X         3        42130      4200
PROTECTIVE LIFE CORP       COM          743674103         54      1905 SH             X         2         1905
PROTECTIVE LIFE CORP       COM          743674103       3886    136300 SH             X         2       136300
PROTECTIVE LIFE CORP       COM          743674103       1045     36661 SH             X         3        29132                7529
PROTECTIVE LIFE CORP       COM          743674103         56      1950 SH                 X     3                   1950
PRUDENTIAL FINL INC        COM          744320102        322      4476 SH             X        1,3        4476
PRUDENTIAL FINL INC        COM          744320102        163      2261 SH                 X    1,3        2261
PRUDENTIAL FINL INC        COM          744320102       1799     24985 SH             X         3        24756        54       175
PRUDENTIAL FINL INC        COM          744320102         73      1011 SH                 X     3          143       868
PUBLIC SVC ENTERPRISE      COM          744573106        672     20505 SH             X         3        18805                1700
PUBLIC SVC ENTERPRISE      COM          744573106        290      8841 SH                 X     3                   6441      2400
PUBLIC STORAGE             COM          74460D109         50       500 SH             X        1,3         500
PUBLIC STORAGE             COM          74460D109        900      9090 SH             X         3         9004        86
PUBLIC STORAGE             COM          74460D109         48       485 SH                 X     3                    485
PULTE HOMES INC            COM          745867101        145     10405 SH             X         3        10405
PULTE HOMES INC            COM          745867101          2       156 SH                 X     3                    156
QLOGIC CORP                COM          747277101        141      9200 SH             X         2         9200
QLOGIC CORP                COM          747277101       1109     72200 SH             X         2        72200
QLOGIC CORP                COM          747277101       1319     85900 SH             X         2        85900
QLOGIC CORP                COM          747277101        452     29416 SH             X         3        29416
QLOGIC CORP                COM          747277101          4       243 SH                 X     3                    243
QUALCOMM INC               COM          747525103        337      7850 SH             X        1,3        7850
QUALCOMM INC               COM          747525103         30       700 SH                 X    1,3         350       350
QUALCOMM INC               COM          747525103        221      5140 SH             X         2         5140
QUALCOMM INC               COM          747525103       2191     51000 SH             X         2        51000
QUALCOMM INC               COM          747525103      13573    315850 SH             X         3       305627      7060      3163





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
QUALCOMM INC               COM          747525103       1727     40198 SH                 X     3          924     34691      4583
QUANTA SVCS INC            COM          74762E102       2507     92800 SH             X         2        92800
QUANTA SVCS INC            COM          74762E102        249      9225 SH             X         3         7157                2068
QUANTA SVCS INC            COM          74762E102         27      1014 SH                 X     3                   1014
QUEST DIAGNOSTICS INC      COM          74834L100          2        45 SH             X         2           45
QUEST DIAGNOSTICS INC      COM          74834L100        204      3943 SH             X         3         3815                 128
QUEST DIAGNOSTICS INC      COM          74834L100        484      9362 SH                 X     3                   5664      3698
QUESTAR CORP               COM          748356102        256      6266 SH             X         3         6266
QUESTAR CORP               COM          748356102        104      2537 SH                 X     3                   1847       690
QUESTCOR PHARMA INC        COM          74835Y101        272     37060 SH             X         2        37060
QUESTCOR PHARMA INC        COM          74835Y101       2500    340100 SH             X         2       340100
QUESTCOR PHARMA INC        COM          74835Y101        515     70138 SH             X         3        70138
QWEST COMMUNICATIONS       COM          749121109        339    104861 SH             X         3       104861
QWEST COMMUNICATIONS       COM          749121109          4      1247 SH                 X     3                   1247
RPM INTL INC               COM          749685103         71      3653 SH             X         3         2466                1187
RPM INTL INC               COM          749685103        218     11250 SH                 X     3                  11250
RTI BIOLOGICS INC          COM          74975N105        363     38772 SH             X         2        38772
RTI BIOLOGICS INC          COM          74975N105       3282    351000 SH             X         2       351000
RTI BIOLOGICS INC          COM          74975N105        687     73464 SH             X         3        73464
RADIOSHACK CORP            COM          750438103        323     18680 SH             X         2        18680
RADIOSHACK CORP            COM          750438103       2521    145900 SH             X         2       145900
RADIOSHACK CORP            COM          750438103       3014    174400 SH             X         2       174400
RADIOSHACK CORP            COM          750438103        802     46408 SH             X         3        46408
RADIOSHACK CORP            COM          750438103          4       215 SH                 X     3                    215
RALCORP HLDGS INC NEW      COM          751028101        467      6930 SH             X         2         6930
RALCORP HLDGS INC NEW      COM          751028101       3654     54200 SH             X         2        54200
RALCORP HLDGS INC NEW      COM          751028101       4355     64600 SH             X         2        64600
RALCORP HLDGS INC NEW      COM          751028101       1007     14955 SH             X         3        14572                 383
RANGE RES CORP             COM          75281A109       1020     23792 SH             X         3        23792
RANGE RES CORP             COM          75281A109          3        66 SH                 X     3                     66
RAYONIER INC               COM          754907103         65      1364 SH             X         3          799                 565
RAYONIER INC               COM          754907103        474     10000 SH                 X     3                  10000
RAYTHEON CO                COM NEW      755111507        318      5950 SH             X        1,3        5950
RAYTHEON CO                COM NEW      755111507         21       400 SH                 X    1,3         400
RAYTHEON CO                COM NEW      755111507        185      3460 SH             X         2         3460
RAYTHEON CO                COM NEW      755111507       2274     42500 SH             X         2        42500
RAYTHEON CO                COM NEW      755111507      10709    200133 SH             X         3       194652      3955      1526
RAYTHEON CO                COM NEW      755111507        721     13469 SH                 X     3          909     12560
REALTY INCOME CORP         COM          756109104        267     10411 SH             X         3         9461                 950
REGAL BELOIT CORP          COM          758750103      27119    637798 SH             X         3       637453                 345
REGAL BELOIT CORP          COM          758750103        323      7593 SH                 X     3                   7593
REGIONS FINANCIAL CORP     COM          7591EP100        455     47403 SH             X         3        47401                   2
REGIONS FINANCIAL CORP     COM          7591EP100          6       629 SH                 X     3                    629
REINSURANCE GROUP AMER     CL A         759351406         44       821 SH             X         2          821
REINSURANCE GROUP AMER     CL A         759351406       2943     54500 SH             X         2        54500
REINSURANCE GROUP AMER     CL A         759351406        756     13995 SH             X         3        11875                2120
REINSURANCE GROUP AMER     CL A         759351406        208      3850 SH                 X     3                   3850
RELIANCE STEEL&ALUM CO     COM          759509102        674     17750 SH             X         2        17750
RELIANCE STEEL&ALUM CO     COM          759509102        111      2912 SH             X         3         2395                 517
REPUBLIC SVCS INC          COM          760759100         13       450 SH             X        1,3         450
REPUBLIC SVCS INC          COM          760759100         55      1846 SH             X         2         1846
REPUBLIC SVCS INC          COM          760759100       3774    125900 SH             X         2       125900
REPUBLIC SVCS INC          COM          760759100        987     32898 SH             X         3        26932                5966
RESEARCH IN MOTION LTD     COM          760975102         48       700 SH             X        1,3         700
RESEARCH IN MOTION LTD     COM          760975102          5        75 SH                 X    1,3          75
RESEARCH IN MOTION LTD     COM          760975102       1890     27672 SH             X         3        22465       300      4907
RESEARCH IN MOTION LTD     COM          760975102        555      8124 SH                 X     3          560      2782      4782
REYNOLDS AMERICAN INC      COM          761713106       3619     74442 SH             X         3        73178       287       977
REYNOLDS AMERICAN INC      COM          761713106         76      1569 SH                 X     3          750       819
RISKMETRICS GROUP INC      COM          767735103        258     13160 SH             X         2        13160
RISKMETRICS GROUP INC      COM          767735103       2409    123100 SH             X         2       123100
RISKMETRICS GROUP INC      COM          767735103        492     25145 SH             X         3        25145
ROBERT HALF INTL INC       COM          770323103       1131     45691 SH             X         3        17466               28225
ROBERT HALF INTL INC       COM          770323103        274     11060 SH                 X     3                   6160      4900
ROCK-TENN CO               CL A         772739207        279      6967 SH             X         3         6525                 442
ROCKWELL AUTOMATION INC    COM          773903109        777     20821 SH             X         3        20595        38       188
ROCKWELL AUTOMATION INC    COM          773903109        200      5348 SH                 X     3          300      2148      2900
ROCKWELL COLLINS INC       COM          774341101       1755     36500 SH             X         2        36500
ROCKWELL COLLINS INC       COM          774341101        620     12878 SH             X         3        12643        47       188
ROCKWELL COLLINS INC       COM          774341101        167      3474 SH                 X     3          300      3174
ROGERS CORP                COM          775133101        235      6345 SH             X         3         6110                 235
ROHM & HAAS CO             COM          775371107        165      2355 SH             X         2         2355
ROHM & HAAS CO             COM          775371107       2099     29986 SH             X         3        29863                 123
ROHM & HAAS CO             COM          775371107        118      1679 SH                 X     3         1012       667
ROPER INDS INC NEW         COM          776696106       1732     30400 SH             X         2        30400
ROPER INDS INC NEW         COM          776696106         81      1426 SH             X         3          717                 709
ROSS STORES INC            COM          778296103       2621     71200 SH             X         2        71200
ROSS STORES INC            COM          778296103        268      7289 SH             X         3         4651                2638
ROSS STORES INC            COM          778296103         23       615 SH                 X     3                    615
ROWAN COS INC              COM          779382100        426     13948 SH             X         3        13948
ROWAN COS INC              COM          779382100         10       341 SH                 X     3                    341
ROYAL BK CDA MONTREAL      COM          780087102        187      3886 SH             X         3         3189                 697
ROYAL BK CDA MONTREAL      COM          780087102         98      2033 SH                 X     3                    132      1901
ROYAL DUTCH SHELL PLC      SPON ADR B   780259107          2        43 SH             X        1,3          43
ROYAL DUTCH SHELL PLC      SPON ADR B   780259107         66      1151 SH             X         3         1151
ROYAL DUTCH SHELL PLC      SPON ADR B   780259107        458      8024 SH                 X     3                   8024
ROYAL DUTCH SHELL PLC      SPON ADR     780259206        145      2450 SH             X        1,3        2450
ROYAL DUTCH SHELL PLC      SPON ADR     780259206       5360     90829 SH             X         3        87679      1200      1950
ROYAL DUTCH SHELL PLC      SPON ADR     780259206       1345     22789 SH                 X     3        10930     11109       750
RYDER SYS INC              COM          783549108        638     10286 SH             X         3        10155                 131





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
RYDER SYS INC              COM          783549108         17       272 SH                 X     3                    272
RYDEX ETF TRUST            S&P 500 EQ   78355W106       2911     76757 SH             X         3        76757
RYDEX ETF TRUST            S&P 500 EQ   78355W106         77      2029 SH                 X     3          829      1200
SBA COMMUNICATIONS CORP    COM          78388J106        243      9410 SH             X         2         9410
SBA COMMUNICATIONS CORP    COM          78388J106       2256     87200 SH             X         2        87200
SBA COMMUNICATIONS CORP    COM          78388J106        546     21097 SH             X         3        20678                 419
SBA COMMUNICATIONS CORP    COM          78388J106         15       583 SH                 X     3                    583
SJW CORP                   COM          784305104        396     13200 SH                 X     3                  13200
SK TELECOM LTD             SPON ADR     78440P108        154      8209 SH             X         3         5169                3040
SK TELECOM LTD             SPON ADR     78440P108        197     10455 SH                 X     3                   9755       700
SPDR TR                    UNIT SER 1   78462F103         46       400 SH             X        1,3         400
SPDR TR                    UNIT SER 1   78462F103      24102    207798 SH             X         3       202777      2721      2300
SPDR TR                    UNIT SER 1   78462F103       2845     24526 SH                 X     3          120     24364        42
SPX CORP                   COM          784635104       1817     23600 SH             X         2        23600
SPX CORP                   COM          784635104        113      1471 SH             X         3         1347                 124
SPX CORP                   COM          784635104         15       190 SH                 X     3                              190
SPDR GOLD TRUST            GOLD SHS     78463V107       1280     15048 SH             X         3        14608                 440
SPDR SERIES TRUST          KBWREGBK     78464A698        263      7400 SH             X         3         7400
SPDR SERIES TRUST          KBWREGBK     78464A698         30       850 SH                 X     3                    850
SPDR SERIES TRUST          DJWSTMKT     78464A805        404      4530 SH             X         3         4530
STEC INC                   COM          784774101        209     27170 SH             X         2        27170
STEC INC                   COM          784774101       1924    249900 SH             X         2       249900
STEC INC                   COM          784774101        399     51779 SH             X         3        51779
SADIA S A                  SP ADR PFD   786326108        141     15100 SH                 X     3                  15100
SAFEWAY INC                COM NEW      786514208        382     16100 SH             X        1,3       16100
SAFEWAY INC                COM NEW      786514208         36      1500 SH                 X    1,3        1500
SAFEWAY INC                COM NEW      786514208         60      2528 SH             X         2         2528
SAFEWAY INC                COM NEW      786514208       4322    182200 SH             X         2       182200
SAFEWAY INC                COM NEW      786514208       1334     56252 SH             X         3        49222                7030
SAFEWAY INC                COM NEW      786514208         92      3889 SH                 X     3                    500      3389
ST JUDE MED INC            COM          790849103       1390     31957 SH             X         3        21725        88     10144
ST JUDE MED INC            COM          790849103        530     12176 SH                 X     3         1235      4590      6351
ST MARY LD & EXPL CO       COM          792228108       4081    114461 SH             X         3       112192                2269
ST MARY LD & EXPL CO       COM          792228108         45      1270 SH                 X     3                    800       470
SAKS INC                   COM          79377W108        147     15903 SH             X         3        15108                 795
SALESFORCE COM INC         COM          79466L302       1539     31800 SH             X         2        31800
SALESFORCE COM INC         COM          79466L302          9       182 SH             X         3          182
SALLY BEAUTY HLDGS INC     COM          79546E104       1985    230800 SH             X         2       230800
SALLY BEAUTY HLDGS INC     COM          79546E104         33      3850 SH             X         3         3850
SANMINA SCI CORP           COM          800907107         35     24674 SH             X         3        24674
SANOFI AVENTIS             SPON ADR     80105N105        208      6317 SH             X         3         6317
SANOFI AVENTIS             SPON ADR     80105N105        704     21415 SH                 X     3                  21415
SAP AKTIENGESELLSCHAFT     SPON ADR     803054204        309      5775 SH             X         3         3735                2040
SAP AKTIENGESELLSCHAFT     SPON ADR     803054204        109      2045 SH                 X     3                     99      1946
SARA LEE CORP              COM          803111103         30      2400 SH             X        1,3        2400
SARA LEE CORP              COM          803111103         18      1400 SH                 X    1,3        1400
SARA LEE CORP              COM          803111103        952     75350 SH             X         3        69650      5300       400
SARA LEE CORP              COM          803111103        161     12765 SH                 X     3         1600     11165
SASOL LTD                  SPON ADR     803866300        246      5800 SH                 X     3                   5800
SATYAM COMPUTER SVCS       ADR          804098101        293     18130 SH                 X     3                  18130
SCANA CORP NEW             COM          80589M102        154      3955 SH             X         3         1438                2517
SCANA CORP NEW             COM          80589M102        130      3340 SH                 X     3                    440      2900
SCHEIN HENRY INC           COM          806407102        486      9029 SH             X         3         7988                1041
SCHEIN HENRY INC           COM          806407102         22       416 SH                 X     3                    416
SCHERING PLOUGH CORP       COM          806605101        194     10500 SH             X        1,3       10150       350
SCHERING PLOUGH CORP       COM          806605101          9       500 SH                 X    1,3         500
SCHERING PLOUGH CORP       COM          806605101       4111    222600 SH             X         2       222600
SCHERING PLOUGH CORP       COM          806605101       1006     54466 SH             X         3        52439       531      1496
SCHERING PLOUGH CORP       COM          806605101        354     19176 SH                 X     3         1950     14408      2818
SCHLUMBERGER LTD           COM          806857108       1773     22700 SH             X        1,3       22700
SCHLUMBERGER LTD           COM          806857108        135      1725 SH                 X    1,3        1450       275
SCHLUMBERGER LTD           COM          806857108       3124     40000 SH             X         2        40000
SCHLUMBERGER LTD           COM          806857108       8176    104707 SH             X         3       101035      1477      2195
SCHLUMBERGER LTD           COM          806857108       2432     31141 SH                 X     3        19118     10593      1430
SCHWAB CHARLES CORP NEW    COM          808513105        342     13153 SH             X         2        13153
SCHWAB CHARLES CORP NEW    COM          808513105       3640    140000 SH             X         2       140000
SCHWAB CHARLES CORP NEW    COM          808513105       1459     56100 SH             X         2        56100
SCHWAB CHARLES CORP NEW    COM          808513105      14914    573637 SH             X         3       555914     11245      6478
SCHWAB CHARLES CORP NEW    COM          808513105        605     23263 SH                 X     3         1340     21923
SCRIPPS NETWORKS           CL A COM     811065101        247      6797 SH             X         3         6797
SCRIPPS NETWORKS           CL A COM     811065101         62      1700 SH                 X     3                             1700
SEALED AIR CORP NEW        COM          81211K100         84      3800 SH             X         2         3800
SEALED AIR CORP NEW        COM          81211K100       5568    253200 SH             X         2       253200
SEALED AIR CORP NEW        COM          81211K100       1834     83400 SH             X         2        83400
SEALED AIR CORP NEW        COM          81211K100       1384     62953 SH             X         3        53316                9637
SEALED AIR CORP NEW        COM          81211K100         53      2405 SH                 X     3                   2405
SEARS HLDGS CORP           COM          812350106        608      6501 SH             X         3         6501
SEARS HLDGS CORP           COM          812350106        122      1304 SH                 X     3                   1304
SELECT SECTOR SPDR TR      SBIINT-FINL  81369Y605       2972    149417 SH             X         3       149017                 400
SELECT SECTOR SPDR TR      SBIINT-FINL  81369Y605          8       410 SH                 X     3                    410
SELECT SECTOR SPDR TR      SBIINT-TECH  81369Y803        287     14448 SH             X         3        14448
SELECT SECTOR SPDR TR      SBIINT-TECH  81369Y803         63      3178 SH                 X     3                   3178
SELECT SECTOR SPDR TR      SBIINT-UTIL  81369Y886        205      6167 SH             X         3         6167
SELECT SECTOR SPDR TR      SBIINT-UTIL  81369Y886         55      1661 SH                 X     3                   1661
SEMPRA ENERGY              COM          816851109         37       743 SH             X         2          743
SEMPRA ENERGY              COM          816851109       2412     47800 SH             X         2        47800
SEMPRA ENERGY              COM          816851109       1200     23765 SH             X         3        21915                1850
SEMPRA ENERGY              COM          816851109         33       659 SH                 X     3                    659
SHAW GROUP INC             COM          820280105        983     32000 SH             X         2        32000
SHAW GROUP INC             COM          820280105         55      1785 SH             X         3         1189                 596





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
SHERWIN WILLIAMS CO        COM          824348106         17       300 SH                 X    1,3                   300
SHERWIN WILLIAMS CO        COM          824348106        386      6758 SH             X         3         6758
SHERWIN WILLIAMS CO        COM          824348106          2        39 SH                 X     3                     39
SIEMENS A G                SPON ADR     826197501        185      1969 SH             X         3         1663                 306
SIEMENS A G                SPON ADR     826197501        569      6059 SH                 X     3                   5225       834
SIERRA PAC RES NEW         COM          826428104        109     11407 SH             X         3         8545                2862
SIERRA PAC RES NEW         COM          826428104          2       204 SH                 X     3                    204
SIGMA ALDRICH CORP         COM          826552101       1655     31571 SH             X         3        31356        50       165
SIGMA ALDRICH CORP         COM          826552101         51       965 SH                 X     3                    965
SIMON PPTY GROUP INC       COM          828806109         12       125 SH             X         2          125
SIMON PPTY GROUP INC       COM          828806109       3103     31988 SH             X         3        31289                 699
SIMON PPTY GROUP INC       COM          828806109         95       978 SH                 X     3          810       168
SIRIUS XM RADIO INC        COM          82967N108          7     12450 SH             X         3        12450
SIRIUS XM RADIO INC        COM          82967N108         19     32538 SH                 X     3                  32538
SKYWORKS SOLUTIONS INC     COM          83088M102        178     21330 SH             X         2        21330
SKYWORKS SOLUTIONS INC     COM          83088M102       1675    200300 SH             X         2       200300
SKYWORKS SOLUTIONS INC     COM          83088M102        458     54847 SH             X         3        53703                1144
SMITH A O                  COM          831865209        162      4127 SH             X         3         3811                 316
SMITH A O                  COM          831865209        237      6050 SH                 X     3                   6050
SMITH INTL INC             COM          832110100        453      7732 SH             X         3         7653                  79
SMITH INTL INC             COM          832110100         20       342 SH                 X     3                     54       288
SMUCKER J M CO             COM NEW      832696405          0         4 SH             X        1,3           4
SMUCKER J M CO             COM NEW      832696405         59      1163 SH             X         3          772                 391
SMUCKER J M CO             COM NEW      832696405        408      8048 SH                 X     3           40      8000         8
SNAP ON INC                COM          833034101        429      8156 SH             X        1,3        8156
SNAP ON INC                COM          833034101         32       600 SH                 X    1,3         600
SNAP ON INC                COM          833034101        367      6960 SH             X         3         6530                 430
SNAP ON INC                COM          833034101        494      9386 SH                 X     3         7800      1586
SOLERA HOLDINGS INC        COM          83421A104        377     13140 SH             X         2        13140
SOLERA HOLDINGS INC        COM          83421A104       3079    107200 SH             X         2       107200
SOLERA HOLDINGS INC        COM          83421A104       3515    122400 SH             X         2       122400
SOLERA HOLDINGS INC        COM          83421A104        784     27305 SH             X         3        27305
SOLUTIA INC                COM NEW      834376501        703     50230 SH             X         3        50230
SONOCO PRODS CO            COM          835495102        105      3540 SH             X        1,3        3540
SONOCO PRODS CO            COM          835495102         19       650 SH                 X    1,3         650
SONOCO PRODS CO            COM          835495102        213      7190 SH             X         3         6267                 923
SONOCO PRODS CO            COM          835495102          3       100 SH                 X     3                    100
SOUTH FINL GROUP INC       COM          837841105        187     25485 SH             X         3        22527                2958
SOUTHERN CO                COM          842587107         30       804 SH             X        1,3         804
SOUTHERN CO                COM          842587107         45      1200 SH                 X    1,3        1200
SOUTHERN CO                COM          842587107        228      6055 SH             X         2         6055
SOUTHERN CO                COM          842587107       8752    232219 SH             X         3       223768      4016      4435
SOUTHERN CO                COM          842587107        539     14300 SH                 X     3         3102      6428      4770
SOUTHWEST AIRLS CO         COM          844741108       1363     93904 SH             X         3        93321       583
SOUTHWEST AIRLS CO         COM          844741108         20      1377 SH                 X     3                   1377
SOUTHWESTERN ENERGY CO     COM          845467109        956     31311 SH             X         3        30419                 892
SOUTHWESTERN ENERGY CO     COM          845467109         23       747 SH                 X     3                    747
SOVEREIGN BANCORP INC      COM          845905108         85     21556 SH             X         3        21556
SOVEREIGN BANCORP INC      COM          845905108          1       142 SH                 X     3                    142
SPECTRA ENERGY CORP        COM          847560109          7       300 SH             X        1,3         300
SPECTRA ENERGY CORP        COM          847560109        252     10585 SH             X         2        10585
SPECTRA ENERGY CORP        COM          847560109       2999    126023 SH             X         3       124170                1853
SPECTRA ENERGY CORP        COM          847560109        155      6512 SH                 X     3         2902      3110       500
SPECTRUM BRANDS INC        COM          84762L105        186    133700 SH             X         3       133700
SPRINT NEXTEL CORP         COM SER 1    852061100        657    107663 SH             X         3       104049       476      3138
SPRINT NEXTEL CORP         COM SER 1    852061100        101     16494 SH                 X     3                   7059      9435
STAGE STORES INC           COM NEW      85254C305        218     15990 SH             X         3        12619                3371
STAGE STORES INC           COM NEW      85254C305         41      3020 SH                 X     3                             3020
STANCORP FINL GROUP INC    COM          852891100         76      1452 SH             X         2         1452
STANCORP FINL GROUP INC    COM          852891100       2636     50700 SH             X         2        50700
STANCORP FINL GROUP INC    COM          852891100        746     14704 SH             X         3        12374                2330
STANCORP FINL GROUP INC    COM          852891100         25       480 SH                 X     3                    480
STAPLES INC                COM          855030102        127      5625 SH             X         2         5625
STAPLES INC                COM          855030102       4888    217244 SH             X         3       184385      2250     30609
STAPLES INC                COM          855030102        527     23424 SH                 X     3         1200     16828      5396
STARBUCKS CORP             COM          855244109       1808    121600 SH             X         2       121600
STARBUCKS CORP             COM          855244109        361     24273 SH             X         3        24125        88        60
STARBUCKS CORP             COM          855244109        302     20323 SH                 X     3                  20323
STATE STR CORP             COM          857477103         30       536 SH             X         2          536
STATE STR CORP             COM          857477103       2702     47500 SH             X         2        47500
STATE STR CORP             COM          857477103       2179     38300 SH             X         2        38300
STATE STR CORP             COM          857477103       2428     42699 SH             X         3        41207                1492
STATE STR CORP             COM          857477103        493      8669 SH                 X     3          150      5514      3005
STEEL DYNAMICS INC         COM          858119100          3       160 SH             X         2          160
STEEL DYNAMICS INC         COM          858119100        711     41600 SH             X         2        41600
STEEL DYNAMICS INC         COM          858119100        128      7498 SH             X         3         5205                2293
STEEL DYNAMICS INC         COM          858119100         34      1970 SH                 X     3                   1465       505
STERICYCLE INC             COM          858912108        401      6800 SH             X        1,3        6675       125
STERICYCLE INC             COM          858912108         38       650 SH                 X    1,3         650
STERICYCLE INC             COM          858912108          4        70 SH             X         2           70
STERICYCLE INC             COM          858912108       3057     51900 SH             X         2        51900
STERICYCLE INC             COM          858912108       1555     26395 SH             X         3        24840       500      1055
STERICYCLE INC             COM          858912108        520      8832 SH                 X     3         8200       632
STERIS CORP                COM          859152100        187      4975 SH             X         3         2750                2225
STERIS CORP                COM          859152100         77      2060 SH                 X     3                             2060
STEWART ENTERPRISES INC    CL A         860370105        387     49180 SH             X         2        49180
STEWART ENTERPRISES INC    CL A         860370105       3606    458800 SH             X         2       458800
STEWART ENTERPRISES INC    CL A         860370105        739     93943 SH             X         3        93943
STONEMOR PARTNERS L P      COM UNIT     86183Q100        462     31960 SH             X         3        31960
STRYKER CORP               COM          863667101       1045     16775 SH             X        1,3       16775





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
STRYKER CORP               COM          863667101        117      1875 SH                 X    1,3        1400       475
STRYKER CORP               COM          863667101      12314    197654 SH             X         3       189420       436      7798
STRYKER CORP               COM          863667101       1023     16418 SH                 X     3         1123     10741      4554
SUN MICROSYSTEMS INC       COM NEW      866810203         98     12915 SH             X         3        12115                 800
SUN MICROSYSTEMS INC       COM NEW      866810203          2       200 SH                 X     3           50       150
SUN HEALTHCARE GROUP       COM NEW      866933401        295     20110 SH             X         2        20110
SUN HEALTHCARE GROUP       COM NEW      866933401       2637    179900 SH             X         2       179900
SUN HEALTHCARE GROUP       COM NEW      866933401        562     38315 SH             X         3        38315
SUN HEALTHCARE GROUP       COM NEW      866933401         15      1002 SH                 X     3                   1002
SUNCOR ENERGY INC          COM          867229106        489     11605 SH             X         3        11605
SUNCOR ENERGY INC          COM          867229106        683     16202 SH                 X     3         1450     13829       923
SUNOCO INC                 COM          86764P109          1        20 SH             X         2           20
SUNOCO INC                 COM          86764P109       1499     42129 SH             X         3        40195                1934
SUNOCO INC                 COM          86764P109        113      3165 SH                 X     3                   3165
SUNPOWER CORP              COM CL A     867652109         87      1220 SH             X         3          833                 387
SUNPOWER CORP              COM CL A     867652109        129      1818 SH                 X     3                   1633       185
SUNTRUST BKS INC           COM          867914103        965     21440 SH             X         3        19850      1590
SUNTRUST BKS INC           COM          867914103        274      6091 SH                 X     3                   4876      1215
SUPERIOR BANCORP           COM NEW      86806M205        586     69303 SH             X        1,3       69303
SUPERVALU INC              COM          868536103          5       250 SH             X        1,3         250
SUPERVALU INC              COM          868536103        218     10065 SH             X         3         9960                 105
SUPERVALU INC              COM          868536103         87      4013 SH                 X     3          400       948      2665
SYBASE INC                 COM          871130100       2492     81400 SH             X         2        81400
SYBASE INC                 COM          871130100        153      4970 SH             X         3         4069                 901
SYBASE INC                 COM          871130100          3        93 SH                 X     3                     93
SYKES ENTERPRISES INC      COM          871237103        298     13570 SH             X         2        13570
SYKES ENTERPRISES INC      COM          871237103       2793    127200 SH             X         2       127200
SYKES ENTERPRISES INC      COM          871237103        618     28107 SH             X         3        27408                 699
SYMANTEC CORP              COM          871503108         33      1665 SH             X         2         1665
SYMANTEC CORP              COM          871503108       2344    119700 SH             X         2       119700
SYMANTEC CORP              COM          871503108       1813     92600 SH             X         2        92600
SYMANTEC CORP              COM          871503108       3450    176200 SH             X         2       176200
SYMANTEC CORP              COM          871503108       1423     72705 SH             X         3        67222       520      4963
SYMANTEC CORP              COM          871503108         52      2666 SH                 X     3                   1181      1485
SYNOPSYS INC               COM          871607107         38      1919 SH             X         2         1919
SYNOPSYS INC               COM          871607107       2747    137700 SH             X         2       137700
SYNOPSYS INC               COM          871607107        701     35125 SH             X         3        28770                6355
SYNGENTA AG                SPON ADR     87160A100       1511     35700 SH             X         2        35700
SYNGENTA AG                SPON ADR     87160A100        132      3126 SH             X         3         2673                 453
SYNGENTA AG                SPON ADR     87160A100         98      2308 SH                 X     3                   1176      1132
SYNOVUS FINL CORP          COM          87161C105         32      3077 SH             X         2         3077
SYNOVUS FINL CORP          COM          87161C105       2388    230700 SH             X         2       230700
SYNOVUS FINL CORP          COM          87161C105        673     65009 SH             X         3        53867               11142
SYNOVUS FINL CORP          COM          87161C105        350     33783 SH                 X     3                  33783
SYNOVIS LIFE TECH          COM          87162G105        204     10820 SH             X         2        10820
SYNOVIS LIFE TECH          COM          87162G105       1888    100300 SH             X         2       100300
SYNOVIS LIFE TECH          COM          87162G105        390     20732 SH             X         3        20732
SYNIVERSE HLDGS INC        COM          87163F106        254     15320 SH             X         3        15320
SYNIVERSE HLDGS INC        COM          87163F106          7       445 SH                 X     3                    445
SYSCO CORP                 COM          871829107          5       150 SH             X         2          150
SYSCO CORP                 COM          871829107       4006    129929 SH             X         3       107157       653     22119
SYSCO CORP                 COM          871829107       1572     50990 SH                 X     3         2714     42403      5873
TJX COS INC NEW            COM          872540109       2228     73000 SH             X         2        73000
TJX COS INC NEW            COM          872540109       1140     37357 SH             X         3        34832       114      2411
TJX COS INC NEW            COM          872540109         48      1570 SH                 X     3                   1570
TNS INC                    COM          872960109        360     18590 SH             X         2        18590
TNS INC                    COM          872960109       3297    170200 SH             X         2       170200
TNS INC                    COM          872960109        688     35547 SH             X         3        35547
TXCO RES INC               COM          87311M102        357     35550 SH             X         2        35550
TXCO RES INC               COM          87311M102       3336    332300 SH             X         2       332300
TXCO RES INC               COM          87311M102        682     67862 SH             X         3        67862
TAIWAN SEMICONDUCTOR       SPON ADR     874039100        166     17730 SH             X         3        14749                2981
TAIWAN SEMICONDUCTOR       SPON ADR     874039100        106     11264 SH                 X     3                   3154      8110
TALISMAN ENERGY INC        COM          87425E103         87      6150 SH             X         3         6150
TALISMAN ENERGY INC        COM          87425E103        152     10686 SH                 X     3                  10686
TARGET CORP                COM          87612E106        452      9215 SH             X        1,3        9215
TARGET CORP                COM          87612E106         72      1475 SH                 X    1,3        1050       425
TARGET CORP                COM          87612E106       6689    136379 SH             X         3       132729       500      3150
TARGET CORP                COM          87612E106       2035     41496 SH                 X     3        26673     11823      3000
TEAM FINANCIAL INC         COM          87815X109         39     17000 SH             X         3                            17000
TECHNE CORP                COM          878377100         86      1199 SH             X         3         1119                  80
TECHNE CORP                COM          878377100        361      5000 SH                 X     3                   5000
TEKELEC                    COM          879101103        278     19900 SH             X         3        19900
TELECOM ITALIA S P A       SP ADR SVG   87927Y201        403     35529 SH                 X     3                  35529
TELECOMMUNICATION SYS      CL A         87929J103        242     35075 SH             X         2        35075
TELECOMMUNICATION SYS      CL A         87929J103       2270    328500 SH             X         2       328500
TELECOMMUNICATION SYS      CL A         87929J103        463     67002 SH             X         3        67002
TELEFLEX INC               COM          879369106         32       497 SH             X         3          230                 267
TELEFLEX INC               COM          879369106        211      3325 SH                 X     3                   3325
TELEFONICA S A             SPON ADR     879382208        285      3983 SH             X         3         3522                 461
TELEFONICA S A             SPON ADR     879382208        235      3288 SH                 X     3                   2032      1256
TELEPHONE & DATA SYS       COM          879433100         87      2420 SH             X         3         1498                 922
TELEPHONE & DATA SYS       COM          879433100        158      4430 SH                 X     3                   4430
TELLABS INC                COM          879664100          2       500 SH             X        1,3         500
TELLABS INC                COM          879664100         82     20208 SH             X         3        20208
TELLABS INC                COM          879664100         20      4985 SH                 X     3                   4985
TERADATA CORP DEL          COM          88076W103        439     22513 SH             X         3        22513
TERADATA CORP DEL          COM          88076W103        153      7841 SH                 X     3                   7841
TERADYNE INC               COM          880770102         90     11465 SH             X         3        11465
TERADYNE INC               COM          880770102          1       177 SH                 X     3                    177





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
TERRA NITROGEN CO L P      COM UNIT     881005201        286      2600 SH             X         3         2600
TESORO CORP                COM          881609101        202     12246 SH             X         3        12246
TESORO CORP                COM          881609101         14       871 SH                 X     3                    871
TEVA PHARMACEUTICAL        ADR          881624209       1992     43500 SH             X         2        43500
TEVA PHARMACEUTICAL        ADR          881624209       2333     50952 SH             X         3        49962                 990
TEVA PHARMACEUTICAL        ADR          881624209       1055     23048 SH                 X     3        15085      3668      4295
TETRA TECH INC NEW         COM          88162G103        208      8630 SH             X         2         8630
TETRA TECH INC NEW         COM          88162G103       1612     67000 SH             X         2        67000
TETRA TECH INC NEW         COM          88162G103       1944     80800 SH             X         2        80800
TETRA TECH INC NEW         COM          88162G103        481     19989 SH             X         3        19634                 355
TETRA TECH INC NEW         COM          88162G103         60      2500 SH                 X     3                   2500
TEXAS INSTRS INC           COM          882508104       1605     74670 SH             X         2        74670
TEXAS INSTRS INC           COM          882508104       1602     74489 SH             X         3        73339       602       548
TEXAS INSTRS INC           COM          882508104        572     26612 SH                 X     3          745     25867
TEXTRON INC                COM          883203101         32      1100 SH             X        1,3        1100
TEXTRON INC                COM          883203101         15       513 SH             X         2          513
TEXTRON INC                COM          883203101       1277     43600 SH             X         2        43600
TEXTRON INC                COM          883203101        522     17854 SH             X         3        14064                3790
TEXTRON INC                COM          883203101        137      4688 SH                 X     3                   3338      1350
THERMO FISHER SCI INC      COM          883556102         73      1334 SH             X         2         1334
THERMO FISHER SCI INC      COM          883556102       2904     52800 SH             X         2        52800
THERMO FISHER SCI INC      COM          883556102       5220     94900 SH             X         2        94900
THERMO FISHER SCI INC      COM          883556102       3251     59100 SH             X         2        59100
THERMO FISHER SCI INC      COM          883556102       3871     70391 SH             X         3        55432        57     14902
THERMO FISHER SCI INC      COM          883556102       1082     19666 SH                 X     3         1490      3163     15013
3M CO                      COM          88579Y101        275      4020 SH             X        1,3        4020
3M CO                      COM          88579Y101       3416     50000 SH             X         2        50000
3M CO                      COM          88579Y101      13936    204017 SH             X         3       196449      5160      2408
3M CO                      COM          88579Y101       3551     51990 SH                 X     3         5447     42677      3866
TIDEWATER INC              COM          886423102        178      3211 SH             X         3         2137                1074
TIDEWATER INC              COM          886423102         23       408 SH                 X     3                     68       340
TIME WARNER INC            COM          887317105          9       700 SH                 X    1,3         700
TIME WARNER INC            COM          887317105        147     11230 SH             X         2        11230
TIME WARNER INC            COM          887317105       1614    123150 SH             X         2       123150
TIME WARNER INC            COM          887317105       6910    527060 SH             X         3       491752      6948     28360
TIME WARNER INC            COM          887317105        900     68646 SH                 X     3         2190     48629     17827
TITAN INTL INC ILL         COM          88830M102        105      4937 SH             X         2         4937
TITAN INTL INC ILL         COM          88830M102       1178     55250 SH             X         2        55250
TITAN INTL INC ILL         COM          88830M102        238     11156 SH             X         3        11156
TITAN MACHY INC            COM          88830R101        173      8290 SH             X         2         8290
TITAN MACHY INC            COM          88830R101       1621     77900 SH             X         2        77900
TITAN MACHY INC            COM          88830R101        330     15858 SH             X         3        15858
TITANIUM METALS CORP       COM NEW      888339207         95      8408 SH             X         3         8408
TITANIUM METALS CORP       COM NEW      888339207        116     10254 SH                 X     3                    254     10000
TOLL BROTHERS INC          COM          889478103         54      2157 SH             X         2         2157
TOLL BROTHERS INC          COM          889478103       3091    122500 SH             X         2       122500
TOLL BROTHERS INC          COM          889478103        828     32837 SH             X         3        26980                5857
TOMKINS PLC                SPON ADR     890030208        178     16063 SH                 X     3                  16063
TOMOTHERAPY INC            COM          890088107       4289    936566 SH             X         3       936566
TOMOTHERAPY INC            COM          890088107          1       200 SH                 X     3                    200
TORCHMARK CORP             COM          891027104        558      9336 SH             X         3         9196        39       101
TORCHMARK CORP             COM          891027104         13       217 SH                 X     3                    217
TORONTO DOMINION BK ONT    COM NEW      891160509        170      2786 SH             X         3         2277                 509
TORONTO DOMINION BK ONT    COM NEW      891160509         91      1484 SH                 X     3                     97      1387
TOTAL S A                  SPON ADR     89151E109        160      2629 SH             X         3         2189                 440
TOTAL S A                  SPON ADR     89151E109        274      4517 SH                 X     3                   3320      1197
TOTAL SYS SVCS INC         COM          891906109         24      1476 SH             X         3         1476
TOTAL SYS SVCS INC         COM          891906109        168     10265 SH                 X     3                  10265
TOYOTA MOTOR CORP          SP ADR       892331307         31       359 SH             X         3          359
TOYOTA MOTOR CORP          SP ADR       892331307        183      2137 SH                 X     3                   2137
TRAVELERS COMPANIES INC    COM          89417E109         14       314 SH             X        1,3         314
TRAVELERS COMPANIES INC    COM          89417E109       5795    128200 SH             X         2       128200
TRAVELERS COMPANIES INC    COM          89417E109       1137     25169 SH             X         3        25040                 129
TRAVELERS COMPANIES INC    COM          89417E109        357      7902 SH                 X     3          750      5278      1874
TREEHOUSE FOODS INC        COM          89469A104        571     19230 SH             X         2        19230
TREEHOUSE FOODS INC        COM          89469A104       5251    176800 SH             X         2       176800
TREEHOUSE FOODS INC        COM          89469A104       1156     38926 SH             X         3        38118                 808
TUPPERWARE BRANDS CORP     COM          899896104        408     14750 SH             X         2        14750
TUPPERWARE BRANDS CORP     COM          899896104       3462    125300 SH             X         2       125300
TUPPERWARE BRANDS CORP     COM          899896104       3774    136600 SH             X         2       136600
TUPPERWARE BRANDS CORP     COM          899896104       1133     40988 SH             X         3        39067                1921
TUPPERWARE BRANDS CORP     COM          899896104        385     13937 SH                 X     3                  12517      1420
TWIN DISC INC              COM          901476101        173     12592 SH                 X     3         3360      9232
TYSON FOODS INC            CL A         902494103         35      2930 SH             X         2         2930
TYSON FOODS INC            CL A         902494103       2390    200200 SH             X         2       200200
TYSON FOODS INC            CL A         902494103        698     58460 SH             X         3        50750                7710
TYSON FOODS INC            CL A         902494103         39      3261 SH                 X     3                    429      2832
UGI CORP NEW               COM          902681105        292     11344 SH             X         3        10368                 976
UST INC                    COM          902911106       2635     39600 SH             X         2        39600
UST INC                    COM          902911106       6182     92911 SH             X         3        91570       461       880
UST INC                    COM          902911106         70      1045 SH                 X     3                   1045
US BANCORP DEL             COM NEW      902973304         57      1575 SH             X        1,3        1575
US BANCORP DEL             COM NEW      902973304        610     16935 SH             X         2        16935
US BANCORP DEL             COM NEW      902973304       6008    166800 SH             X         2       166800
US BANCORP DEL             COM NEW      902973304      26849    745389 SH             X         3       723470      6437     15482
US BANCORP DEL             COM NEW      902973304       2863     79476 SH                 X     3        14933     64543
ULTA SALON COSM & FRAG     COM          90384S303        259     19500 SH             X         2        19500
ULTA SALON COSM & FRAG     COM          90384S303       2422    182400 SH             X         2       182400
ULTA SALON COSM & FRAG     COM          90384S303        495     37277 SH             X         3        37277
ULTRA PETROLEUM CORP       COM          903914109       1384     25000 SH             X         2        25000





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
ULTRA PETROLEUM CORP       COM          903914109       2557     46200 SH             X         2        46200
ULTRA PETROLEUM CORP       COM          903914109         97      1767 SH             X         3         1767
UNILEVER PLC               SP ADR NEW   904767704        283     10410 SH             X         3         4480                5930
UNILEVER PLC               SP ADR NEW   904767704        170      6265 SH                 X     3                   1365      4900
UNILEVER N V               NY SHS NEW   904784709        235      8353 SH             X         3         8353
UNILEVER N V               NY SHS NEW   904784709         20       705 SH                 X     3                    705
UNION PAC CORP             COM          907818108         14       200 SH             X        1,3         200
UNION PAC CORP             COM          907818108       4087     57440 SH             X         3        51882      3758      1800
UNION PAC CORP             COM          907818108       1233     17322 SH                 X     3         1500     14512      1310
UNITED PARCEL SERVICE      CL B         911312106         13       200 SH             X        1,3         200
UNITED PARCEL SERVICE      CL B         911312106        153      2440 SH             X         2         2440
UNITED PARCEL SERVICE      CL B         911312106      11856    188514 SH             X         3       180048      1680      6786
UNITED PARCEL SERVICE      CL B         911312106        823     13089 SH                 X     3          430     11809       850
UNITED STATES STL CORP     COM          912909108        210      2705 SH             X         3         2505                 200
UNITED STATES STL CORP     COM          912909108        186      2392 SH                 X     3                   2042       350
UNITED TECHNOLOGIES        COM          913017109       1704     28365 SH             X        1,3       28365
UNITED TECHNOLOGIES        COM          913017109        162      2700 SH                 X    1,3        2100       600
UNITED TECHNOLOGIES        COM          913017109         38       630 SH             X         2          630
UNITED TECHNOLOGIES        COM          913017109       2703     45000 SH             X         2        45000
UNITED TECHNOLOGIES        COM          913017109       2228     37100 SH             X         2        37100
UNITED TECHNOLOGIES        COM          913017109       7967    132659 SH             X         3       121499      2954      8206
UNITED TECHNOLOGIES        COM          913017109       3720     61935 SH                 X     3        17738     31422     12775
UNITEDHEALTH GROUP INC     COM          91324P102       1085     42724 SH             X         3        42221       116       387
UNITEDHEALTH GROUP INC     COM          91324P102        187      7355 SH                 X     3         2272      2269      2814
UNIVERSAL HLTH SVCS INC    CL B         913903100        287      5120 SH             X         3         4587                 533
UNUM GROUP                 COM          91529Y106         24       942 SH             X        1,3         942
UNUM GROUP                 COM          91529Y106        223      8886 SH             X         3         8886
UNUM GROUP                 COM          91529Y106          1        53 SH                 X     3                     53
V F CORP                   COM          918204108       1886     24400 SH             X         2        24400
V F CORP                   COM          918204108        468      6045 SH             X         3         6045
V F CORP                   COM          918204108        253      3267 SH                 X     3          514      2661        92
VALEANT PHARMACEUTICALS    COM          91911X104        318     15524 SH             X         3        13765                1759
VALERO ENERGY CORP NEW     COM          91913Y100        111      3650 SH             X        1,3        3650
VALERO ENERGY CORP NEW     COM          91913Y100         20       650 SH                 X    1,3         650
VALERO ENERGY CORP NEW     COM          91913Y100       1457     48100 SH             X         2        48100
VALERO ENERGY CORP NEW     COM          91913Y100        527     17368 SH             X         3        17240        90        38
VALERO ENERGY CORP NEW     COM          91913Y100         20       674 SH                 X     3                    674
VANGUARD BD INDEX FD       INTMTERM     921937819       7979    108893 SH             X         3       108893
VANGUARD BD INDEX FD       INTMTERM     921937819         75      1030 SH                 X     3                   1030
VANGUARD BD INDEX FD       SH TRM BD    921937827      10403    134840 SH             X         3       134840
VANGUARD BD INDEX FD       SH TRM BD    921937827         69       900 SH                 X     3                    900
VANGUARD TAX-MANAGED FD    EUROPACETF   921943858        257      7321 SH             X         3         7321
VANGUARD WHITEHALL FDS     HIGHDIVYLD   921946406        575     13693 SH             X         3        13693
VANGUARD WHITEHALL FDS     HIGHDIVYLD   921946406         66      1578 SH                 X     3                   1578
VANGUARD INTL EQUITY       WRLDEXUS     922042775        692     16307 SH             X         3        16307
VANGUARD INTL EQUITY       EMR MKT ETF  922042858       2519     72677 SH             X         3        72677
VANGUARD INTL EQUITY       EMR MKT ETF  922042858        121      3502 SH                 X     3         2222      1280
VANGUARD INTL EQUITY       EURO ETF     922042874       3318     62165 SH             X         3        60465      1700
VANGUARD INTL EQUITY       EURO ETF     922042874        433      8117 SH                 X     3         7792       325
VANGUARD WORLD FDS         FINCLS ETF   92204A405        318      8090 SH             X         3         8090
VARIAN MED SYS INC         COM          92220P105        439      7683 SH             X         3         6947                 736
VARIAN MED SYS INC         COM          92220P105         86      1508 SH                 X     3                   1508
VECTREN CORP               COM          92240G101          6       200 SH                 X    1,3         200
VECTREN CORP               COM          92240G101        273      9797 SH             X         3         8981                 816
VECTREN CORP               COM          92240G101        140      5035 SH                 X     3         4584       451
VANGUARD INDEX FDS         SC VAL ETF   922908611       5300     89245 SH             X         3        88835                 410
VANGUARD INDEX FDS         MID CAP ETF  922908629       1365     23000 SH             X         3        23000
VANGUARD INDEX FDS         MIDCAP ETF   922908629        186      3133 SH                 X     3         2485       648
VANGUARD INDEX FDS         GR ETF       922908736       4133     79160 SH             X         3        79160
VANGUARD INDEX FDS         GR ETF       922908736        293      5610 SH                 X     3                   5610
VANGUARD INDEX FDS         VALUE ETF    922908744        478      9122 SH             X         3         9122
VANGUARD INDEX FDS         STKMRKETF    922908769       2499     42812 SH             X         3        42812
VANGUARD INDEX FDS         STKMRKETF    922908769        470      8052 SH                 X     3         7700       352
VERISIGN INC               COM          92343E102        205      7842 SH             X         3         7842
VERISIGN INC               COM          92343E102          7       277 SH                 X     3                    277
VERIZON COMMUNICATIONS     COM          92343V104        741     23093 SH             X        1,3       23093
VERIZON COMMUNICATIONS     COM          92343V104         84      2610 SH                 X    1,3        2310       300
VERIZON COMMUNICATIONS     COM          92343V104        313      9755 SH             X         2         9755
VERIZON COMMUNICATIONS     COM          92343V104       7108    221500 SH             X         2       221500
VERIZON COMMUNICATIONS     COM          92343V104      20872    650430 SH             X         3       638146      7096      5188
VERIZON COMMUNICATIONS     COM          92343V104       2806     87434 SH                 X     3        31167     47241      9026
VERTEX PHARMACEUTICALS     COM          92532F100        564     16981 SH             X         3        16981
VIACOM INC NEW             CL B         92553P201        387     15585 SH             X         3        15263       200       122
VIACOM INC NEW             CL B         92553P201         94      3798 SH                 X     3          540      3098       160
VIROPHARMA INC             COM          928241108        687     52397 SH             X         3        51309                1088
VISA INC                   COM CL A     92826C839       1375     22400 SH             X         2        22400
VISA INC                   COM CL A     92826C839         52       840 SH             X         3          840
VISA INC                   COM CL A     92826C839         61      1000 SH                 X     3                   1000
VISHAY INTERTECHNOLOGY     COM          928298108         80     12105 SH             X         3        10828                1277
VNUS MED TECHNOLOGIES      COM          928566108        252     12044 SH             X         2        12044
VNUS MED TECHNOLOGIES      COM          928566108       2332    111400 SH             X         2       111400
VNUS MED TECHNOLOGIES      COM          928566108        482     23037 SH             X         3        23037
VODAFONE GROUP PLC NEW     SPON ADR     92857W209         23      1043 SH             X        1,3        1043
VODAFONE GROUP PLC NEW     SPON ADR     92857W209        682     30843 SH             X         3        29615       373       855
VODAFONE GROUP PLC NEW     SPON ADR     92857W209        624     28235 SH                 X     3                  25910      2325
VORNADO RLTY TR            SH BEN INT   929042109         10       115 SH             X         2          115
VORNADO RLTY TR            SH BEN INT   929042109        455      5004 SH             X         3         5004
VORNADO RLTY TR            SH BEN INT   929042109        462      5075 SH                 X     3                   5075
VULCAN MATLS CO            COM          929160109        328      4401 SH             X         3         4401
VULCAN MATLS CO            COM          929160109         21       283 SH                 X     3                    283





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
WUXI PHARMATECH CAYMAN     SPON ADR     929352102        188     14310 SH             X         2        14310
WUXI PHARMATECH CAYMAN     SPON ADR     929352102       1733    131800 SH             X         2       131800
WUXI PHARMATECH CAYMAN     SPON ADR     929352102        363     27614 SH             X         3        27614
WUXI PHARMATECH CAYMAN     SPON ADR     929352102          3       230 SH                 X     3                    230
WACHOVIA CORP NEW          COM          929903102          2       550 SH             X        1,3         550
WACHOVIA CORP NEW          COM          929903102          2       600 SH                 X    1,3         600
WACHOVIA CORP NEW          COM          929903102        303     86490 SH             X         3        85164       223      1103
WACHOVIA CORP NEW          COM          929903102         33      9499 SH                 X     3                   6844      2655
WACOAL HOLDINGS CORP       ADR          930004205        264      4724 SH                 X     3                   4724
WAL MART STORES INC        COM          931142103       1334     22270 SH             X        1,3       22070       200
WAL MART STORES INC        COM          931142103         51       850 SH                 X    1,3         850
WAL MART STORES INC        COM          931142103        468      7810 SH             X         2         7810
WAL MART STORES INC        COM          931142103       6528    109000 SH             X         2       109000
WAL MART STORES INC        COM          931142103      28526    476312 SH             X         3       444670     18594     13048
WAL MART STORES INC        COM          931142103       4608     76940 SH                 X     3         4851     64118      7971
WALGREEN CO                COM          931422109        517     16690 SH             X        1,3       16565       125
WALGREEN CO                COM          931422109        226      7300 SH                 X    1,3        6700       600
WALGREEN CO                COM          931422109          7       230 SH             X         2          230
WALGREEN CO                COM          931422109       2839     91700 SH             X         2        91700
WALGREEN CO                COM          931422109      10375    335119 SH             X         3       311346     19196      4577
WALGREEN CO                COM          931422109       3511    113396 SH                 X     3        31210     81097      1089
WASTE CONNECTIONS INC      COM          941053100        168      4909 SH             X         3         1981                2928
WASTE CONNECTIONS INC      COM          941053100         51      1500 SH                 X     3                   1500
WASTE MGMT INC DEL         COM          94106L109        147      4660 SH             X         2         4660
WASTE MGMT INC DEL         COM          94106L109       2566     81500 SH             X         2        81500
WASTE MGMT INC DEL         COM          94106L109       3186    101149 SH             X         3        97715       697      2737
WASTE MGMT INC DEL         COM          94106L109        459     14574 SH                 X     3         1700      6752      6122
WATERS CORP                COM          941848103       1210     20799 SH             X         3        17679                3120
WATERS CORP                COM          941848103        654     11238 SH                 X     3         6862       983      3393
WATERSTONE FINANCIAL       COM          941888109       7161    732909 SH             X         3         1500              731409
WATSON WYATT WORLDWIDE     CL A         942712100        302      6070 SH             X         2         6070
WATSON WYATT WORLDWIDE     CL A         942712100       2332     46900 SH             X         2        46900
WATSON WYATT WORLDWIDE     CL A         942712100       2805     56400 SH             X         2        56400
WATSON WYATT WORLDWIDE     CL A         942712100        686     13799 SH             X         3        13411                 388
WATSON WYATT WORLDWIDE     CL A         942712100         15       304 SH                 X     3          131       173
WAUSAU PAPER CORP          COM          943315101       1030    101725 SH             X         3       100977                 748
WAUSAU PAPER CORP          COM          943315101       1333    131580 SH                 X     3        28047    103433       100
WEINGARTEN RLTY INVS       SH BEN INT   948741103         78      2190 SH             X         3         1533                 657
WEINGARTEN RLTY INVS       SH BEN INT   948741103        535     15000 SH                 X     3                  15000
WELLPOINT INC              COM          94973V107        685     14656 SH             X         3        14456        32       168
WELLPOINT INC              COM          94973V107        285      6100 SH                 X     3                   4145      1955
WELLS FARGO & CO NEW       COM          949746101        381     10165 SH             X        1,3       10165
WELLS FARGO & CO NEW       COM          949746101         28       750 SH                 X    1,3         450       300
WELLS FARGO & CO NEW       COM          949746101        442     11780 SH             X         2        11780
WELLS FARGO & CO NEW       COM          949746101       6465    172260 SH             X         2       172260
WELLS FARGO & CO NEW       COM          949746101      26514    706473 SH             X         3       686822      5084     14567
WELLS FARGO & CO NEW       COM          949746101       4049    107889 SH                 X     3        32607     73282      2000
WELLS FARGO & CO NEW       COM          949746101       5798    154500 SH   PUT        X         2
WESTERN DIGITAL CORP       COM          958102105       1869     87650 SH             X         2        87650
WESTERN DIGITAL CORP       COM          958102105        308     14475 SH             X         3        11465                3010
WESTERN DIGITAL CORP       COM          958102105         28      1312 SH                 X     3                    772       540
WESTERN UN CO              COM          959802109        716     29033 SH             X         3        28414       318       301
WESTERN UN CO              COM          959802109         26      1040 SH                 X     3          100       940
WEYCO GROUP INC            COM          962149100        346     10332 SH                 X     3                  10332
WEYERHAEUSER CO            COM          962166104        138      2285 SH             X         2         2285
WEYERHAEUSER CO            COM          962166104      11044    182307 SH             X         3       171240      9461      1606
WEYERHAEUSER CO            COM          962166104        748     12342 SH                 X     3         2350      9992
WHIRLPOOL CORP             COM          963320106         60       759 SH             X         2          759
WHIRLPOOL CORP             COM          963320106       4321     54500 SH             X         2        54500
WHIRLPOOL CORP             COM          963320106       1495     18847 SH             X         3        12797                6050
WHIRLPOOL CORP             COM          963320106          9       114 SH                 X     3                    114
WILLIAMS COS INC DEL       COM          969457100       1656     70000 SH             X         2        70000
WILLIAMS COS INC DEL       COM          969457100       1261     53337 SH             X         3        52869       129       339
WILLIAMS COS INC DEL       COM          969457100        293     12379 SH                 X     3                  12379
WINDSTREAM CORP            COM          97381W104          1       101 SH             X        1,3         101
WINDSTREAM CORP            COM          97381W104        339     30960 SH             X         2        30960
WINDSTREAM CORP            COM          97381W104       4228    386460 SH             X         3       384314       366      1780
WINDSTREAM CORP            COM          97381W104         96      8797 SH                 X     3                   8797
WISCONSIN ENERGY CORP      COM          976657106       4761    106040 SH             X         3       101097      3882      1061
WISCONSIN ENERGY CORP      COM          976657106       1588     35359 SH                 X     3         3148     30869      1342
WOODWARD GOVERNOR CO       COM          980745103       1044     29603 SH             X         3        28510                1093
WOODWARD GOVERNOR CO       COM          980745103         24       688 SH                 X     3          127       561
WRIGHT MED GROUP INC       COM          98235T107        429     14080 SH             X         2        14080
WRIGHT MED GROUP INC       COM          98235T107       3979    130700 SH             X         2       130700
WRIGHT MED GROUP INC       COM          98235T107        847     27831 SH             X         3        27831
WRIGHT MED GROUP INC       COM          98235T107         10       320 SH                 X     3                    320
WRIGLEY WM JR CO           COM          982526105         40       500 SH             X        1,3         500
WRIGLEY WM JR CO           COM          982526105       1502     18921 SH             X         3        18784        37       100
WRIGLEY WM JR CO           COM          982526105       1904     23984 SH                 X     3          940     11614     11430
WYETH                      COM          983024100        441     11950 SH             X        1,3       11950
WYETH                      COM          983024100         70      1900 SH                 X    1,3        1450       450
WYETH                      COM          983024100       5307    143656 SH             X         3       140520      2449       687
WYETH                      COM          983024100       2104     56962 SH                 X     3         9455     43067      4440
WYNDHAM WORLDWIDE CORP     COM          98310W108        158     10057 SH             X         3        10057
WYNDHAM WORLDWIDE CORP     COM          98310W108          6       386 SH                 X     3                    386
XTO ENERGY INC             COM          98385X106          9       200 SH             X        1,3         200
XTO ENERGY INC             COM          98385X106       2768     59500 SH             X         2        59500
XTO ENERGY INC             COM          98385X106        761     16370 SH             X         3        16370
XTO ENERGY INC             COM          98385X106        274      5883 SH                 X     3                   4851      1032
XCEL ENERGY INC            COM          98389B100        435     21738 SH             X         3        21738





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

- - - - 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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                              
XCEL ENERGY INC            COM          98389B100         77      3852 SH                 X     3                   3852
XILINX INC                 COM          983919101       1167     49750 SH             X         2        49750
XILINX INC                 COM          983919101        376     16033 SH             X         3        15495       332       206
XILINX INC                 COM          983919101         27      1152 SH                 X     3                    452       700
XEROX CORP                 COM          984121103         42      3617 SH             X         2         3617
XEROX CORP                 COM          984121103       2940    255000 SH             X         2       255000
XEROX CORP                 COM          984121103        932     80814 SH             X         3        71234                9580
XEROX CORP                 COM          984121103         88      7612 SH                 X     3                   1074      6538
YAHOO INC                  COM          984332106          2       100 SH             X        1,3         100
YAHOO INC                  COM          984332106       2015    116500 SH             X         2       116500
YAHOO INC                  COM          984332106        365     21062 SH             X         3        20362       123       577
YAHOO INC                  COM          984332106        155      8970 SH                 X     3                   8970
YAMANA GOLD INC            COM          98462Y100        381     45726 SH             X         3        19320               26406
YAMANA GOLD INC            COM          98462Y100        167     20087 SH                 X     3         2690      2683     14714
YUM BRANDS INC             COM          988498101         12       360 SH             X        1,3         360
YUM BRANDS INC             COM          988498101         40      1239 SH             X         2         1239
YUM BRANDS INC             COM          988498101       2743     84100 SH             X         2        84100
YUM BRANDS INC             COM          988498101       2782     85300 SH             X         2        85300
YUM BRANDS INC             COM          988498101       1698     52090 SH             X         3        48101       108      3881
YUM BRANDS INC             COM          988498101        253      7745 SH                 X     3          600      6370       775
ZEP INC                    COM          98944B108        312     17710 SH             X         3        17242                 468
ZIMMER HLDGS INC           COM          98956P102        796     12335 SH             X         3        12222        55        58
ZIMMER HLDGS INC           COM          98956P102        387      5995 SH                 X     3          770      4940       285
ZOLTEK COS INC             COM          98975W104        455     26620 SH             X         3        26620
ZOLTEK COS INC             COM          98975W104       2150    125638 SH                 X     3                 125638
AIRCASTLE LTD              COM          G0129K104        159     16000 SH             X         3        16000
AMDOCS LTD                 ORD          G02602103        169      6180 SH             X         3         1920                4260
AMDOCS LTD                 ORD          G02602103         32      1180 SH                 X     3                             1180
ARCH CAP GROUP LTD         ORD          G0450A105         15       200 SH             X        1,3         200
ARCH CAP GROUP LTD         ORD          G0450A105        186      2545 SH             X         3         2545
ARGO GROUP INTL HLDGS      COM          G0464B107        221      6000 SH             X         3         6000
ACCENTURE LTD BERMUDA      CL A         G1150G111       2118     55742 SH             X         3        37368               18374
ACCENTURE LTD BERMUDA      CL A         G1150G111        737     19398 SH                 X     3          779      7421     11198
BUNGE LIMITED              COM          G16962105       1264     20000 SH             X         2        20000
BUNGE LIMITED              COM          G16962105         26       422 SH             X         3          422
BUNGE LIMITED              COM          G16962105        152      2412 SH                 X     3                   2412
CENTRAL EUROPEAN MEDIA     CL A NEW     G20045202       2917     44600 SH             X         2        44600
CENTRAL EUROPEAN MEDIA     CL A NEW     G20045202         49       748 SH             X         3          748
COOPER INDS LTD            CL A         G24182100        530     13262 SH             X         3        13033                 229
COOPER INDS LTD            CL A         G24182100         21       517 SH                 X     3                    517
COVIDIEN LTD               COM          G2552X108       1449     26948 SH             X         3        21159                5789
COVIDIEN LTD               COM          G2552X108        338      6282 SH                 X     3                   2992      3290
INGERSOLL-RAND COMPANY     CL A         G4776G101         40      1290 SH             X        1,3        1290
INGERSOLL-RAND COMPANY     CL A         G4776G101          3       100 SH                 X    1,3                   100
INGERSOLL-RAND COMPANY     CL A         G4776G101        641     20580 SH             X         3        19786        73       721
INGERSOLL-RAND COMPANY     CL A         G4776G101        146      4669 SH                 X     3         1469      2831       369
INVESCO LTD                SHS          G491BT108         53      2503 SH             X         2         2503
INVESCO LTD                SHS          G491BT108       4120    196400 SH             X         2       196400
INVESCO LTD                SHS          G491BT108       1067     50842 SH             X         3        43232                7610
INVESCO LTD                SHS          G491BT108        185      8797 SH                 X     3                   8797
MAX CAPITAL GROUP LTD      SHS          G6052F103        294     12675 SH             X         3        11095                1580
MAX CAPITAL GROUP LTD      SHS          G6052F103         58      2496 SH                 X     3                    416      2080
NABORS INDUSTRIES LTD      SHS          G6359F103       1495     59987 SH             X         3        59907        80
NABORS INDUSTRIES LTD      SHS          G6359F103         82      3282 SH                 X     3          400      1489      1393
NOBLE CORPORATION          SHS          G65422100       1537     35000 SH             X         2        35000
NOBLE CORPORATION          SHS          G65422100        585     13348 SH             X         3        13076                 272
NOBLE CORPORATION          SHS          G65422100         72      1630 SH                 X     3          602       511       517
ORIENT-EXPRESS HOTELS      CL A         G67743107        210      8700 SH             X         3         8700
PARTNERRE LTD              COM          G6852T105         72      1055 SH             X         2         1055
PARTNERRE LTD              COM          G6852T105       4902     72000 SH             X         2        72000
PARTNERRE LTD              COM          G6852T105       1241     18432 SH             X         3        15642                2790
PLATINUM UNDERWRITER       COM          G7127P100        292      8232 SH             X         3         7017                1215
PLATINUM UNDERWRITER       COM          G7127P100         69      1945 SH                 X     3                    375      1570
UTI WORLDWIDE INC          ORD          G87210103        446     26200 SH             X         3        26200
TRANSOCEAN INC NEW         SHS          G90073100         28       257 SH             X        1,3         257
TRANSOCEAN INC NEW         SHS          G90073100        112      1018 SH             X         2         1018
TRANSOCEAN INC NEW         SHS          G90073100       3295     30000 SH             X         2        30000
TRANSOCEAN INC NEW         SHS          G90073100      10338     94115 SH             X         3        85891      2517      5707
TRANSOCEAN INC NEW         SHS          G90073100       2350     21397 SH                 X     3         4551     11525      5321
TYCO INTL LTD BERMUDA      SHS          G9143X208       1192     34041 SH             X         3        26172                7869
TYCO INTL LTD BERMUDA      SHS          G9143X208        238      6797 SH                 X     3                   3607      3190
TYCO ELECTRONICS LTD       COM NEW      G9144P105       1200     43396 SH             X         3        33121               10275
TYCO ELECTRONICS LTD       COM NEW      G9144P105        189      6833 SH                 X     3                   5133      1700
WEATHERFORD INTL           COM          G95089101       1257     50000 SH             X         2        50000
WEATHERFORD INTL           COM          G95089101        224      8925 SH             X         3         8925
WEATHERFORD INTL           COM          G95089101        275     10954 SH                 X     3         1280      5311      4363
XL CAP LTD                 CL A         G98255105        301     16774 SH             X         3        16774
XL CAP LTD                 CL A         G98255105         20      1138 SH                 X     3                    241       897
ACE LTD                    SHS          H0023R105         67      1239 SH             X         2         1239
ACE LTD                    SHS          H0023R105       4617     85300 SH             X         2        85300
ACE LTD                    SHS          H0023R105       1256     23195 SH             X         3        19885                3310
ACE LTD                    SHS          H0023R105        320      5910 SH                 X     3                   5048       862
ALCON INC                  COM          H01301102       1561      9667 SH             X         3         9237       430
ALCON INC                  COM          H01301102        207      1281 SH                 X     3          650       631
LOGITECH INTL S A          SHS          H50430232       1027     44028 SH             X         3        30647               13381
LOGITECH INTL S A          SHS          H50430232        466     19998 SH                 X     3         2128      3171     14699
UBS AG                     SHS NEW      H89231338          3       146 SH             X         2          146
UBS AG                     SHS NEW      H89231338       2960    168745 SH             X         3       167245                1500
UBS AG                     SHS NEW      H89231338        540     30807 SH                 X     3                  30807
AERCAP HOLDINGS NV         SHS          N00985106        215     20300 SH             X         3        20300





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2008

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                                                                                    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)
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QIAGEN N V                 ORD          N72482107       2332    118200 SH             X         2       118200
QIAGEN N V                 ORD          N72482107         72      3621 SH             X         3         2711                 910
AEGEAN MARINE PETROLEUM    SHS          Y0017S102        204      9140 SH             X         2         9140
AEGEAN MARINE PETROLEUM    SHS          Y0017S102       1906     85300 SH             X         2        85300
AEGEAN MARINE PETROLEUM    SHS          Y0017S102        391     17468 SH             X         3        17468
FLEXTRONICS INTL LTD       ORD          Y2573F102         42      5884 SH             X         2         5884
FLEXTRONICS INTL LTD       ORD          Y2573F102       3027    427600 SH             X         2       427600
FLEXTRONICS INTL LTD       ORD          Y2573F102        773    109131 SH             X         3        90426               18705
FLEXTRONICS INTL LTD       ORD          Y2573F102         43      6025 SH                 X     3                    329      5696