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

                                Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   12/31/2009

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       02/05/2010
_____________________________     ________________     ____________
      [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:               2,641

Form 13F Information Table Value Total:             $ 5,746,561

                                                    (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 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
AAR CORP                   COM         000361105         1        42  SH                     X       3                 42
AAR CORP                   COM         000361105       833    36,237  SH               X             3    35,022              1,215
ABB LTD                    SPON ADR    000375204       192    10,062  SH                     X       3              4,294     5,768
ABB LTD                    SPON ADR    000375204       612    32,057  SH               X             3    16,332             15,725
AFLAC INC                  COM         001055102        16       350  SH               X           1,3       350
AFLAC INC                  COM         001055102       697    15,061  SH                     X       3     1,750   10,764     2,547
AFLAC INC                  COM         001055102     2,278    49,260  SH               X             2    49,260
AFLAC INC                  COM         001055102     3,359    72,629  SH               X             3    68,377       69     4,183
AK STL HLDG CORP           COM         001547108         6       258  SH                     X       3                258
AK STL HLDG CORP           COM         001547108       199     9,310  SH               X             3     7,745              1,565
AK STL HLDG CORP           COM         001547108     1,695    79,400  SH               X             2    79,400
AMR CORP                   COM         001765106        80    10,380  SH               X             3    10,380
AVI BIOPHARMA INC          COM         002346104       124    85,000  SH               X             3    85,000
ABBOTT LABS                COM         002824100        94     1,750  SH                     X     1,3     1,250      500
ABBOTT LABS                COM         002824100       475     8,800  SH               X           1,3     8,800
ABBOTT LABS                COM         002824100     5,470   101,308  SH                     X       3    20,180   78,978     2,150
ABBOTT LABS                COM         002824100    17,308   320,564  SH               X             3   296,523   17,886     6,155
ABBOTT LABS                COM         002824100    25,379   470,075  SH               X             2   205,775            264,300
ABERDEEN AUSTRL EQ FD I    COM         003011103       333    27,340  SH               X             3    27,340
ABERDEEN AUSTRL EQ FD I    COM         003011103     1,305   107,250  SH                     X       3            107,250
ACACIA RESH CORP           COM         003881307       386    42,409  SH               X             3    34,990              7,419
ACACIA RESH CORP           COM         003881307     1,535   168,500  SH               X             2   168,500
ADVANCED MICRO DEV INC     COM         003881307        12     1,212  SH                     X       3              1,212
ADVANCED MICRO DEV INC     COM         003881307       164    16,947  SH               X             3     8,813              8,134
AEGON N V                  NY REG SH   007924103        89    13,913  SH               X             3    13,653                260
AEGON N V                  NY REG SH   007924103       162    25,306  SH                     X       3             25,306
AFFILIATED COMP SVCS       CL A        008190100         8       130  SH                     X       3                130
AFFILIATED COMP SVCS       CL A        008190100       279     4,666  SH               X             3     3,766                900
AFFILIATED MANAGERS GR     COM         008252108       170     2,519  SH                     X       3              2,519
AFFILIATED MANAGERS GR     COM         008252108     1,602    23,790  SH               X             3    14,313              9,477
AFFILIATED MANAGERS GR     COM         008252108     7,135   105,933  SH               X             2   105,933
AIR PRODS & CHEMS INC      COM         009158106        41       500  SH               X           1,3       500
AIR PRODS & CHEMS INC      COM         009158106     1,686    20,797  SH                     X       3    10,550    9,477       770
AIR PRODS & CHEMS INC      COM         009158106     8,377   103,341  SH               X             3    97,394    2,546     3,401
AIR PRODS & CHEMS INC      COM         009158106    11,156   137,627  SH               X             2    55,227             82,400
AIRGAS INC                 COM         009363102        14       293  SH                     X       3                293
AIRGAS INC                 COM         009363102       500    10,509  SH               X             3     9,939                570
AIRGAS INC                 COM         009363102     1,576    33,100  SH               X             2    33,100
ALBEMARLE CORP             COM         012653101        66     1,802  SH               X             3     1,233                569
ALBEMARLE CORP             COM         012653101     1,509    41,500  SH               X             2    41,500
ALBERTO CULVER CO NEW      COM         013078100         2        74  SH                     X       3                 74
ALBERTO CULVER CO NEW      COM         013078100       211     7,206  SH               X             3       645              6,561
ALBERTO CULVER CO NEW      COM         013078100       644    22,000  SH               X             2    10,000             12,000
ALCOA INC                  COM         013817101         9       550  SH               X           1,3       550
ALCOA INC                  COM         013817101       568    35,259  SH                     X       3    16,325   16,534     2,400
ALCOA INC                  COM         013817101     1,406    87,250  SH               X             3    79,862    4,438     2,950
ALCATEL-LUCENT             SPON ADR    013904305         3       780  SH               X             2                          780
ALCATEL-LUCENT             SPON ADR    013904305       165    49,599  SH               X             3    32,289             17,310
ALCATEL-LUCENT             SPON ADR    013904305       228    68,644  SH                     X       3             68,644
ALEXION PHARMA INC         COM         015351109        15       300  SH                     X       3                          300
ALEXION PHARMA INC         COM         015351109       829    16,970  SH               X             3    14,140              2,830
ALEXION PHARMA INC         COM         015351109     5,497   112,600  SH               X             2   112,600
ALLERGAN INC               COM         018490102       621     9,860  SH                     X       3     1,443    3,357     5,060
ALLERGAN INC               COM         018490102     2,045    32,462  SH               X             3    18,498             13,964
ALLERGAN INC               COM         018490102     2,709    43,000  SH               X             2    37,400              5,600
ALLIANCE DATA SYST CORP    COM         018581108         6        91  SH                     X       3                 91
ALLIANCE DATA SYST CORP    COM         018581108       115     1,777  SH               X             3       905                872
ALLIANCE DATA SYST CORP    COM         018581108     2,803    43,400  SH               X             2    43,400
ALLIANT ENERGY CORP        COM         018802108        98     3,250  SH                     X     1,3     2,350      900
ALLIANT ENERGY CORP        COM         018802108       185     6,128  SH                     X       3       237    5,279       612
ALLIANT ENERGY CORP        COM         018802108       386    12,750  SH               X           1,3    12,750
ALLIANT ENERGY CORP        COM         018802108       928    30,659  SH               X             3    29,384    1,235        40
ALLIANT TECHSYSTEMS INC    COM         018804104        90     1,024  SH                     X       3              1,024
ALLIANT TECHSYSTEMS INC    COM         018804104       689     7,804  SH               X             3     6,629              1,175
ALLIANZ SE                 SPADR1/10SH 018805101       190    15,081  SH                     X       3              6,775     8,306
ALLIANZ SE                 SPADR1/10SH 018805101       416    33,116  SH               X             3    15,543             17,573
ALLSTATE CORP              COM         020002101        63     2,090  SH               X             2     2,090
ALLSTATE CORP              COM         020002101       322    10,706  SH                     X       3       184    7,922     2,600
ALLSTATE CORP              COM         020002101     1,634    54,401  SH               X             3    54,255       51        95
ALTERA CORP                COM         021441100       115     5,092  SH                     X       3                528     4,564
ALTERA CORP                COM         021441100       283    12,490  SH               X             3    12,393                 97
ALUMINA LTD                SPON ADR    022205108        33     4,972  SH               X             3     4,972
ALUMINA LTD                SPON ADR    022205108        83    12,608  SH                     X       3             12,608
AMAZON COM INC             COM         023135106       427     3,174  SH                     X       3       290    1,709     1,175
AMAZON COM INC             COM         023135106     3,336    24,803  SH               X             3    24,458      325        20
AMEDISYS INC               COM         023436108        82     1,689  SH                     X       3       207    1,482
AMEDISYS INC               COM         023436108       766    15,770  SH               X             3    13,462              2,308
AMEDISYS INC               COM         023436108     4,593    94,500  SH               X             2    94,500
AMEREN CORP                COM         023608102        35     1,262  SH               X           1,3     1,262
AMEREN CORP                COM         023608102        71     2,525  SH                     X       3       100    2,425
AMEREN CORP                COM         023608102       198     7,100  SH               X             2     6,100              1,000
AMEREN CORP                COM         023608102     3,980   142,385  SH               X             3   140,675      530     1,180
AMERICAN CAMPUS CMNTYS     COM         024835100        44     1,575  SH                     X       3                305     1,270
AMERICAN CAMPUS CMNTYS     COM         024835100       184     6,550  SH               X             3     4,485              2,065
AMERICAN ELEC PWR INC      COM         025537101        42     1,200  SH               X             2                        1,200
AMERICAN ELEC PWR INC      COM         025537101        90     2,593  SH                     X       3       582    1,171       840
AMERICAN ELEC PWR INC      COM         025537101       370    10,634  SH               X             3    10,634
AMERICAN EQTY INVT LIFE    COM         025676206        39     5,190  SH                     X       3                        5,190
AMERICAN EQTY INVT LIFE    COM         025676206       109    14,675  SH               X             3     6,120              8,555
AMERICAN EXPRESS CO        COM         025816109        71     1,744  SH               X           1,3     1,744
AMERICAN EXPRESS CO        COM         025816109     1,202    29,668  SH                     X       3    13,285    8,558     7,825
AMERICAN EXPRESS CO        COM         025816109     6,610   163,130  SH               X             3   134,905      800    27,425
AMERICAN EXPRESS CO        COM         025816109     8,829   217,900  SH               X             2    90,300            127,600
AMERICAN TOWER CORP        CL A        029912201        71     1,633  SH                     X       3                162     1,471
AMERICAN TOWER CORP        CL A        029912201       123     2,835  SH               X             3     1,970                865
AMERICAN TOWER CORP        CL A        029912201     2,199    50,900  SH               X             2    50,900
AMETEK INC NEW             COM         031100100         2        42  SH                     X       3                 42
AMETEK INC NEW             COM         031100100       322     8,415  SH               X             3     3,130              5,285
AMETEK INC NEW             COM         031100100     1,625    42,500  SH               X             2    42,500
AMGEN INC                  COM         031162100        20       350  SH                     X     1,3        50      300
AMGEN INC                  COM         031162100       377     6,666  SH                     X       3       475    6,191
AMGEN INC                  COM         031162100       792    13,995  SH               X           1,3    13,895      100
AMGEN INC                  COM         031162100     4,086    72,227  SH               X             3    69,773    1,994       460
AMGEN INC                  COM         031162100    15,705   277,625  SH               X             2   123,675            153,950
AMPHENOL CORP NEW          CL A        032095101        22       487  SH                     X       3                122       365





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
AMPHENOL CORP NEW          CL A        032095101       453     9,812  SH               X             3     2,088              7,724
AMPHENOL CORP NEW          CL A        032095101     2,822    61,100  SH               X             2    61,100
AMTRUST FINANCL SVCS I     COM         032359309         7       634  SH                     X       3                634
AMTRUST FINANCL SVCS I     COM         032359309       162    13,743  SH               X             3    12,600              1,143
ANADARKO PETE CORP         COM         032511107        12       200  SH               X           1,3       200
ANADARKO PETE CORP         COM         032511107       469     7,521  SH                     X       3              6,289     1,232
ANADARKO PETE CORP         COM         032511107     5,105    81,786  SH               X             3    80,848      408       530
ANADARKO PETE CORP         COM         032511107    16,884   270,485  SH               X             2   168,285            102,200
ANALOG DEVICES INC         COM         032654105        17       537  SH                     X       3                537
ANALOG DEVICES INC         COM         032654105       366    11,592  SH               X             3    11,552                 40
ANCHOR BANCORP WIS INC     COM         032839102        69   110,305  SH               X             3   110,305
ANGLOGOLD ASHANTI LTD      SPON ADR    035128206        55     1,370  SH               X             3     1,370
ANGLOGOLD ASHANTI LTD      SPON ADR    035128206       380     9,463  SH                     X       3              9,463
AON CORP                   COM         037389103         9       225  SH               X           1,3       225
AON CORP                   COM         037389103        40     1,044  SH                     X       3              1,044
AON CORP                   COM         037389103        40     1,050  SH                     X     1,3     1,050
AON CORP                   COM         037389103       340     8,855  SH               X             3     8,830                 25
APACHE CORP                COM         037411105       108     1,050  SH                     X     1,3       950      100
APACHE CORP                COM         037411105     1,345    13,034  SH                     X       3       670   11,052     1,312
APACHE CORP                COM         037411105     1,548    15,008  SH               X           1,3    14,908      100
APACHE CORP                COM         037411105    13,481   130,668  SH               X             2    77,298             53,370
APACHE CORP                COM         037411105    16,611   161,002  SH               X             3   156,232    3,181     1,589
APOLLO GROUP INC           CL A        037604105        14       232  SH                     X       3                232
APOLLO GROUP INC           CL A        037604105       144     2,367  SH               X             3     2,367
APOLLO GROUP INC           CL A        037604105     2,029    33,500  SH               X             2    33,500
APPLE INC                  COM         037833100       177       840  SH               X           1,3       840
APPLE INC                  COM         037833100     2,467    11,709  SH                     X       3     3,071    6,010     2,628
APPLE INC                  COM         037833100    15,197    72,117  SH               X             3    67,892      100     4,125
APPLE INC                  COM         037833100    54,335   257,838  SH               X             2   123,038            134,800
APPLIED MATLS INC          COM         038222105        18     1,300  SH                     X     1,3     1,300
APPLIED MATLS INC          COM         038222105       242    17,331  SH                     X       3     1,475   15,856
APPLIED MATLS INC          COM         038222105       290    20,800  SH               X           1,3    20,800
APPLIED MATLS INC          COM         038222105     5,083   364,654  SH               X             3   347,881   13,435     3,338
APPLIED MATLS INC          COM         038222105     7,379   529,304  SH               X             2   210,704            318,600
APTARGROUP INC             COM         038336103       127     3,560  SH                     X       3              3,560
APTARGROUP INC             COM         038336103       236     6,617  SH               X             3     1,591              5,026
ARCHER DANIELS MIDLAND     COM         039483102       131     4,194  SH                     X       3              1,650     2,544
ARCHER DANIELS MIDLAND     COM         039483102       813    25,962  SH               X             3    25,942                 20
ARCHER DANIELS MIDLAND     COM         039483102     2,084    66,576  SH               X             2    57,770              8,806
ARENA RESOURCES INC        COM         040049108        56     1,296  SH               X             3       890                406
ARENA RESOURCES INC        COM         040049108       328     7,599  SH                     X       3              7,599
ARM HLDGS PLC              SPON ADR    042068106        99    11,572  SH               X             3    11,572
ARROW ELECTRS INC          COM         042735100       219     7,390  SH                     X       3              7,390
ARROW ELECTRS INC          COM         042735100     1,328    44,857  SH               X             3    30,005             14,852
ARROW ELECTRS INC          COM         042735100    13,709   462,980  SH               X             2   258,380            204,600
ARUBA NETWORKS INC         COM         043176106       837    78,462  SH               X             3    67,119             11,343
ARUBA NETWORKS INC         COM         043176106     2,766   259,500  SH               X             2   259,500
ARVINMERITOR INC           COM         043353101       216    19,363  SH               X             3    19,363
ASHLAND INC NEW            COM         044209104         1        25  SH                     X       3                 25
ASHLAND INC NEW            COM         044209104       299     7,548  SH               X             3     7,513                 35
ASHLAND INC NEW            COM         044209104     2,190    55,265  SH               X             2    55,265
ASSOCIATED BANC CORP       COM         045487105       354    32,119  SH                     X       3     4,878   26,812       429
ASSOCIATED BANC CORP       COM         045487105     2,656   241,203  SH               X             3   223,108    2,257    15,838
ASSOCIATED BANC CORP       COM         045487105     3,376   306,637  SH               X             2   306,637
ASTORIA FINL CORP          COM         046265104        37     2,990  SH                     X       3                        2,990
ASTORIA FINL CORP          COM         046265104       138    11,073  SH               X             3     3,724              7,349
ASTRAZENECA PLC            SPON ADR    046353108        45       955  SH                     X       3                955
ASTRAZENECA PLC            SPON ADR    046353108       242     5,163  SH               X             3     3,840              1,323
ATLANTICTELENETWORK INC    COM NEW     049079205         9       172  SH                     X       3                172
ATLANTICTELENETWORK INC    COM NEW     049079205     1,678    30,529  SH               X             3    25,385              5,144
ATLANTICTELENETWORK INC    COM NEW     049079205     6,506   118,400  SH               X             2   118,400
ATLAS ENERGY INC           COM         049298102        30       988  SH               X             3       988
ATLAS ENERGY INC           COM         049298102     1,986    65,900  SH               X             2    65,900
ATWOOD OCEANICS INC        COM         050095108        14       400  SH                     X       3                          400
ATWOOD OCEANICS INC        COM         050095108       289     8,053  SH               X             3     8,053
AUTODESK INC               COM         052769106        14       562  SH                     X       3                562
AUTODESK INC               COM         052769106       290    11,413  SH               X             3    11,413
AUTOLIV INC                COM         052800109       217     5,011  SH               X             2                        5,011
AUTOMATIC DATA PROCG IN    COM         053015103        11       250  SH               X           1,3                250
AUTOMATIC DATA PROCG IN    COM         053015103     1,051    24,549  SH                     X       3       450   21,199     2,900
AUTOMATIC DATA PROCG IN    COM         053015103     2,861    66,816  SH               X             3    35,830       43    30,943
AUTOZONE INC               COM         053332102        72       457  SH                     X       3                457
AUTOZONE INC               COM         053332102       397     2,514  SH               X             3     2,488       18         8
AVALONBAY CMNTYS INC       COM         053484101         4        44  SH                     X       3                 44
AVALONBAY CMNTYS INC       COM         053484101       277     3,373  SH               X             3     3,373
AVERY DENNISON CORP        COM         053611109        41     1,130  SH               X             2     1,130
AVERY DENNISON CORP        COM         053611109       166     4,552  SH                     X       3              4,552
AVERY DENNISON CORP        COM         053611109     1,344    36,824  SH               X             3    36,477       66       281
AVNET INC                  COM         053807103        69     2,300  SH                     X       3                 60     2,240
AVNET INC                  COM         053807103       884    29,301  SH               X             3    28,367                934
AVNET INC                  COM         053807103     3,298   109,352  SH               X             2   109,352
AVON PRODS INC             COM         054303102        97     3,064  SH                     X       3                244     2,820
AVON PRODS INC             COM         054303102       472    14,970  SH               X             3    14,935                 35
AXA                        SPON ADR    054536107       174     7,362  SH                     X       3              3,434     3,928
AXA                        SPON ADR    054536107       372    15,727  SH               X             3     6,670              9,057
BB&T CORP                  COM         054937107        58     2,296  SH                     X       3       200    1,336       760
BB&T CORP                  COM         054937107     3,397   133,897  SH               X             3   132,548      152     1,197
BJ SVCS CO                 COM         055482103         7       400  SH               X           1,3       400
BJ SVCS CO                 COM         055482103        12       658  SH                     X       3                658
BJ SVCS CO                 COM         055482103     1,163    62,504  SH               X             3    56,574              5,930
BJ SVCS CO                 COM         055482103     3,108   167,096  SH               X             2   167,096
BP PLC                     SPON ADR    055622104       203     3,503  SH                     X     1,3     2,628      875
BP PLC                     SPON ADR    055622104     1,020    17,602  SH               X             2                       17,602
BP PLC                     SPON ADR    055622104     1,434    24,738  SH               X           1,3    24,738
BP PLC                     SPON ADR    055622104     4,247    73,267  SH                     X       3    13,997   54,948     4,322
BP PLC                     SPON ADR    055622104    12,160   209,770  SH               X             3   179,684    4,731    25,355
BMC SOFTWARE INC           COM         055921100       443    11,037  SH                     X       3     1,681    3,307     6,049
BMC SOFTWARE INC           COM         055921100     1,809    45,114  SH               X             3    30,197             14,917
BADGER METER INC           COM         056525108       615    15,450  SH                     X       3     1,600   13,850
BADGER METER INC           COM         056525108     1,412    35,459  SH               X             3    35,459
BAKER HUGHES INC           COM         057224107        62     1,531  SH                     X       3                896       635
BAKER HUGHES INC           COM         057224107       499    12,336  SH               X             3    12,311                 25
BALDOR ELEC CO             COM         057741100       489    17,422  SH               X             3    17,377                 45
BALL CORP                  COM         058498106         5        91  SH                     X       3                 91
BALL CORP                  COM         058498106       312     6,032  SH               X             3     6,012                 20





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
BALL CORP                  COM         058498106     1,393    26,940  SH               X             2    26,940
BANK OF AMERICA CORP       COM         060505104        12       824  SH                     X     1,3       824
BANK OF AMERICA CORP       COM         060505104       199    13,187  SH               X           1,3    13,187
BANK OF AMERICA CORP       COM         060505104       923    61,255  SH                     X       3     1,400   52,900     6,955
BANK OF AMERICA CORP       COM         060505104     4,744   315,000  SH  CALL         X             2
BANK OF AMERICA CORP       COM         060505104     9,945   660,367  SH               X             3   645,325    4,551    10,491
BANK OF AMERICA CORP       COM         060505104    21,001 1,394,489  SH               X             2   740,716            653,773
BANK MONTREAL QUE          COM         063671101       216     4,070  SH               X             3     4,070
BANK MONTREAL QUE          COM         063671101       228     4,300  SH                     X       3              4,300
BANK MUTUAL CORP NEW       COM         063750103        46     6,616  SH               X             3     6,616
BANK MUTUAL CORP NEW       COM         063750103        84    12,090  SH                     X       3             12,090
BNY MELLON CORP            COM         064058100       110     3,920  SH               X             2     2,320              1,600
BNY MELLON CORP            COM         064058100       689    24,620  SH                     X       3             16,211     8,409
BNY MELLON CORP            COM         064058100     5,172   184,930  SH               X             3   140,735       70    44,125
BANK NOVASCOTIA HALIFAX    COM         064149107       215     4,600  SH                     X       3              4,600
BARD C R INC               COM         067383109        19       250  SH               X           1,3       250
BARD C R INC               COM         067383109       669     8,583  SH               X             3     6,141       20     2,422
BARD C R INC               COM         067383109     1,255    16,108  SH                     X       3    16,000      108
BARRICK GOLD CORP          COM         067901108       128     3,244  SH               X             3     3,244
BARRICK GOLD CORP          COM         067901108       816    20,711  SH                     X       3             20,231       480
BAXTER INTL INC            COM         071813109        93     1,592  SH               X           1,3     1,592
BAXTER INTL INC            COM         071813109     5,281    89,993  SH               X             3    89,218      535       240
BAXTER INTL INC            COM         071813109     7,753   132,115  SH                     X       3    12,247  119,268       600
BAXTER INTL INC            COM         071813109    15,909   271,120  SH               X             2   127,780            143,340
BEACON ROOFING SPLY INC    COM         073685109        68     4,225  SH                     X       3              4,225
BEACON ROOFING SPLY INC    COM         073685109        97     6,050  SH               X             3       575              5,475
BECKMAN COULTER INC        COM         075811109       142     2,177  SH                     X       3              2,177
BECKMAN COULTER INC        COM         075811109       290     4,433  SH               X             3     1,583              2,850
BECTON DICKINSON & CO      COM         075887109        24       300  SH               X           1,3       300
BECTON DICKINSON & CO      COM         075887109       249     3,161  SH                     X       3              3,161
BECTON DICKINSON & CO      COM         075887109     2,793    35,418  SH               X             3    35,227       67       124
BECTON DICKINSON & CO      COM         075887109    10,642   134,945  SH               X             2    50,945             84,000
BELDEN INC                 COM         077454106        76     3,480  SH                     X       3                        3,480
BELDEN INC                 COM         077454106       577    26,313  SH               X             3    20,579              5,734
BEMIS INC                  COM         081437105       138     4,660  SH                     X       3              4,660
BEMIS INC                  COM         081437105       405    13,645  SH               X             2    13,645
BEMIS INC                  COM         081437105     1,557    52,503  SH               X             3    47,353       50     5,100
BERKLEY W R CORP           COM         084423102       143     5,809  SH                     X       3              4,409     1,400
BERKLEY W R CORP           COM         084423102       285    11,570  SH               X             3     2,471              9,099
BERKSHIRE HATHAWAY INC     CL A        084670108       694         7  SH               X             3         7
BERKSHIRE HATHAWAY INC     CL A        084670108       992        10  SH                     X       3                 10
BERKSHIRE HATHAWAY INC     CL B        084670207         3         1  SH               X           1,3         1
BERKSHIRE HATHAWAY INC     CL B        084670207        10         3  SH                     X     1,3         3
BERKSHIRE HATHAWAY INC     CL B        084670207     1,429       435  SH                     X       3         7      352        76
BERKSHIRE HATHAWAY INC     CL B        084670207     5,182     1,577  SH               X             3     1,224       15       338
BEST BUY INC               COM         086516101       149     3,772  SH                     X       3       500    1,762     1,510
BEST BUY INC               COM         086516101       612    15,503  SH               X             3    15,354                149
BEST BUY INC               COM         086516101    11,692   296,289  SH               X             2   135,039            161,250
BHP BILLITON LTD           SPON ADR    088606108       228     2,975  SH                     X     1,3     1,800    1,175
BHP BILLITON LTD           SPON ADR    088606108     2,108    27,524  SH                     X       3     8,400   17,698     1,426
BHP BILLITON LTD           SPON ADR    088606108     2,990    39,042  SH               X           1,3    39,042
BHP BILLITON LTD           SPON ADR    088606108     3,506    45,787  SH               X             3    43,254              2,533
BIG LOTS INC               COM         089302103        12       398  SH                     X       3                398
BIG LOTS INC               COM         089302103     1,616    55,759  SH               X             3    50,122              5,637
BIG LOTS INC               COM         089302103     6,503   224,400  SH               X             2   224,400
BIO RAD LABS INC           CL A        090572207        58       605  SH                     X       3                605
BIO RAD LABS INC           CL A        090572207       384     3,976  SH               X             3     2,956              1,020
BLOCK H & R INC            COM         093671105        59     2,623  SH                     X       3     1,600    1,023
BLOCK H & R INC            COM         093671105       212     9,362  SH               X             3     9,297                 65
BLUE CHIP VALUE FD INC     COM         095333100        32    10,300  SH               X           1,3    10,300
BOB EVANS FARMS INC        COM         096761101        56     1,920  SH                     X       3                        1,920
BOB EVANS FARMS INC        COM         096761101       188     6,504  SH               X             3     3,334              3,170
BOEING CO                  COM         097023105        24       450  SH                     X     1,3       450
BOEING CO                  COM         097023105       472     8,725  SH               X           1,3     8,575      150
BOEING CO                  COM         097023105       943    17,430  SH                     X       3     2,500   14,796       134
BOEING CO                  COM         097023105     6,435   118,882  SH               X             2    56,456             62,426
BOEING CO                  COM         097023105    14,803   273,477  SH               X             3   263,813    5,116     4,548
BORGWARNER INC             COM         099724106        42     1,253  SH                     X       3       450      803
BORGWARNER INC             COM         099724106       555    16,706  SH               X             3    15,784      200       722
BOSTON SCIENTIFIC CORP     COM         101137107       126    14,041  SH               X             3    13,911                130
BRADY CORP                 CL A        104674106       120     3,984  SH               X             3     3,757                227
BRADY CORP                 CL A        104674106     1,063    35,437  SH                     X       3             35,437
BRANDYWINE RLTY TR         SH BEN INT  105368203        46     4,027  SH                     X       3              1,077     2,950
BRANDYWINE RLTY TR         SH BEN INT  105368203        95     8,340  SH               X             3     1,540              6,800
BRIGGS & STRATTON CORP     COM         109043109       161     8,621  SH               X             3     8,409                212
BRIGGS & STRATTON CORP     COM         109043109       283    15,100  SH                     X       3       800   14,300
BRIGHTPOINT INC            COM NEW     109473405        13     1,737  SH                     X       3              1,737
BRIGHTPOINT INC            COM NEW     109473405       416    56,546  SH               X             3    47,340              9,206
BRIGHTPOINT INC            COM NEW     109473405     1,541   209,700  SH               X             2   209,700
BRINKER INTL INC           COM         109641100         3       225  SH               X           1,3       225
BRINKER INTL INC           COM         109641100        46     3,059  SH               X             3       922              2,137
BRINKER INTL INC           COM         109641100     2,238   150,000  SH               X             2   150,000
BRINKS CO                  COM         109696104        41     1,672  SH                     X       3                177     1,495
BRINKS CO                  COM         109696104       255    10,468  SH               X             3     6,700              3,768
BRINKS HOME SEC HLDGS      COM         109699108        38     1,172  SH                     X       3                 72     1,100
BRINKS HOME SEC HLDGS      COM         109699108       197     6,038  SH               X             3     5,425                613
BRISTOL MYERS SQUIBB CO    COM         110122108        83     3,300  SH                     X     1,3     3,200      100
BRISTOL MYERS SQUIBB CO    COM         110122108       889    35,213  SH               X           1,3    34,913      300
BRISTOL MYERS SQUIBB CO    COM         110122108     1,258    49,808  SH                     X       3     7,762   37,807     4,239
BRISTOL MYERS SQUIBB CO    COM         110122108     3,773   149,431  SH               X             2   122,775             26,656
BRISTOL MYERS SQUIBB CO    COM         110122108     7,359   291,483  SH               X             3   284,138    3,510     3,835
BRISTOW GROUP INC          COM         110394103       138     3,602  SH                     X       3              3,602
BRISTOW GROUP INC          COM         110394103       229     5,960  SH               X             3     1,100              4,860
BRITISH AMERN TOB PLC      SPON ADR    110448107       101     1,559  SH                     X       3                547     1,012
BRITISH AMERN TOB PLC      SPON ADR    110448107       238     3,680  SH               X             3     1,963              1,717
BROADCOM CORP              CL A        111320107       224     7,107  SH                     X       3       186    4,153     2,768
BROADCOM CORP              CL A        111320107       942    29,918  SH               X             3    29,733      140        45
BROADCOM CORP              CL A        111320107    15,414   489,800  SH               X             2   280,800            209,000
BROWN FORMAN CORP          CL B        115637209       111     2,081  SH               X             3     2,002                 79
BROWN FORMAN CORP          CL B        115637209       127     2,372  SH                     X       3              2,372
BRUNSWICK CORP             COM         117043109        60     4,750  SH                     X       3                250     4,500
BRUNSWICK CORP             COM         117043109       216    17,010  SH               X             3     9,760              7,250
BUCYRUS INTL INC NEW       COM         118759109        54       963  SH                     X       3                188       775
BUCYRUS INTL INC NEW       COM         118759109       228     4,037  SH               X             3     2,121              1,916
BUCYRUS INTL INC NEW       COM         118759109     4,194    74,400  SH               X             2    27,500             46,900





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
C&D TECHNOLOGIES INC       COM         124661109        52    33,500  SH               X             3    33,500
CBS CORP NEW               CL A        124857103         6       400  SH               X             2                          400
CBS CORP NEW               CL B        124857202        11       779  SH                     X       3                779
CBS CORP NEW               CL B        124857202       298    21,211  SH               X             3    21,211
C D I CORP                 COM         125071100        30     2,330  SH                     X       3                        2,330
C D I CORP                 COM         125071100       101     7,820  SH               X             3     4,170              3,650
CIGNA CORP                 COM         125509109       100     2,835  SH                     X       3                885     1,950
CIGNA CORP                 COM         125509109     2,104    59,659  SH               X             3    51,551              8,108
CIGNA CORP                 COM         125509109     4,321   122,495  SH               X             2   122,495
CMS ENERGY CORP            COM         125896100         9       553  SH                     X       3                553
CMS ENERGY CORP            COM         125896100     1,153    73,592  SH               X             3    73,507                 85
CMS ENERGY CORP            COM         125896100     3,067   195,857  SH               X             2   195,857
CSX CORP                   COM         126408103        44       900  SH               X           1,3       900
CSX CORP                   COM         126408103       176     3,636  SH                     X       3              3,636
CSX CORP                   COM         126408103       791    16,322  SH               X             3    16,287                 35
CSX CORP                   COM         126408103    13,883   286,300  SH               X             2   168,400            117,900
CVS CAREMARK CORP          COM         126650100     2,345    72,792  SH                     X       3     2,638   63,087     7,067
CVS CAREMARK CORP          COM         126650100     2,670    82,879  SH               X             3    67,101             15,778
CVS CAREMARK CORP          COM         126650100     3,656   113,490  SH               X             2   113,490
CAMPBELL SOUP CO           COM         134429109        34     1,000  SH               X           1,3     1,000
CAMPBELL SOUP CO           COM         134429109        65     1,910  SH                     X       3              1,910
CAMPBELL SOUP CO           COM         134429109       341    10,089  SH               X             3    10,089
CANON INC                  ADR         138006309       144     3,398  SH                     X       3              1,165     2,233
CANON INC                  ADR         138006309       459    10,837  SH               X             3     4,174              6,663
CAREER EDUCATION CORP      COM         141665109         2        65  SH                     X       3                 65
CAREER EDUCATION CORP      COM         141665109       332    14,222  SH               X             3    13,136              1,086
CARLISLE COS INC           COM         142339100       134     3,925  SH                     X       3              3,925
CARLISLE COS INC           COM         142339100       572    16,714  SH               X             3    11,161              5,553
CARLISLE COS INC           COM         142339100     2,361    68,900  SH               X             2    68,900
CARNIVAL CORP              PAIRED CTF  143658300       142     4,489  SH               X             3     4,489
CARNIVAL CORP              PAIRED CTF  143658300       238     7,513  SH                     X       3              7,513
CARNIVAL CORP              PAIRED CTF  143658300     5,802   183,100  SH               X             2    57,200            125,900
CASEYS GEN STORES INC      COM         147528103        69     2,150  SH                     X       3                        2,150
CASEYS GEN STORES INC      COM         147528103       132     4,143  SH               X             3     1,407              2,736
CATERPILLAR INC DEL        COM         149123101       172     3,025  SH               X           1,3     3,025
CATERPILLAR INC DEL        COM         149123101     3,917    68,733  SH                     X       3    29,635   38,698       400
CATERPILLAR INC DEL        COM         149123101     9,845   172,748  SH               X             2    73,848             98,900
CATERPILLAR INC DEL        COM         149123101    11,838   207,712  SH               X             3   201,675    2,586     3,451
CELGENE CORP               COM         151020104        90     1,625  SH               X           1,3     1,625
CELGENE CORP               COM         151020104     1,744    31,322  SH                     X       3     8,345   20,142     2,835
CELGENE CORP               COM         151020104    11,334   203,563  SH               X             2   100,113            103,450
CELGENE CORP               COM         151020104    11,403   204,782  SH               X             3   191,740    1,539    11,503
CENTRAL SECS CORP          COM         155123102       212    11,816  SH               X             3    11,816
CENTURYTEL INC             COM         156700106        95     2,615  SH                     X       3              2,615
CENTURYTEL INC             COM         156700106     3,729   102,975  SH               X             2   102,975
CENTURYTEL INC             COM         156700106     3,867   106,786  SH               X             3   106,381       70       335
CERNER CORP                COM         156782104         2        26  SH                     X       3                 26
CERNER CORP                COM         156782104       487     5,910  SH               X             3       808              5,102
CERNER CORP                COM         156782104     4,856    58,900  SH               X             2    22,800             36,100
CHECKPOINT SYS INC         COM         162825103       406    26,625  SH               X             3    26,625
CHEESECAKE FACTORY INC     COM         163072101        33     1,518  SH               X             2                        1,518
CHEVRON CORP NEW           COM         166764100        64       825  SH                     X     1,3       400      425
CHEVRON CORP NEW           COM         166764100       246     3,200  SH               X           1,3     3,200
CHEVRON CORP NEW           COM         166764100     5,880    76,370  SH                     X       3    10,100   62,161     4,109
CHEVRON CORP NEW           COM         166764100    21,706   281,930  SH               X             2   190,972             90,958
CHEVRON CORP NEW           COM         166764100    43,247   561,725  SH               X             3   537,821   16,504     7,400
CHICOS FAS INC             COM         168615102        27     1,900  SH                     X       3                320     1,580
CHICOS FAS INC             COM         168615102       143    10,170  SH               X             3     7,200              2,970
CHICOS FAS INC             COM         168615102     2,109   150,100  SH               X             2   150,100
CHINA DIRECT INDS INC      COM NEW     169384203       520   440,732  SH               X             3   366,762             73,970
CHINA DIRECT INDS INC      COM NEW     169384203     1,985 1,681,900  SH               X             2 1,681,900
CHIPOTLE MEX GRILL INC     CL A        169656105         3        37  SH                     X       3                 37
CHIPOTLE MEX GRILL INC     CL A        169656105       106     1,208  SH               X             3       714                494
CHIPOTLE MEX GRILL INC     CL A        169656105     2,997    34,000  SH               X             2    34,000
CHUBB CORP                 COM         171232101         5       100  SH                     X     1,3       100
CHUBB CORP                 COM         171232101       224     4,561  SH                     X       3              4,151       410
CHUBB CORP                 COM         171232101     2,256    45,871  SH               X             3    45,092      600       179
CHUBB CORP                 COM         171232101     6,816   138,600  SH               X             2    70,600             68,000
CHURCH & DWIGHT INC        COM         171340102         4        59  SH                     X       3                 59
CHURCH & DWIGHT INC        COM         171340102       334     5,529  SH               X             3       952              4,577
CIENA CORP                 COM NEW     171779309         1        85  SH               X             2                           85
CIENA CORP                 COM NEW     171779309       291    26,802  SH               X             3    26,802
CIMAREX ENERGY CO          COM         171798101         2        32  SH                     X       3                 32
CIMAREX ENERGY CO          COM         171798101       187     3,534  SH               X             3     3,005                529
CIMAREX ENERGY CO          COM         171798101     1,854    34,995  SH               X             2    34,995
CINCINNATI FINL CORP       COM         172062101        29     1,088  SH                     X       3              1,088
CINCINNATI FINL CORP       COM         172062101       143     5,445  SH               X             2     5,445
CINCINNATI FINL CORP       COM         172062101     2,304    87,796  SH               X             3    87,377      105       314
CIRRUS LOGIC INC           COM         172755100       799   117,239  SH               X             3   100,057             17,182
CIRRUS LOGIC INC           COM         172755100     2,664   390,600  SH               X             2   390,600
CINTAS CORP                COM         172908105       379    14,523  SH                     X       3              9,998     4,525
CINTAS CORP                COM         172908105     2,395    91,883  SH               X             3    46,673             45,210
CINTAS CORP                COM         172908105     2,656   101,866  SH               X             2   101,866
CITIGROUP INC              COM         172967101        97    29,167  SH                     X       3             29,167
CITIGROUP INC              COM         172967101       910   275,000  SH  CALL         X             2
CITIGROUP INC              COM         172967101     2,099   634,022  SH               X             3   629,027              4,995
CITIGROUP INC              COM         172967101     8,042 2,429,700  SH               X             2 1,149,100          1,280,600
CITRIX SYS INC             COM         177376100        15       352  SH                     X       3                352
CITRIX SYS INC             COM         177376100     1,058    25,425  SH               X             3    16,760      109     8,556
CITY NATL CORP             COM         178566105        70     1,543  SH               X             3     1,269                274
CITY NATL CORP             COM         178566105       160     3,503  SH                     X       3              3,503
CLARCOR INC                COM         179895107        73     2,257  SH               X             3     1,336                921
CLARCOR INC                COM         179895107       478    14,750  SH                     X       3             14,750
CLARIENT INC               COM         180489106       712   268,497  SH               X             3   223,070             45,427
CLARIENT INC               COM         180489106     2,765 1,043,500  SH               X             2 1,043,500
CLOROX CO DEL              COM         189054109        55       900  SH               X           1,3       900
CLOROX CO DEL              COM         189054109        94     1,540  SH               X             2     1,540
CLOROX CO DEL              COM         189054109       552     9,046  SH                     X       3     7,715      981       350
CLOROX CO DEL              COM         189054109     2,726    44,681  SH               X             3    43,208       30     1,443
COACH INC                  COM         189754104       622    17,026  SH                     X       3    15,675      401       950
COACH INC                  COM         189754104     1,314    35,972  SH               X             3    29,442              6,530
COACH INC                  COM         189754104     4,788   131,060  SH               X             2   131,060
COCA COLA CO               COM         191216100       100     1,750  SH                     X     1,3     1,400      350
COCA COLA CO               COM         191216100     1,005    17,633  SH               X           1,3    17,508      125
COCA COLA CO               COM         191216100     4,123    72,342  SH                     X       3    13,250   55,952     3,140





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
COCA COLA CO               COM         191216100    25,123   440,762  SH               X             3   402,292   26,962    11,508
COCA COLA CO               COM         191216100    29,569   518,762  SH               X             2   185,432            333,330
COCA COLA ENT INC          COM         191219104        21     1,000  SH                     X       3              1,000
COCA COLA ENT INC          COM         191219104       435    20,551  SH               X             3    15,124              5,427
COCA COLA ENT INC          COM         191219104       996    46,970  SH               X             2    46,970
COGNEX CORP                COM         192422103         8       445  SH                     X       3                445
COGNEX CORP                COM         192422103       182    10,255  SH               X             3    10,255
COGNIZANT TECH SOLUTIO     CL A        192446102       417     9,202  SH                     X       3     1,058    4,140     4,004
COGNIZANT TECH SOLUTIO     CL A        192446102     2,187    48,233  SH               X             3    27,526             20,707
COGNIZANT TECH SOLUTIO     CL A        192446102     2,298    50,700  SH               X             2    50,700
COLGATE PALMOLIVE CO       COM         194162103         4        50  SH               X           1,3        50
COLGATE PALMOLIVE CO       COM         194162103         8       100  SH                     X     1,3                100
COLGATE PALMOLIVE CO       COM         194162103     2,934    35,716  SH                     X       3     8,325   25,991     1,400
COLGATE PALMOLIVE CO       COM         194162103    10,408   126,689  SH               X             3   121,051    5,478       160
COLGATE PALMOLIVE CO       COM         194162103    13,345   162,450  SH               X             2    58,800            103,650
COMERICA INC               COM         200340107        31     1,035  SH                     X       3       500      535
COMERICA INC               COM         200340107       570    19,284  SH               X             3    19,284
COMMERCE BANCSHARES INC    COM         200525103     1,759    45,418  SH                     X       3             45,418
COMMERCE BANCSHARES INC    COM         200525103     2,482    64,097  SH               X             3    63,646                451
COMMERCIAL METALS CO       COM         201723103         1        95  SH                     X       3                 95
COMMERCIAL METALS CO       COM         201723103       168    10,727  SH               X             3    10,004                723
COMMERCIAL METALS CO       COM         201723103       575    36,720  SH               X             2    36,720
COMMUNITY HEALTH SYSINC    COM         203668108         8       213  SH                     X       3                213
COMMUNITY HEALTH SYSINC    COM         203668108       184     5,174  SH               X             3     3,476              1,698
COMMUNITY HEALTH SYSINC    COM         203668108     1,823    51,200  SH               X             2    51,200
COMPUTER SCIENCES CORP     COM         205363104        58     1,005  SH                     X       3              1,005
COMPUTER SCIENCES CORP     COM         205363104     1,221    21,225  SH               X             3    20,725                500
COMPUTER SCIENCES CORP     COM         205363104     3,356    58,330  SH               X             2    58,330
COMPUWARE CORP             COM         205638109         5       642  SH                     X       3                642
COMPUWARE CORP             COM         205638109       186    25,706  SH               X             3    25,706
CONAGRA FOODS INC          COM         205887102         7       300  SH               X           1,3       300
CONAGRA FOODS INC          COM         205887102        88     3,835  SH                     X       3              3,835
CONAGRA FOODS INC          COM         205887102     1,098    47,623  SH               X             3    47,623
CONAGRA FOODS INC          COM         205887102     3,892   168,815  SH               X             2   165,815              3,000
CON-WAY INC                COM         205944101     4,996   143,100  SH               X             2    58,500             84,600
CONEXANT SYSTEMS INC       COM NEW     207142308       481   207,393  SH               X             3   172,090             35,303
CONEXANT SYSTEMS INC       COM NEW     207142308     1,858   800,800  SH               X             2   800,800
CONSECO INC                COM NEW     208464883       207    41,320  SH               X             3    41,320
CONSOLIDATED EDISON INC    COM         209115104       168     3,692  SH                     X       3              3,692
CONSOLIDATED EDISON INC    COM         209115104       177     3,905  SH               X             2     3,905
CONSOLIDATED EDISON INC    COM         209115104     3,369    74,163  SH               X             3    72,311      842     1,010
CONSTELLATION ENRGY GR1    COM         210371100         6       160  SH                     X       3                160
CONSTELLATION ENRGY GR1    COM         210371100       378    10,758  SH               X             3    10,327                431
CONTINENTAL AIRLS INC      CL B        210795308     5,546   309,500  SH               X             2   102,000            207,500
CONVERGYS CORP             COM         212485106        11     1,003  SH                     X       3              1,003
CONVERGYS CORP             COM         212485106       365    33,970  SH               X             3    33,915                 55
COOPER COS INC             COM NEW     216648402       194     5,086  SH               X             3     3,316              1,770
COOPER COS INC             COM NEW     216648402        41     1,070  SH                     X       3                        1,070
COPANO ENERGY L L C        COM UNITS   217202100        20       830  SH               X             3                          830
COPANO ENERGY L L C        COM UNITS   217202100       311    13,000  SH                     X       3             13,000
COPART INC                 COM         217204106         1        34  SH                     X       3                 34
COPART INC                 COM         217204106       243     6,647  SH               X             3     1,013              5,634
CORINTHIAN COLLEGES INC    COM         218868107       253    18,347  SH               X             3    16,730              1,617
CORNING INC                COM         219350105         4       200  SH               X           1,3       200
CORNING INC                COM         219350105       208    10,796  SH                     X       3             10,796
CORNING INC                COM         219350105     3,083   159,636  SH               X             3   158,922      157       557
CORNING INC                COM         219350105    12,957   671,000  SH               X             2   252,900            418,100
COVANCE INC                COM         222816100       169     3,104  SH                     X       3              3,104
COVANCE INC                COM         222816100       480     8,789  SH               X             3     1,053              7,736
COVENTRY HLTH CARE INC     COM         222862104        19       798  SH                     X       3                798
COVENTRY HLTH CARE INC     COM         222862104       657    27,039  SH               X             3    27,039
CROWN CASTLE INTL CORP     COM         228227104        14       377  SH               X             3       377
CROWN CASTLE INTL CORP     COM         228227104     2,210    56,600  SH               X             2    56,600
CROWN HOLDINGS INC         COM         228368106       895    35,000  SH               X             2                       35,000
CUMMINS INC                COM         231021106        31       683  SH                     X       3                333       350
CUMMINS INC                COM         231021106       733    15,983  SH               X             3    15,983
CYPRESS SEMICOND CORP      COM         232806109         7       669  SH                     X       3                669
CYPRESS SEMICOND CORP      COM         232806109       817    77,335  SH               X             3    62,214             15,121
CYPRESS SEMICOND CORP      COM         232806109     4,787   453,300  SH               X             2   453,300
DST SYS INC DEL            COM         233326107       111     2,550  SH                     X       3              2,550
DST SYS INC DEL            COM         233326107       204     4,685  SH               X             3     1,128              3,557
DTE ENERGY CO              COM         233331107        46     1,059  SH                     X       3              1,059
DTE ENERGY CO              COM         233331107        91     2,085  SH               X             2     2,085
DTE ENERGY CO              COM         233331107     2,283    52,381  SH               X             3    51,721      187       473
DANAHER CORP DEL           COM         235851102       130     1,725  SH                     X     1,3     1,025      700
DANAHER CORP DEL           COM         235851102       617     8,199  SH                     X       3     1,608    2,653     3,938
DANAHER CORP DEL           COM         235851102     1,554    20,662  SH               X           1,3    20,662
DANAHER CORP DEL           COM         235851102     3,601    47,888  SH               X             3    33,146       26    14,716
DARDEN RESTAURANTS INC     COM         237194105         5       155  SH                     X       3                155
DARDEN RESTAURANTS INC     COM         237194105       203     5,794  SH               X             3     5,794
DARDEN RESTAURANTS INC     COM         237194105     5,797   165,300  SH               X             2    58,000            107,300
DEAN FOODS CO NEW          COM         242370104         5       289  SH                     X       3       175      114
DEAN FOODS CO NEW          COM         242370104        23     1,300  SH               X           1,3     1,300
DEAN FOODS CO NEW          COM         242370104       529    29,321  SH               X             3    29,321
DEERE & CO                 COM         244199105        27       500  SH               X           1,3       500
DEERE & CO                 COM         244199105       374     6,922  SH                     X       3     2,100      728     4,094
DEERE & CO                 COM         244199105     1,827    33,768  SH               X             3    32,902      841        25
DEERE & CO                 COM         244199105     7,241   133,870  SH               X             2    57,770             76,100
DELTA AIR LINES INC DEL    COM NEW     247361702        57     5,040  SH                     X       3                        5,040
DELTA AIR LINES INC DEL    COM NEW     247361702        92     8,074  SH               X             3     8,074
DENTSPLY INTL INC NEW      COM         249030107       258     7,330  SH                     X       3              4,105     3,225
DENTSPLY INTL INC NEW      COM         249030107     2,335    66,407  SH               X             2    66,407
DENTSPLY INTL INC NEW      COM         249030107     2,422    68,871  SH               X             3    20,755             48,116
DEVRY INC DEL              COM         251893103       522     9,199  SH               X             3     9,174                 25
DEXCOM INC                 COM         252131107       619    76,739  SH               X             3    61,628             15,111
DEXCOM INC                 COM         252131107     2,352   291,400  SH               X             2   291,400
DIAMONDROCK HOSPITALITY    COM         252784301        39     4,620  SH                     X       3                        4,620
DIAMONDROCK HOSPITALITY    COM         252784301       149    17,645  SH               X             3     9,885              7,760
DIAMONDS TR                UNIT SER 1  252787106       102       980  SH                     X       3                980
DIAMONDS TR                UNIT SER 1  252787106     6,506    62,513  SH               X             3    62,513
DICKS SPORTING GOODS IN    COM         253393102       332    13,351  SH               X             3     2,248             11,103
DISNEY WALT CO             COM         254687106       794    24,605  SH                     X       3       350   24,255
DISNEY WALT CO             COM         254687106     5,724   177,484  SH               X             3   163,201   11,891     2,392
DISNEY WALT CO             COM         254687106    12,723   394,500  SH               X             2   158,000            236,500
DISCOVER FINL SVCS         COM         254709108        20     1,353  SH                     X       3              1,119       234





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
DISCOVER FINL SVCS         COM         254709108     1,314    89,314  SH               X             3    89,204                110
DISCOVER FINL SVCS         COM         254709108     5,694   387,073  SH               X             2   387,073
DOLLAR GEN CORP NEW        COM         256677105     1,122    50,000  SH               X             2    50,000
DOLLAR TREE INC            COM         256746108       136     2,809  SH                     X       3              2,809
DOLLAR TREE INC            COM         256746108       142     2,940  SH               X             3     1,815              1,125
DOLLAR TREE INC            COM         256746108     2,613    54,100  SH               X             2    54,100
DONALDSON INC              COM         257651109         1        27  SH                     X       3                 27
DONALDSON INC              COM         257651109       211     4,951  SH               X             3     1,221              3,730
DONNELLEY R R & SONS CO    COM         257867101        17       758  SH                     X       3                758
DONNELLEY R R & SONS CO    COM         257867101       975    43,800  SH               X             2    43,800
DONNELLEY R R & SONS CO    COM         257867101     1,639    73,577  SH               X             3    73,397                180
DOVER CORP                 COM         260003108       219     5,254  SH                     X       3       500    4,754
DOVER CORP                 COM         260003108       505    12,126  SH               X             3    12,126
DOVER CORP                 COM         260003108     1,889    45,400  SH               X             2    45,400
DOW CHEM CO                COM         260543103        23       850  SH               X           1,3       850
DOW CHEM CO                COM         260543103        35     1,250  SH                     X     1,3       600      650
DOW CHEM CO                COM         260543103       357    12,933  SH                     X       3     4,200    7,098     1,635
DOW CHEM CO                COM         260543103     1,891    68,425  SH               X             3    63,295    2,450     2,680
DOW CHEM CO                COM         260543103     9,425   341,100  SH               X             2   153,400            187,700
DRESSER-RAND GROUP INC     COM         261608103       145     4,600  SH                     X       3              4,000       600
DRESSER-RAND GROUP INC     COM         261608103       257     8,150  SH               X             3     2,525              5,625
DRESSER-RAND GROUP INC     COM         261608103     1,897    60,000  SH               X             2    60,000
DUPONT EIDE NEMOURS&CO     COM         263534109        67     2,000  SH                     X     1,3     1,900      100
DUPONT EIDE NEMOURS&CO     COM         263534109       684    20,310  SH                     X       3     4,075   14,052     2,183
DUPONT EIDE NEMOURS&CO     COM         263534109       843    25,033  SH               X           1,3    24,783      250
DUPONT EIDE NEMOURS&CO     COM         263534109     3,488   103,582  SH               X             3   102,251      400       931
DUPONT EIDE NEMOURS&CO     COM         263534109    12,861   381,974  SH               X             2   140,400            241,574
DUKE REALTY CORP           COM NEW     264411505        40     3,275  SH                     X       3              1,460     1,815
DUKE REALTY CORP           COM NEW     264411505       268    22,052  SH               X             3    18,309              3,743
E M C CORP MASS            COM         268648102       105     6,026  SH                     X       3       675    2,441     2,910
E M C CORP MASS            COM         268648102     1,458    83,439  SH               X             3    82,196      780       463
E M C CORP MASS            COM         268648102    15,287   875,060  SH               X             2   444,260            430,800
EASTMAN CHEM CO            COM         277432100         3        56  SH               X           1,3        56
EASTMAN CHEM CO            COM         277432100        27       455  SH                     X       3                455
EASTMAN CHEM CO            COM         277432100       617    10,241  SH               X             3    10,216                 25
EASTMAN KODAK CO           COM         277461109         3       750  SH                     X       3       100      100       550
EASTMAN KODAK CO           COM         277461109        10     2,400  SH               X             2                        2,400
EASTMAN KODAK CO           COM         277461109        65    15,399  SH               X             3    13,099              2,300
EATON CORP                 COM         278058102       366     5,750  SH                     X       3     1,350    2,702     1,698
EATON CORP                 COM         278058102     2,350    36,932  SH               X             3    33,442              3,490
EATON CORP                 COM         278058102     9,924   155,993  SH               X             2    97,293             58,700
EATON VANCE CORP           COM NONVTG  278265103       420    13,826  SH                     X       3     2,187    3,774     7,865
EATON VANCE CORP           COM NONVTG  278265103     1,566    51,507  SH               X             3    16,009             35,498
EATON VANCE ENEQ INC FD    COM         278277108        32     2,250  SH                     X       3              2,250
EATON VANCE ENEQ INC FD    COM         278277108     2,830   197,645  SH               X             3   197,645
EBAY INC                   COM         278642103       116     4,927  SH                     X       3                637     4,290
EBAY INC                   COM         278642103       490    20,812  SH               X             3    18,380       82     2,350
EBAY INC                   COM         278642103     6,838   290,600  SH               X             2   113,000            177,600
EBIX INC                   COM NEW     278715206     2,845    58,277  SH               X             3    48,228             10,049
EBIX INC                   COM NEW     278715206    17,462   357,600  SH               X             2   357,600
ECOLAB INC                 COM         278865100       204     4,573  SH                     X       3              3,573     1,000
ECOLAB INC                 COM         278865100     1,069    23,996  SH               X             3    17,678    6,268        50
ECOLAB INC                 COM         278865100     1,779    39,900  SH               X             2    39,900
EDISON INTL                COM         281020107       107     3,065  SH                     X       3                792     2,273
EDISON INTL                COM         281020107     1,440    41,393  SH               X             3    37,503       48     3,842
EDISON INTL                COM         281020107     5,558   159,798  SH               X             2   159,798
ELAN PLC                   ADR         284131208       209    32,000  SH               X             2                       32,000
ELECTRONIC ARTS INC        COM         285512109       126     7,123  SH               X             2     7,123
ELECTRONIC ARTS INC        COM         285512109       185    10,450  SH                     X       3       730    8,850       870
ELECTRONIC ARTS INC        COM         285512109     2,894   163,024  SH               X             3   154,629    5,529     2,866
ELECTRONICS FOR IMAGING    COM         286082102       160    12,300  SH               X             3    12,300
EMERITUS CORP              COM         291005106       541    28,820  SH               X             3    23,964              4,856
EMERITUS CORP              COM         291005106     2,098   111,900  SH               X             2   111,900
EMERSON ELEC CO            COM         291011104        68     1,600  SH                     X     1,3     1,600
EMERSON ELEC CO            COM         291011104       672    15,775  SH               X           1,3    15,775
EMERSON ELEC CO            COM         291011104     6,906   162,110  SH                     X       3    16,161  145,949
EMERSON ELEC CO            COM         291011104    14,846   348,500  SH               X             2   189,000            159,500
EMERSON ELEC CO            COM         291011104    17,691   415,280  SH               X             3   407,251    4,387     3,642
EMPLOYERS HOLDINGS INC     COM         292218104       161    10,505  SH               X             3    10,505
ENCANA CORP                COM         292505104        22       692  SH               X             3       692
ENCANA CORP                COM         292505104       295     9,096  SH                     X       3              9,096
ENERGYSOLUTIONS INC        COM         292756202        25     2,930  SH                     X       3                        2,930
ENERGYSOLUTIONS INC        COM         292756202        71     8,345  SH               X             3     1,550              6,795
ENNIS INC                  COM         293389102       104     6,200  SH                     X       3              3,700     2,500
ENNIS INC                  COM         293389102       119     7,095  SH               X             3     2,960              4,135
ENTERPRISE GP HLDGS L P    UT LP INT   293716106        93     2,381  SH               X             3     2,381
ENTERPRISE GP HLDGS L P    UT LP INT   293716106       974    25,000  SH                     X       3             25,000
ENTERPRISE PRODS PRT L     COM         293792107       739    23,521  SH               X             3    21,583              1,938
EQUIFAX INC                COM         294429105        13       429  SH                     X       3                429
EQUIFAX INC                COM         294429105       200     6,463  SH               X             3     6,164       66       233
ERICSSON L M TEL CO        ADRBSEK 10  294821608       111    12,099  SH                     X       3              4,745     7,354
ERICSSON L M TEL CO        ADRBSEK 10  294821608       333    36,236  SH               X             3    13,387             22,849
ETHAN ALLEN INTERIORS      COM         297602104     1,972   146,930  SH               X             3   146,930
EURONET WORLDWIDE INC      COM         298736109       656    29,900  SH               X             3    29,900
EXPEDITORS INTL WASH       COM         302130109       385    11,069  SH                     X       3        25   11,044
EXPEDITORS INTL WASH       COM         302130109       514    14,773  SH               X             3     8,642              6,131
EXPRESS SCRIPTS INC        COM         302182100       401     4,643  SH                     X       3              3,673       970
EXPRESS SCRIPTS INC        COM         302182100       857     9,911  SH               X             3     9,896                 15
EXPRESS SCRIPTS INC        COM         302182100    13,464   155,800  SH               X             2   105,100             50,700
FLIR SYS INC               COM         302445101        17       530  SH                     X       3                          530
FLIR SYS INC               COM         302445101       343    10,472  SH               X             3     2,187              8,285
FNB CORP PA                COM         302520101       140    20,584  SH               X             3    20,584
FPL GROUP INC              COM         302571104        37       700  SH               X           1,3       700
FPL GROUP INC              COM         302571104       511     9,683  SH                     X       3     4,359    5,324
FPL GROUP INC              COM         302571104     1,910    36,157  SH               X             3    31,991    4,041       125
FTI CONSULTING INC         COM         302941109        11       225  SH                     X       3                          225
FTI CONSULTING INC         COM         302941109       221     4,694  SH               X             3     1,321              3,373
FACTSET RESH SYS INC       COM         303075105         5        73  SH                     X       3                 73
FACTSET RESH SYS INC       COM         303075105       258     3,912  SH               X             3       681              3,231
FAMILY DLR STORES INC      COM         307000109       176     6,333  SH                     X       3              6,333
FAMILY DLR STORES INC      COM         307000109       195     7,000  SH               X             2     7,000
FAMILY DLR STORES INC      COM         307000109       334    11,986  SH               X             3     4,711              7,275
FASTENAL CO                COM         311900104         1        30  SH                     X       3                 30
FASTENAL CO                COM         311900104       678    16,284  SH               X             3    10,049      375     5,860
FEDERAL HOME LN MTGCORP    COM         313400301         8     5,700  SH               X             2                        5,700





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
FEDERAL NATL MTG ASSN      COM         313586109         9     7,800  SH               X             2                        7,800
FEDERATED INVS INC PA      CL B        314211103        94     3,410  SH               X             2     3,410
FEDERATED INVS INC PA      CL B        314211103       161     5,872  SH                     X       3              5,872
FEDERATED INVS INC PA      CL B        314211103       921    33,491  SH               X             3    32,292              1,199
FIFTH THIRD BANCORP        COM         316773100     1,035   106,149  SH               X             3   106,149
FIFTH THIRD BANCORP        COM         316773100     3,643   373,637  SH               X             2   373,637
FINISH LINE INC            CL A        317923100        44     3,475  SH                     X       3                        3,475
FINISH LINE INC            CL A        317923100       102     8,165  SH               X             3     1,380              6,785
FIRST CAPITAL BANC VA      COM         319438107        91    19,000  SH               X             3    19,000
1ST SOURCE CORP            COM         336901103       506    31,439  SH                     X       3             31,439
FISERV INC                 COM         337738108       168     3,467  SH                     X       3              3,467
FISERV INC                 COM         337738108     1,124    23,192  SH               X             3    18,627              4,565
FIRSTENERGY CORP           COM         337932107        25       531  SH                     X       3                531
FIRSTENERGY CORP           COM         337932107     1,079    23,220  SH               X             2    23,220
FIRSTENERGY CORP           COM         337932107     2,118    45,597  SH               X             3    45,482                115
FLUOR CORP NEW             COM         343412102        83     1,841  SH                     X       3              1,361       480
FLUOR CORP NEW             COM         343412102       139     3,096  SH               X             3     3,096
FLUOR CORP NEW             COM         343412102     5,013   111,300  SH               X             2    42,900             68,400
FLOWERS FOODS INC          COM         343498101         7       300  SH                     X       3                300
FLOWERS FOODS INC          COM         343498101       252    10,586  SH               X             3     1,220              9,366
FOOT LOCKER INC            COM         344849104        42     3,780  SH                     X       3                        3,780
FOOT LOCKER INC            COM         344849104       181    16,261  SH               X             3     6,614              9,647
FORD MTR CO DEL            COMPAR$0.01 345370860        10     1,000  SH               X           1,3     1,000
FORD MTR CO DEL            COMPAR$0.01 345370860        91     9,096  SH                     X       3        98    2,608     6,390
FORD MTR CO DEL            COMPAR$0.01 345370860     1,330   133,018  SH               X             2   131,270              1,748
FORD MTR CO DEL            COMPAR$0.01 345370860     2,525   252,518  SH               X             3   252,333                185
FOREST LABS INC            COM         345838106       340    10,590  SH                     X       3             10,590
FOREST LABS INC            COM         345838106       688    21,420  SH               X             3    21,304       76        40
FOREST LABS INC            COM         345838106     1,848    57,565  SH               X             2    57,565
FORTUNE BRANDS INC         COM         349631101         9       200  SH               X           1,3       200
FORTUNE BRANDS INC         COM         349631101       401     9,290  SH               X             3     9,126      164
FORTUNE BRANDS INC         COM         349631101       403     9,324  SH                     X       3     1,600    6,924       800
FRANKLIN RES INC           COM         354613101       271     2,571  SH                     X       3              2,421       150
FRANKLIN RES INC           COM         354613101       804     7,630  SH               X             3     7,630
FRESENIUS MEDCRAG&COKGA    SPON ADR    358029106       110     2,071  SH                     X       3                743     1,328
FRESENIUS MEDCRAG&COKGA    SPON ADR    358029106       333     6,276  SH               X             3     3,802              2,474
GABELLI EQUITY TR INC      COM         362397101        83    16,385  SH               X             3    16,385
GALLAGHER ARTHUR J & CO    COM         363576109       145     6,450  SH                     X       3              6,450
GALLAGHER ARTHUR J & CO    COM         363576109       348    15,462  SH               X             3     7,075              8,387
GANNETT INC                COM         364730101        46     3,108  SH                     X       3              1,698     1,410
GANNETT INC                COM         364730101       443    29,850  SH               X             3    29,350                500
GAP INC DEL                COM         364760108       194     9,282  SH                     X       3              9,282
GAP INC DEL                COM         364760108     1,240    59,184  SH               X             3    54,274              4,910
GAP INC DEL                COM         364760108     5,995   286,164  SH               X             2   286,164
GARTNER INC                COM         366651107       103     5,687  SH                     X       3              5,687
GARTNER INC                COM         366651107       316    17,524  SH               X             3     9,627              7,897
GENERAL COMMUNIC INC       CL A        369385109       209    32,781  SH               X             3    32,651                130
GENERAL DYNAMICS CORP      COM         369550108       496     7,273  SH                     X       3     2,100    4,773       400
GENERAL DYNAMICS CORP      COM         369550108     2,502    36,701  SH               X             3    35,876                825
GENERAL DYNAMICS CORP      COM         369550108     3,359    49,275  SH               X             2    49,275
GENERAL ELECTRIC CO        COM         369604103        19     1,250  SH                     X     1,3       650      600
GENERAL ELECTRIC CO        COM         369604103       240    15,847  SH               X           1,3    15,847
GENERAL ELECTRIC CO        COM         369604103     5,897   389,783  SH                     X       3    86,886  287,375    15,522
GENERAL ELECTRIC CO        COM         369604103    20,987 1,387,109  SH               X             2   826,692            560,417
GENERAL ELECTRIC CO        COM         369604103    38,002 2,511,732  SH               X             3 2,361,449   85,500    64,783
GENERAL MLS INC            COM         370334104         7       100  SH               X           1,3       100
GENERAL MLS INC            COM         370334104     1,054    14,890  SH                     X       3     9,860    4,680       350
GENERAL MLS INC            COM         370334104     4,229    59,721  SH               X             3    56,470    1,668     1,583
GENERAL MLS INC            COM         370334104     9,884   139,585  SH               X             2    45,655             93,930
GENUINE PARTS CO           COM         372460105       109     2,880  SH               X             2     2,880
GENUINE PARTS CO           COM         372460105       112     2,954  SH                     X       3              2,954
GENUINE PARTS CO           COM         372460105     1,229    32,380  SH               X             3    32,277                103
GILEAD SCIENCES INC        COM         375558103       184     4,250  SH                     X     1,3     2,750    1,500
GILEAD SCIENCES INC        COM         375558103       906    20,946  SH                     X       3     2,129   11,441     7,376
GILEAD SCIENCES INC        COM         375558103     1,854    42,850  SH               X           1,3    42,700      150
GILEAD SCIENCES INC        COM         375558103     6,073   140,358  SH               X             3   120,194      180    19,984
GILEAD SCIENCES INC        COM         375558103    16,241   375,330  SH               X             2   187,830            187,500
GOODRICH CORP              COM         382388106        13       199  SH                     X       3                199
GOODRICH CORP              COM         382388106       411     6,404  SH               X             3     6,399                  5
GOODYEAR TIRE & RUBR CO    COM         382550101         3       190  SH                     X       3                190
GOODYEAR TIRE & RUBR CO    COM         382550101       198    14,077  SH               X             3    14,057                 20
GRACO INC                  COM         384109104        82     2,855  SH                     X       3              2,855
GRACO INC                  COM         384109104       175     6,132  SH               X             3     2,027              4,105
GRAINGER W W INC           COM         384802104        36       375  SH                     X     1,3       375
GRAINGER W W INC           COM         384802104       334     3,450  SH               X           1,3     3,375       75
GRAINGER W W INC           COM         384802104       381     3,935  SH                     X       3       200    2,785       950
GRAINGER W W INC           COM         384802104     1,535    15,853  SH               X             3     8,331              7,522
GRAINGER W W INC           COM         384802104     4,619    47,700  SH               X             2    18,500             29,200
GREAT FL BK MIAMI LAKES    CL A        390528107        10    13,700  SH               X             3    13,700
GREENHILL & CO INC         COM         395259104        15       192  SH                     X       3       175       17
GREENHILL & CO INC         COM         395259104     1,589    19,801  SH               X             3    19,426      100       275
GROUP 1 AUTOMOTIVE INC     COM         398905109        71     2,500  SH                     X       3              2,500
GROUP 1 AUTOMOTIVE INC     COM         398905109       187     6,597  SH               X             3     3,127              3,470
GUESS INC                  COM         401617105        95     2,240  SH                     X       3              1,605       635
GUESS INC                  COM         401617105       188     4,446  SH               X             3     1,496              2,950
HSBC HLDGS PLC             SP ADR NEW  404280406       764    13,376  SH               X             3     7,953      468     4,955
HSBC HLDGS PLC             SP ADR NEW  404280406       821    14,375  SH                     X       3             12,198     2,177
HAEMONETICS CORP           COM         405024100         1        20  SH                     X       3                 20
HAEMONETICS CORP           COM         405024100       488     8,855  SH               X             3     7,482              1,373
HAEMONETICS CORP           COM         405024100     1,666    30,200  SH               X             2    30,200
HALLIBURTON CO             COM         406216101       220     7,305  SH                     X       3              6,330       975
HALLIBURTON CO             COM         406216101     1,684    55,940  SH               X             3    55,462       80       398
HALLIBURTON CO             COM         406216101    15,542   516,520  SH               X             2   319,620            196,900
HANOVER INS GROUP INC      COM         410867105       660    14,860  SH               X             3    12,437              2,423
HANOVER INS GROUP INC      COM         410867105     2,530    56,942  SH               X             2    56,942
HANSEN NAT CORP            COM         411310105        80     2,087  SH                     X       3       350    1,737
HANSEN NAT CORP            COM         411310105     2,188    56,977  SH               X             3    55,478      800       699
HARLEY DAVIDSON INC        COM         412822108       143     5,690  SH                     X       3       800    4,890
HARLEY DAVIDSON INC        COM         412822108       956    37,948  SH               X             3    37,948
HARMAN INTL INDS INC       COM         413086109        17       483  SH                     X       3                483
HARMAN INTL INDS INC       COM         413086109       263     7,446  SH               X             3     7,446
HARRIS CORP DEL            COM         413875105        32       683  SH                     X       3                683
HARRIS CORP DEL            COM         413875105     2,207    46,415  SH               X             3    46,320                 95
HARTE-HANKS INC            COM         416196103       106     9,875  SH                     X       3              9,875
HARTE-HANKS INC            COM         416196103       203    18,796  SH               X             3     5,056             13,740





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
HARTFORD FINLSVCS GR IN    COM         416515104         7       300  SH                     X     1,3       300
HARTFORD FINLSVCS GR IN    COM         416515104       109     4,671  SH                     X       3              1,021     3,650
HARTFORD FINLSVCS GR IN    COM         416515104       644    27,654  SH               X             3    24,754              2,900
HARTFORD FINLSVCS GR IN    COM         416515104     1,011    43,480  SH               X             2    43,480
HASBRO INC                 COM         418056107        22       676  SH                     X       3                676
HASBRO INC                 COM         418056107       212     6,599  SH               X             3     6,599
HEALTHCARE SVCS GRP INC    COM         421906108        58     2,705  SH                     X       3                325     2,380
HEALTHCARE SVCS GRP INC    COM         421906108       725    33,789  SH               X             3    27,114              6,675
HEALTHCARE SVCS GRP INC    COM         421906108     2,659   123,900  SH               X             2   123,900
HEALTHSOUTH CORP           COM NEW     421924309       214    11,400  SH               X             3    11,400
HEALTH MGMT ASSOC INC      CL A        421933102         2       240  SH                     X       3                240
HEALTH MGMT ASSOC INC      CL A        421933102       692    95,294  SH               X             3    81,045             14,249
HEALTH MGMT ASSOC INC      CL A        421933102     2,326   319,900  SH               X             2   319,900
HEINZ H J CO               COM         423074103       689    16,124  SH                     X       3       200   13,766     2,158
HEINZ H J CO               COM         423074103     3,538    82,737  SH               X             3    81,364      311     1,062
HEINZ H J CO               COM         423074103     7,964   186,265  SH               X             2    73,565            112,700
HELMERICH & PAYNE INC      COM         423452101         2        42  SH                     X       3                 42
HELMERICH & PAYNE INC      COM         423452101       619    15,525  SH               X             3    13,039              2,486
HELMERICH & PAYNE INC      COM         423452101     2,190    54,893  SH               X             2    54,893
HENRY JACK & ASSOC INC     COM         426281101        23     1,000  SH               X           1,3     1,000
HENRY JACK & ASSOC INC     COM         426281101       262    11,323  SH               X             3     2,238              9,085
HENRY JACK & ASSOC INC     COM         426281101       472    20,400  SH                     X       3             20,400
HERSHEY CO                 COM         427866108         9       245  SH               X           1,3       245
HERSHEY CO                 COM         427866108        81     2,267  SH                     X       3              2,267
HERSHEY CO                 COM         427866108       258     7,209  SH               X             3     7,168       11        30
HEWLETT PACKARD CO         COM         428236103       118     2,300  SH                     X     1,3     1,500      800
HEWLETT PACKARD CO         COM         428236103     1,487    28,865  SH               X           1,3    28,865
HEWLETT PACKARD CO         COM         428236103     3,807    73,910  SH                     X       3    53,858   13,159     6,893
HEWLETT PACKARD CO         COM         428236103    12,362   239,990  SH               X             3   219,757    4,060    16,173
HEWLETT PACKARD CO         COM         428236103    40,281   782,013  SH               X             2   360,951            421,062
HILL ROM HLDGS INC         COM         431475102       208     8,670  SH               X             3     8,140                530
HOLLY CORP                 COMPAR$0.01 435758305        41     1,585  SH                     X       3                 60     1,525
HOLLY CORP                 COMPAR$0.01 435758305       160     6,229  SH               X             3     2,789              3,440
HOME DEPOT INC             COM         437076102        49     1,700  SH                     X     1,3     1,700
HOME DEPOT INC             COM         437076102       201     6,950  SH                     X       3     1,100    5,850
HOME DEPOT INC             COM         437076102       447    15,450  SH               X           1,3    15,200      250
HOME DEPOT INC             COM         437076102     3,137   108,430  SH               X             3   107,324      857       249
HOME DEPOT INC             COM         437076102     7,236   250,110  SH               X             2   115,110            135,000
HONDA MOTOR LTD            AMERN SH    438128308       128     3,788  SH                     X       3              1,386     2,402
HONDA MOTOR LTD            AMERN SH    438128308     1,159    34,194  SH               X             3    28,698              5,496
HONEYWELL INTL INC         COM         438516106        22       562  SH                     X     1,3       562
HONEYWELL INTL INC         COM         438516106        26       675  SH               X           1,3       675
HONEYWELL INTL INC         COM         438516106       467    11,910  SH                     X       3     2,786    7,924     1,200
HONEYWELL INTL INC         COM         438516106     3,018    77,000  SH               X             3    72,841      313     3,846
HONEYWELL INTL INC         COM         438516106    18,585   474,100  SH               X             2   229,200            244,900
HORMEL FOODS CORP          COM         440452100        45     1,182  SH                     X       3              1,182
HORMEL FOODS CORP          COM         440452100       198     5,154  SH               X             3     5,154
HORMEL FOODS CORP          COM         440452100       669    17,400  SH               X             2    17,400
HOSPIRA INC                COM         441060100        74     1,450  SH               X             2                        1,450
HOSPIRA INC                COM         441060100       149     2,929  SH                     X       3       891    2,038
HOSPIRA INC                COM         441060100       229     4,496  SH               X             3     4,466                 30
HUDSON CITY BANCORP        COM         443683107        17     1,262  SH                     X       3              1,262
HUDSON CITY BANCORP        COM         443683107       184    13,400  SH               X             2    13,400
HUDSON CITY BANCORP        COM         443683107     1,256    91,447  SH               X             3    91,232                215
HUMANA INC                 COM         444859102        12       267  SH                     X       3                267
HUMANA INC                 COM         444859102       497    11,308  SH               X             3    11,176                132
HUMANA INC                 COM         444859102     2,426    55,265  SH               X             2    54,665                600
HUNT J B TRANS SVCS INC    COM         445658107       143     4,418  SH                     X       3              4,418
HUNT J B TRANS SVCS INC    COM         445658107       298     9,236  SH               X             3     2,041              7,195
HUNT J B TRANS SVCS INC    COM         445658107     1,762    54,600  SH               X             2    54,600
HUNTINGTON BANCSHS INC     COM         446150104        89    24,445  SH               X             3    24,445
IMS HEALTH INC             COM         449934108        32     1,532  SH                     X       3              1,532
IMS HEALTH INC             COM         449934108       560    26,569  SH               X             3    24,869              1,700
ITT CORP NEW               COM         450911102        95     1,907  SH                     X       3       870      542       495
ITT CORP NEW               COM         450911102       811    16,296  SH               X             3    15,484       12       800
IHS INC                    CL A        451734107       202     3,682  SH               X             3       207              3,475
IHS INC                    CL A        451734107     1,672    30,500  SH               X             2    30,500
ILLINOIS TOOL WKS INC      COM         452308109       181     3,775  SH                     X     1,3     2,500    1,275
ILLINOIS TOOL WKS INC      COM         452308109     2,037    42,450  SH                     X       3     6,720   34,200     1,530
ILLINOIS TOOL WKS INC      COM         452308109     2,213    46,119  SH               X           1,3    45,919      200
ILLINOIS TOOL WKS INC      COM         452308109     2,893    60,288  SH               X             3    51,220    7,814     1,254
ILLUMINA INC               COM         452327109     1,841    60,000  SH               X             2    60,000
IMPERIAL OIL LTD           COM NEW     453038408        78     2,030  SH                     X       3                718     1,312
IMPERIAL OIL LTD           COM NEW     453038408       367     9,483  SH               X             3     7,110              2,373
INDIA FD INC               COM         454089103       194     6,309  SH               X             3     6,309
INDIA FD INC               COM         454089103       636    20,719  SH                     X       3             20,719
INFOSYS TECHNOL LTD        SPON ADR    456788108       239     4,329  SH                     X       3              2,626     1,703
INFOSYS TECHNOL LTD        SPON ADR    456788108       387     6,999  SH               X             3     3,263              3,736
INGRAM MICRO INC           CL A        457153104         1        85  SH                     X       3                 85
INGRAM MICRO INC           CL A        457153104       939    53,763  SH               X             3    44,831              8,932
INGRAM MICRO INC           CL A        457153104     3,481   199,482  SH               X             2   199,482
INNODATA ISOGEN INC        COM NEW     457642205     1,136   205,147  SH               X             3   170,373             34,774
INNODATA ISOGEN INC        COM NEW     457642205     4,406   795,300  SH               X             2   795,300
INSITUFORM TECH INC        CL A        457667103       535    23,519  SH               X             3    18,948              4,571
INSITUFORM TECH INC        CL A        457667103     3,160   139,100  SH               X             2   139,100
INTEGRATED DEVICE TECH     COM         458118106       680   105,150  SH               X             3    86,814             18,336
INTEGRATED DEVICE TECH     COM         458118106     4,504   696,100  SH               X             2   696,100
INTEL CORP                 COM         458140100        60     2,950  SH                     X     1,3     1,450    1,500
INTEL CORP                 COM         458140100       464    22,750  SH               X           1,3    22,750
INTEL CORP                 COM         458140100     2,517   123,369  SH                     X       3     4,795  113,934     4,640
INTEL CORP                 COM         458140100    23,251 1,139,751  SH               X             3 1,107,187   20,706    11,858
INTEL CORP                 COM         458140100    35,831 1,756,443  SH               X             2   797,343            959,100
IBM                        COM         459200101       193     1,475  SH                     X     1,3       775      700
IBM                        COM         459200101     2,218    16,945  SH               X           1,3    16,945
IBM                        COM         459200101     7,160    54,700  SH                     X       3    13,222   38,064     3,414
IBM                        COM         459200101    43,025   328,689  SH               X             3   304,355   10,329    14,005
IBM                        COM         459200101    46,916   358,412  SH               X             2   148,724            209,688
INTERNATIONAL GAME TECH    COM         459902102         9       458  SH                     X       3                458
INTERNATIONAL GAME TECH    COM         459902102        56     3,000  SH               X             2                        3,000
INTERNATIONAL GAME TECH    COM         459902102       329    17,545  SH               X             3    17,455       90
INTL PAPER CO              COM         460146103        43     1,600  SH               X           1,3     1,600
INTL PAPER CO              COM         460146103       394    14,710  SH                     X       3             13,935       775
INTL PAPER CO              COM         460146103       665    24,826  SH               X             3    24,826
INTL PAPER CO              COM         460146103     2,908   108,585  SH               X             2   108,585
INTERPUBLIC GR COS INC     COM         460690100         1       156  SH                     X       3                156





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
INTERPUBLIC GR COS INC     COM         460690100       963   130,532  SH               X             3   106,027             24,505
INTERPUBLIC GR COS INC     COM         460690100     3,760   509,419  SH               X             2   509,419
INTUIT                     COM         461202103        11       350  SH                     X       3                350
INTUIT                     COM         461202103        12       400  SH               X           1,3       400
INTUIT                     COM         461202103       322    10,481  SH               X             3     1,096              9,385
ISHARES INC                MSCI AUST   464286103        23     1,000  SH                     X       3              1,000
ISHARES INC                MSCI AUST   464286103       178     7,775  SH               X             3     7,775
ISHARES INC                MSCI BRAZIL 464286400       364     4,881  SH               X             3     4,881
ISHARES INC                MSCI BRAZIL 464286400       522     7,000  SH               X             2     7,000
ISHARES INC                MSCI BRAZIL 464286400       780    10,460  SH                     X       3             10,460
ISHARES INC                MSCI CDAIND 464286509       390    14,800  SH               X             3    14,800
ISHARES INC                MSCI CDAIND 464286509     2,419    91,870  SH                     X       3             91,870
ISHARES INC                MSCIEMUIND  464286608       300     8,000  SH               X             2     8,000
ISHARES INC                MSCIBRICIND 464286657       243     5,310  SH               X             3     5,310
ISHARES INC                MSCI PACJID 464286665       356     8,613  SH                     X       3              8,613
ISHARES INC                MSCI PACJID 464286665       393     9,500  SH               X             2     9,500
ISHARES INC                MSCI TAIWAN 464286731        21     1,590  SH               X             3     1,590
ISHARES INC                MSCI TAIWAN 464286731       624    48,075  SH                     X       3             48,075
ISHARES INC                MSCISKOREA  464286772        50     1,060  SH               X             3     1,060
ISHARES INC                MSCISKOREA  464286772       539    11,310  SH                     X       3             11,310
ISHARES INC                MSCISTHAFR  464286780        33       590  SH               X             3       590
ISHARES INC                MSCISTHAFR  464286780       194     3,470  SH                     X       3              3,470
ISHARES TR INDEX           LC GR IND   464287119       732    12,467  SH               X             3    12,467
ISHARES TR INDEX           LG COREIDX  464287127       232     3,620  SH               X             3     3,620
ISHARES TR INDEX           S&P 1500IND 464287150        35       690  SH                     X       3                690
ISHARES TR INDEX           S&P 1500IND 464287150       196     3,910  SH               X             3     3,910
ISHARES TR INDEX           DJSELDIVIND 464287168       446    10,155  SH                     X       3             10,155
ISHARES TR INDEX           DJSELDIVIND 464287168    14,709   334,989  SH               X             3   334,989
ISHARES TR INDEX           TIPS BD     464287176        18       175  SH               X           1,3       175
ISHARES TR INDEX           TIPS BD     464287176       667     6,421  SH                     X       3              6,421
ISHARES TR INDEX           TIPS BD     464287176     4,888    47,043  SH               X             3    46,653                390
ISHARES TR INDEX           FTSEXNHUA   464287184       302     7,142  SH                     X       3       132    7,010
ISHARES TR INDEX           FTSEXNHUA   464287184     1,773    41,949  SH               X             3    41,949
ISHARES TR INDEX           TRANAVE IDX 464287192       738     9,991  SH               X             3     9,991
ISHARES TR INDEX           S&P 500IND  464287200       778     6,955  SH                     X       3       224    6,731
ISHARES TR INDEX           S&P 500IND  464287200    19,460   174,042  SH               X             3   171,345      810     1,887
ISHARES TR INDEX           US AGG B    464287226       482     4,675  SH                     X       3       600    4,075
ISHARES TR INDEX           US AGG B    464287226     5,679    55,033  SH               X             3    54,733      300
ISHARES TR INDEX           MSCIEMERMKT 464287234       457    11,000  SH               X             2    11,000
ISHARES TR INDEX           MSCIEMERMKT 464287234     1,448    34,902  SH                     X       3    10,847   24,055
ISHARES TR INDEX           MSCIEMERMKT 464287234    23,559   567,691  SH               X             3   562,456      650     4,585
ISHARES TR INDEX           IBOXINVCPBD 464287242        15       142  SH               X           1,3       142
ISHARES TR INDEX           IBOXINVCPBD 464287242     1,655    15,890  SH                     X       3     5,050   10,840
ISHARES TR INDEX           IBOXINVCPBD 464287242    21,960   210,852  SH               X             3   210,852
ISHARES TR INDEX           S&P500 GR   464287309        52       905  SH               X           1,3       905
ISHARES TR INDEX           S&P500 GR   464287309       718    12,382  SH                     X       3     2,900    9,482
ISHARES TR INDEX           S&P500 GR   464287309    13,377   230,673  SH               X             3   216,373    3,800    10,500
ISHARES TR INDEX           S&P LTNAM40 464287390       430     9,000  SH               X             2     9,000
ISHARES TR INDEX           S&P 500VL   464287408       347     6,537  SH                     X       3       200    6,337
ISHARES TR INDEX           S&P 500VL   464287408     3,295    62,149  SH               X             3    57,149    5,000
ISHARES TR INDEX           7-10 YR     464287440         9        98  SH               X           1,3        98
ISHARES TR INDEX           7-10 YR     464287440       211     2,380  SH               X             3     2,380
ISHARES TR INDEX           1-3 YR      464287457        41       500  SH               X           1,3       500
ISHARES TR INDEX           1-3 YR      464287457       511     6,160  SH                     X       3              6,160
ISHARES TR INDEX           1-3 YR      464287457    13,983   168,554  SH               X             3   168,554
ISHARES TR INDEX           MSCIEAFEIDX 464287465        86     1,554  SH               X             2     1,554
ISHARES TR INDEX           MSCIEAFEIDX 464287465     3,659    66,189  SH                     X       3     4,469   60,538     1,182
ISHARES TR INDEX           MSCIEAFEIDX 464287465    45,579   824,518  SH               X             3   803,848   15,696     4,974
ISHARES TR INDEX           RUSS MC VL  464287473       196     5,298  SH                     X       3     1,224    4,074
ISHARES TR INDEX           RUSS MC VL  464287473     5,636   152,531  SH               X             3   148,612              3,919
ISHARES TR INDEX           RUSS MC GR  464287481       439     9,675  SH                     X       3     1,258    8,417
ISHARES TR INDEX           RUSS MC GR  464287481     8,943   197,237  SH               X             3   196,887                350
ISHARES TR INDEX           RUSS MC     464287499       576     6,982  SH                     X       3              6,982
ISHARES TR INDEX           RUSS MC     464287499    10,708   129,776  SH               X             3   125,519      250     4,007
ISHARES TR INDEX           S&P MC400   464287507         7        92  SH               X           1,3        92
ISHARES TR INDEX           S&P MC400   464287507     2,382    32,898  SH                     X       3     3,458   29,440
ISHARES TR INDEX           S&P MC400   464287507    13,366   184,594  SH               X             3   183,608      986
ISHARES TR INDEX           NASDQBIOIND 464287556       333     4,073  SH               X             3     4,073
ISHARES TR INDEX           COH&STRLTY  464287564        41       790  SH                     X       3                790
ISHARES TR INDEX           COH&STRLTY  464287564       729    13,880  SH               X             3    13,880
ISHARES TR INDEX           RUSS1000VAL 464287598        61     1,063  SH                     X       3              1,063
ISHARES TR INDEX           RUSS1000VAL 464287598     2,948    51,357  SH               X             3    51,167                190
ISHARES TR INDEX           S&P MC400GR 464287606        40       511  SH               X             2       511
ISHARES TR INDEX           S&P MC400GR 464287606       622     8,007  SH                     X       3     3,301    4,706
ISHARES TR INDEX           S&P MC400GR 464287606     6,855    88,219  SH               X             3    88,082       90        47
ISHARES TR INDEX           RUSS1000GRW 464287614       830    16,646  SH                     X       3     2,500   14,146
ISHARES TR INDEX           RUSS1000GRW 464287614    11,348   227,644  SH               X             3   227,314      330
ISHARES TR INDEX           RUSS 1000   464287622       265     4,330  SH                     X       3              4,330
ISHARES TR INDEX           RUSS 1000   464287622    14,361   234,231  SH               X             3   234,231
ISHARES TR INDEX           RUSL 2000VL 464287630       746    12,847  SH                     X       3     2,429   10,418
ISHARES TR INDEX           RUSL 2000VL 464287630     8,609   148,337  SH               X             3   148,222       75        40
ISHARES TR INDEX           RUSL 2000GR 464287648       660     9,699  SH                     X       3     1,428    8,271
ISHARES TR INDEX           RUSL 2000GR 464287648     7,651   112,400  SH               X             3   111,515      100       785
ISHARES TR INDEX           RUSS 2000   464287655        72     1,157  SH               X             2     1,157
ISHARES TR INDEX           RUSS 2000   464287655       854    13,671  SH                     X       3     2,614   11,057
ISHARES TR INDEX           RUSS 2000   464287655    18,809   301,229  SH               X             3   299,565    1,223       441
ISHARES TR INDEX           RUSS 3000   464287689       672    10,290  SH               X             3    10,290
ISHARES TR INDEX           DJ US UTILS 464287697       869    11,624  SH               X             3    10,828                796
ISHARES TR INDEX           DJ US UTILS 464287697        43       573  SH                     X       3       378      195
ISHARES TR INDEX           DJ US UTILS 464287697       188     2,512  SH               X             2     2,512
ISHARES TR INDEX           S&P MC VL   464287705        27       414  SH               X             2       414
ISHARES TR INDEX           S&P MC VL   464287705     3,020    45,801  SH                     X       3    39,355    6,446
ISHARES TR INDEX           S&P MC VL   464287705    12,089   183,337  SH               X             3   182,731      151       455
ISHARES TR INDEX           DJ US TLCM  464287713         5       251  SH                     X       3                251
ISHARES TR INDEX           DJ US TLCM  464287713       996    49,743  SH               X             3    49,743
ISHARES TR INDEX           DJUSTECHSEC 464287721       523     9,081  SH               X             3     8,826      250         5
ISHARES TR INDEX           DJ US RE    464287739       251     5,465  SH               X             3     5,465
ISHARES TR INDEX           DJUSHLTHCR  464287762        32       500  SH                     X       3                500
ISHARES TR INDEX           DJUSHLTHCR  464287762       227     3,563  SH               X             2     3,563
ISHARES TR INDEX           DJUSHLTHCR  464287762     2,680    41,987  SH               X             3    40,663       90     1,234
ISHARES TR INDEX           DJUSFINLSVC 464287770         2        38  SH                     X       3                 38
ISHARES TR INDEX           DJUSFINLSVC 464287770       324     6,032  SH               X             3     6,032
ISHARES TR INDEX           DJUSENERGY  464287796       547    16,459  SH               X             3    16,459
ISHARES TR INDEX           S&P SC 600  464287804        31       564  SH               X           1,3       564
ISHARES TR INDEX           S&P SC 600  464287804     1,070    19,562  SH                     X       3             19,562





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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 INDEX           S&P SC 600  464287804     4,790    87,540  SH               X             3    87,534                  6
ISHARES TR INDEX           DJUSBASMATL 464287838       613    10,235  SH               X             3     9,979      256
ISHARES TR INDEX           S&P EUROPL  464287861        89     2,290  SH                     X       3              2,290
ISHARES TR INDEX           S&P EUROPL  464287861       768    19,714  SH               X             3    19,714
ISHARES TR INDEX           S&P SC VAL  464287879       489     8,373  SH                     X       3     5,313    3,060
ISHARES TR INDEX           S&P SC VAL  464287879     4,164    71,324  SH               X             3    70,734      590
ISHARES TR INDEX           S&P SC GR   464287887       105     1,839  SH               X             3     1,839
ISHARES TR INDEX           S&P SC GR   464287887       173     3,020  SH                     X       3              3,020
ISHARES TR                 LC VL IND   464288109       594    11,121  SH               X             3    11,121
ISHARES TR                 MDCORE IND  464288208       331     4,855  SH               X             3     4,855
ISHARES TR                 MG INDX     464288307       308     4,073  SH               X             3     4,073
ISHARES TR                 MV IND      464288406       551     8,519  SH               X             3     8,519
ISHARES TR                 S&PNATMUNB  464288414        62       600  SH                     X       3       600
ISHARES TR                 S&PNATMUNB  464288414     2,813    27,381  SH               X             3    26,506       95       780
ISHARES TR                 S CORE IND  464288505       407     5,770  SH               X             3     5,770
ISHARES TR                 HI YLDCORP  464288513     1,839    20,940  SH               X             3    20,940
ISHARES TR                 INTER GV    464288612        26       250  SH                     X       3       250
ISHARES TR                 INTER GV    464288612     1,095    10,401  SH               X             3    10,401
ISHARES TR                 INTER CR    464288638       106     1,030  SH                     X       3              1,030
ISHARES TR                 INTER CR    464288638     1,880    18,308  SH               X             3    18,108      200
ISHARES TR                 BRCLY1-3YR  464288646       312     3,000  SH               X             3     3,000
ISHARES TR                 USPFDSTK    464288687        67     1,820  SH                     X       3              1,820
ISHARES TR                 USPFDSTK    464288687     1,835    50,000  SH               X             3    48,410              1,590
ISHARES TR                 SC VAL IND  464288703     5,434    81,085  SH               X             3    81,085
ISHARES TR                 S&P GL UTIL 464288711       462     9,630  SH               X             3     9,630
ISHARES TR                 S&P GL UTIL 464288711       636    13,250  SH                     X       3             13,250
ISHARES TR                 DJ MD DVCS  464288810       304     5,730  SH               X             3     5,730
ISHARES TR                 MSCI VL IDX 464288877       397     7,880  SH                     X       3     1,301    6,579
ISHARES TR                 MSCI VL IDX 464288877     4,269    84,809  SH               X             3    84,731                 78
ISHARES TR                 MSCI GR IDX 464288885     1,242    22,531  SH                     X       3     1,156   21,375
ISHARES TR                 MSCI GR IDX 464288885     3,241    58,801  SH               X             3    58,077      261       463
ITAU UNIBANCO HLDG SA      SPONADRPFD  465562106         1        41  SH               X             3        41
ITAU UNIBANCO HLDG SA      SPONADRPFD  465562106       389    17,050  SH                     X       3             17,050
JACOBS ENGR GROUP INC      COM         469814107        20       530  SH                     X       3       150      380
JACOBS ENGR GROUP INC      COM         469814107        36       950  SH                     X     1,3       450      500
JACOBS ENGR GROUP INC      COM         469814107       448    11,925  SH               X           1,3    11,925
JACOBS ENGR GROUP INC      COM         469814107     1,113    29,608  SH               X             3    29,608
JACOBS ENGR GROUP INC      COM         469814107     2,321    61,700  SH               X             2    61,700
JARDEN CORP                COM         471109108     1,680    54,336  SH               X             3    45,013              9,323
JARDEN CORP                COM         471109108    11,686   378,080  SH               X             2   378,080
JOHNSON & JOHNSON          COM         478160104       174     2,700  SH                     X     1,3     1,500    1,200
JOHNSON & JOHNSON          COM         478160104     1,658    25,740  SH               X           1,3    25,190      550
JOHNSON & JOHNSON          COM         478160104     6,265    97,269  SH                     X       3    19,520   76,639     1,110
JOHNSON & JOHNSON          COM         478160104    37,865   587,874  SH               X             3   561,921   15,354    10,599
JOHNSON & JOHNSON          COM         478160104    40,001   621,037  SH               X             2   235,437            385,600
JOHNSON CTLS INC           COM         478366107        12       450  SH               X           1,3       450
JOHNSON CTLS INC           COM         478366107       805    29,550  SH               X             2    29,550
JOHNSON CTLS INC           COM         478366107     2,524    92,665  SH                     X       3    15,915   76,750
JOHNSON CTLS INC           COM         478366107     4,049   148,632  SH               X             3   124,101   22,100     2,431
JOURNAL COMM INC           CL A        481130102         1       300  SH                     X       3                300
JOURNAL COMM INC           CL A        481130102        39    10,000  SH               X             3    10,000
JOY GLOBAL INC             COM         481165108        11       222  SH                     X       3                222
JOY GLOBAL INC             COM         481165108       458     8,870  SH               X             3     7,035              1,835
JOY GLOBAL INC             COM         481165108     2,552    49,490  SH               X             2    49,490
KLA-TENCOR CORP            COM         482480100        13       353  SH                     X       3                353
KLA-TENCOR CORP            COM         482480100       461    12,752  SH               X             3    12,752
KLA-TENCOR CORP            COM         482480100     2,307    63,800  SH               X             2    63,800
KANSAS CITY SOUTHERN       COM NEW     485170302        97     2,898  SH               X             3     2,307                591
KANSAS CITY SOUTHERN       COM NEW     485170302       348    10,441  SH                     X       3             10,441
KANSAS CITY SOUTHERN       COM NEW     485170302     2,137    64,200  SH               X             2    64,200
KAYNEANDERSON MLP INV C    COM         486606106         6       255  SH                     X       3                255
KAYNEANDERSON MLP INV C    COM         486606106     3,825   152,748  SH               X             3   152,748
KELLOGG CO                 COM         487836108       132     2,475  SH                     X     1,3     1,450    1,025
KELLOGG CO                 COM         487836108       734    13,790  SH               X           1,3    13,690      100
KELLOGG CO                 COM         487836108     2,181    40,994  SH                     X       3     8,389   23,005     9,600
KELLOGG CO                 COM         487836108     6,791   127,647  SH               X             2    54,347             73,300
KELLOGG CO                 COM         487836108    13,225   248,592  SH               X             3   242,856    4,663     1,073
KENNAMETAL INC             COM         489170100     4,720   182,100  SH               X             2    70,800            111,300
KEYCORP NEW                COM         493267108        34     6,200  SH               X             2                        6,200
KEYCORP NEW                COM         493267108       188    33,950  SH               X             3    33,950
KIMBERLY CLARK CORP        COM         494368103       182     2,850  SH                     X     1,3     2,000      850
KIMBERLY CLARK CORP        COM         494368103       954    14,975  SH               X           1,3    14,975
KIMBERLY CLARK CORP        COM         494368103     3,615    56,742  SH                     X       3    16,802   35,679     4,261
KIMBERLY CLARK CORP        COM         494368103    11,422   179,290  SH               X             2    82,378             96,912
KIMBERLY CLARK CORP        COM         494368103    13,115   205,856  SH               X             3   177,178   11,436    17,242
KINDER MORGAN ENER PART    UT LTDPART  494550106       483     7,913  SH                     X       3       200    7,713
KINDER MORGAN ENER PART    UT LTDPART  494550106     1,009    16,548  SH               X             3    16,548
KING PHARMA INC            COM         495582108         6       526  SH                     X       3                526
KING PHARMA INC            COM         495582108       138    11,227  SH               X             3     8,727              2,500
KING PHARMA INC            COM         495582108     1,740   141,800  SH               X             2   141,800
KINROSS GOLD CORP          COM NO PAR  496902404        17       912  SH               X             3       912
KINROSS GOLD CORP          COM NO PAR  496902404       380    20,662  SH                     X       3             20,662
KIRBY CORP                 COM         497266106       117     3,370  SH                     X       3              3,370
KIRBY CORP                 COM         497266106       263     7,558  SH               X             3     2,915              4,643
KNOLL INC                  COM NEW     498904200        27     2,650  SH                     X       3                        2,650
KNOLL INC                  COM NEW     498904200        78     7,515  SH               X             3     3,155              4,360
KOHLS CORP                 COM         500255104        16       300  SH                     X     1,3                300
KOHLS CORP                 COM         500255104        47       875  SH               X           1,3       875
KOHLS CORP                 COM         500255104     1,534    28,449  SH                     X       3     2,050   25,649       750
KOHLS CORP                 COM         500255104     8,969   166,305  SH               X             2   113,105             53,200
KOHLS CORP                 COM         500255104    14,376   266,563  SH               X             3   246,304   11,681     8,578
KONINKLIJKEPHILIPSELECT    NY REG SH   500472303       436    14,813  SH               X             3    14,813
KOREA ELECTRIC PWR         SPON ADR    500631106        54     3,727  SH               X             3     3,727
KOREA ELECTRIC PWR         SPON ADR    500631106       287    19,710  SH                     X       3             19,710
KORN FERRY INTL            COM NEW     500643200        94     5,705  SH                     X       3              5,705
KORN FERRY INTL            COM NEW     500643200       181    10,950  SH               X             3     4,515              6,435
KRISPY KREME DOUGHNUTS     COM         501014104         0         1  SH               X             2                            1
KROGER CO                  COM         501044101        39     1,892  SH                     X       3              1,892
KROGER CO                  COM         501044101     1,744    84,937  SH               X             3    79,972       50     4,915
KROGER CO                  COM         501044101     3,371   164,221  SH               X             2   133,421             30,800
KUBOTA CORP                ADR         501173207       107     2,312  SH                     X       3                798     1,514
KUBOTA CORP                ADR         501173207       282     6,104  SH               X             3     2,724              3,380
LKQ CORP                   COM         501889208        24     1,200  SH                     X       3                275       925
LKQ CORP                   COM         501889208       284    14,515  SH               X             3     2,910             11,605
LSI CORPORATION            COM         502161102        28     4,663  SH                     X       3              2,013     2,650





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
LSI CORPORATION            COM         502161102       119    19,878  SH               X             3     6,698             13,180
LSI CORPORATION            COM         502161102     2,410   401,000  SH               X             2   401,000
L-3 COMM HLDGS INC         COM         502424104        59       675  SH                     X     1,3       400      275
L-3 COMM HLDGS INC         COM         502424104       135     1,557  SH                     X       3       365      612       580
L-3 COMM HLDGS INC         COM         502424104       621     7,142  SH               X             3     3,907              3,235
L-3 COMM HLDGS INC         COM         502424104       793     9,125  SH               X           1,3     9,125
LA Z BOY INC               COM         505336107         1       150  SH                     X       3                150
LA Z BOY INC               COM         505336107       412    43,236  SH               X             3    35,933              7,303
LA Z BOY INC               COM         505336107     1,572   165,000  SH               X             2   165,000
LANCASTER COLONY CORP      COM         513847103        47       945  SH                     X       3                 25       920
LANCASTER COLONY CORP      COM         513847103       188     3,775  SH               X             3     2,039              1,736
LAUDER ESTEE COS INC       CL A        518439104        53     1,099  SH                     X       3       100      999
LAUDER ESTEE COS INC       CL A        518439104       490    10,136  SH               X             3    10,006      100        30
LEGGETT & PLATT INC        COM         524660107        26     1,271  SH                     X       3              1,271
LEGGETT & PLATT INC        COM         524660107     2,128   104,322  SH               X             3   104,022                300
LEGG MASON INC             COM         524901105        28       937  SH                     X       3                437       500
LEGG MASON INC             COM         524901105       212     7,013  SH               X             3     7,008                  5
LENNAR CORP                CL A        526057104        16     1,272  SH                     X       3              1,272
LENNAR CORP                CL A        526057104        18     1,400  SH               X             2                        1,400
LENNAR CORP                CL A        526057104       293    22,934  SH               X             3    22,934
LEXMARK INTL NEW           CL A        529771107         3       110  SH                     X       3                110
LEXMARK INTL NEW           CL A        529771107       971    37,366  SH               X             3    36,356              1,010
LEXMARK INTL NEW           CL A        529771107     2,717   104,589  SH               X             2   104,589
LIBERTY ALL STAR EQ FD     SH BEN INT  530158104       114    26,220  SH                     X       3             26,220
LIBERTY ALL STAR EQ FD     SH BEN INT  530158104     5,194 1,199,565  SH               X             3 1,199,565
LIBERTY GLOBAL INC         COM SER A   530555101        26     1,192  SH                     X       3                        1,192
LIBERTY GLOBAL INC         COM SER A   530555101     1,070    48,844  SH               X             3    42,044              6,800
LIBERTY GLOBAL INC         COM SER A   530555101     4,366   199,493  SH               X             2   199,493
LIBERTY GLOBAL INC         COM SER C   530555309        46     2,121  SH                     X       3                        2,121
LIBERTY GLOBAL INC         COM SER C   530555309       164     7,523  SH               X             3     7,523
LILLY ELI & CO             COM         532457108         7       200  SH               X           1,3       200
LILLY ELI & CO             COM         532457108        39     1,100  SH               X             2                        1,100
LILLY ELI & CO             COM         532457108     5,159   144,465  SH               X             3   142,543    1,803       119
LILLY ELI & CO             COM         532457108     9,325   261,121  SH                     X       3   252,129    8,372       620
LIMITED BRANDS INC         COM         532716107        42     2,186  SH                     X       3              2,186
LIMITED BRANDS INC         COM         532716107     3,917   203,550  SH               X             3   203,180                370
LIMITED BRANDS INC         COM         532716107     7,254   377,055  SH               X             2   377,055
LINCOLN ELEC HLDGS INC     COM         533900106        21       390  SH                     X       3                          390
LINCOLN ELEC HLDGS INC     COM         533900106       240     4,493  SH               X             3     1,256              3,237
LINCOLN NATL CORP IND      COM         534187109       212     8,517  SH                     X       3              8,517
LINCOLN NATL CORP IND      COM         534187109     1,396    56,101  SH               X             3    56,101
LINCOLN NATL CORP IND      COM         534187109     3,250   130,650  SH               X             2   130,650
LINEAR TECHNOLOGY CORP     COM         535678106        30       983  SH                     X       3                428       555
LINEAR TECHNOLOGY CORP     COM         535678106     1,214    39,732  SH               X             3    39,617                115
LINN ENERGY LLC            UT LTD LIAB 536020100        28     1,000  SH               X           1,3     1,000
LINN ENERGY LLC            UT LTD LIAB 536020100       200     7,188  SH               X             3     7,188
LINN ENERGY LLC            UT LTD LIAB 536020100       312    11,200  SH                     X       3             11,200
LOCKHEED MARTIN CORP       COM         539830109        41       550  SH                     X     1,3       350      200
LOCKHEED MARTIN CORP       COM         539830109        50       660  SH               X             2       360                300
LOCKHEED MARTIN CORP       COM         539830109        51       675  SH               X           1,3       675
LOCKHEED MARTIN CORP       COM         539830109       488     6,475  SH                     X       3     1,400    4,825       250
LOCKHEED MARTIN CORP       COM         539830109     3,772    50,057  SH               X             3    49,063      261       733
LOEWS CORP                 COM         540424108        86     2,360  SH                     X       3              2,360
LOEWS CORP                 COM         540424108       406    11,165  SH               X             3    11,165
LORILLARD INC              COM         544147101         5        64  SH                     X       3                 64
LORILLARD INC              COM         544147101     1,289    16,071  SH               X             3    14,386              1,685
LORILLARD INC              COM         544147101     3,577    44,589  SH               X             2    44,589
LOWES COS INC              COM         548661107        55     2,350  SH                     X     1,3     1,200    1,150
LOWES COS INC              COM         548661107     1,037    44,322  SH               X           1,3    44,322
LOWES COS INC              COM         548661107     1,410    60,302  SH                     X       3    22,350   34,370     3,582
LOWES COS INC              COM         548661107     8,445   361,053  SH               X             2   249,203            111,850
LOWES COS INC              COM         548661107     9,976   426,513  SH               X             3   413,395   10,322     2,796
LUBRIZOL CORP              COM         549271104        26       350  SH                     X     1,3       350
LUBRIZOL CORP              COM         549271104       112     1,542  SH                     X       3              1,542
LUBRIZOL CORP              COM         549271104       146     2,000  SH               X           1,3     2,000
LUBRIZOL CORP              COM         549271104       227     3,114  SH               X             3     1,602              1,512
LUCAS ENERGY INC           COM NEW     549333201        29    47,500  SH               X             3    47,500
LULULEMON ATHLETICA INC    COM         550021109         9       300  SH                     X       3                300
LULULEMON ATHLETICA INC    COM         550021109       494    16,398  SH               X             3    16,398
MDU RES GROUP INC          COM         552690109       305    12,925  SH                     X       3             12,925
MDU RES GROUP INC          COM         552690109     2,870   121,629  SH               X             3    80,484   39,825     1,320
MSC INDL DIRECT INC        CL A        553530106         2        36  SH                     X       3                 36
MSC INDL DIRECT INC        CL A        553530106       109     2,316  SH               X             3     1,678                638
MSC INDL DIRECT INC        CL A        553530106     1,603    34,100  SH               X             2    34,100
MACK CALI RLTY CORP        COM         554489104        26       765  SH                     X       3                 50       715
MACK CALI RLTY CORP        COM         554489104       728    21,054  SH               X             3    18,908              2,146
MACK CALI RLTY CORP        COM         554489104     2,446    70,744  SH               X             2    70,744
MAGELLANMIDSTRPRTNRS LP    COMUT RP LP 559080106       233     5,375  SH               X             3     4,600                775
MAGNA INTL INC             CL A        559222401        48       946  SH               X             3       946
MAGNA INTL INC             CL A        559222401       231     4,567  SH                     X       3              4,567
MAGYAR TELEKOM P           SPON ADR    559776109        61     3,196  SH                     X       3              1,224     1,972
MAGYAR TELEKOM P           SPON ADR    559776109       157     8,227  SH               X             3     3,728              4,499
MAIDENFORM BRANDS INC      COM         560305104         1        55  SH                     X       3                 55
MAIDENFORM BRANDS INC      COM         560305104       172    10,294  SH               X             3    10,294
MANITOWOC INC              COM         563571108        39     3,950  SH                     X       3              3,950
MANITOWOC INC              COM         563571108       542    54,368  SH               X             3    54,368
MARATHON OIL CORP          COM         565849106       235     7,520  SH                     X       3              4,789     2,731
MARATHON OIL CORP          COM         565849106     3,103    99,410  SH               X             2    99,410
MARATHON OIL CORP          COM         565849106     3,110    99,601  SH               X             3    99,194      116       291
MARCUS CORP                COM         566330106        22     1,740  SH               X             3     1,740
MARCUS CORP                COM         566330106       270    21,040  SH                     X       3       300   19,050     1,690
MARSH&MCLENNAN COS INC     COM         571748102       265    12,000  SH               X             2     9,000              3,000
MARSHALL & ILSLEY CORP     COM         571837103        15     2,676  SH               X           1,3                        2,676
MARSHALL & ILSLEY CORP     COM         571837103       279    51,134  SH               X             2                       51,134
MARSHALL & ILSLEY CORP     COM         571837103     7,705 1,413,781  SH                     X       3    91,126  421,073   901,582
MARSHALL & ILSLEY CORP     COM         571837103    29,163 5,350,999  SH               X             3 3,109,194   39,025 2,202,780
MARTEK BIOSCIENCES CORP    COM         572901106     1,372    72,381  SH               X             3    60,157             12,224
MARTEK BIOSCIENCES CORP    COM         572901106     5,251   277,100  SH               X             2   277,100
MASCO CORP                 COM         574599106       144    10,445  SH               X             3    10,365                 80
MASSEY ENERGY CORP         COM         576206106       263     6,258  SH                     X       3       891    1,650     3,717
MASSEY ENERGY CORP         COM         576206106       859    20,457  SH               X             3     7,945             12,512
MATTEL INC                 COM         577081102       204    10,230  SH                     X       3              5,559     4,671
MATTEL INC                 COM         577081102       251    12,570  SH               X             3    12,510                 60
MAXIMUS INC                COM         577933104       951    19,020  SH               X             3    18,325                695
MCAFEE INC                 COM         579064106       396     9,753  SH                     X       3     1,513    2,807     5,433





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
MCAFEE INC                 COM         579064106     1,841    45,373  SH               X             3    17,512             27,861
MCAFEE INC                 COM         579064106     2,621    64,600  SH               X             2    64,600
MCDERMOTT INTL INC         COM         580037109     1,801    75,000  SH               X             2    75,000
MCDONALDS CORP             COM         580135101       106     1,700  SH                     X     1,3       850      850
MCDONALDS CORP             COM         580135101     1,683    26,956  SH               X           1,3    26,956
MCDONALDS CORP             COM         580135101     2,859    45,785  SH                     X       3    23,000   22,485       300
MCDONALDS CORP             COM         580135101    19,701   315,512  SH               X             2   120,012            195,500
MCDONALDS CORP             COM         580135101    20,533   328,848  SH               X             3   324,702    2,610     1,536
MCGRATH RENTCORP           COM         580589109    11,497   514,174  SH               X           1,3   514,174
MCGRAW HILL COS INC        COM         580645109       318     9,501  SH                     X       3              6,351     3,150
MCGRAW HILL COS INC        COM         580645109     2,932    87,510  SH               X             3    48,166    5,732    33,612
MCMORAN EXPLORATION CO     COM         582411104       889   110,907  SH               X             3    92,304             18,603
MCMORAN EXPLORATION CO     COM         582411104     6,392   797,000  SH               X             2   797,000
MEADWESTVACO CORP          COM         583334107        86     2,987  SH                     X       3              2,987
MEADWESTVACO CORP          COM         583334107     1,458    50,912  SH               X             3    46,232              4,680
MEADWESTVACO CORP          COM         583334107     3,643   127,247  SH               X             2   127,247
MEDICIS PHARMA CORP        CL A NEW    584690309         2        82  SH                     X       3                 82
MEDICIS PHARMA CORP        CL A NEW    584690309       699    25,859  SH               X             3    20,844              5,015
MEDICIS PHARMA CORP        CL A NEW    584690309     4,174   154,300  SH               X             2   154,300
MEDTRONIC INC              COM         585055106        65     1,475  SH                     X     1,3     1,400       75
MEDTRONIC INC              COM         585055106       473    10,750  SH               X           1,3    10,600      150
MEDTRONIC INC              COM         585055106       830    18,865  SH                     X       3       300   18,565
MEDTRONIC INC              COM         585055106     8,072   183,538  SH               X             2    63,138            120,400
MEDTRONIC INC              COM         585055106    12,674   288,169  SH               X             3   277,279    7,806     3,084
MERCK & CO INC             COM         589331107     1,287    35,223  SH               X             2    11,534             23,689
MEREDITH CORP              COM         589433101       163     5,272  SH                     X       3              5,272
MEREDITH CORP              COM         589433101       691    22,410  SH               X             3    16,225              6,185
MERGE HEALTHCARE INC       COM         589499102     1,441   428,797  SH               X             3   355,894             72,903
MERGE HEALTHCARE INC       COM         589499102     5,566 1,656,500  SH               X             2 1,656,500
METTLER TOLEDO INTRNTL     COM         592688105       184     1,754  SH                     X       3                637     1,117
METTLER TOLEDO INTRNTL     COM         592688105       596     5,670  SH               X             3     3,673              1,997
METTLER TOLEDO INTRNTL     COM         592688105     2,026    19,300  SH               X             2    19,300
MICROS SYS INC             COM         594901100        13       415  SH                     X       3       161      254
MICROS SYS INC             COM         594901100       328    10,569  SH               X             3     2,434              8,135
MICROSOFT CORP             COM         594918104        15       500  SH                     X     1,3                500
MICROSOFT CORP             COM         594918104       163     5,350  SH               X           1,3     5,350
MICROSOFT CORP             COM         594918104     5,992   196,579  SH                     X       3    29,632  158,405     8,542
MICROSOFT CORP             COM         594918104    42,084 1,380,689  SH               X             3 1,308,918   45,029    26,742
MICROSOFT CORP             COM         594918104    61,722 2,024,986  SH               X             2   849,386          1,175,600
MICROCHIP TECH INC         COM         595017104        38     1,311  SH                     X       3              1,311
MICROCHIP TECH INC         COM         595017104        91     3,135  SH               X             2     3,135
MICROCHIP TECH INC         COM         595017104     1,617    55,660  SH               X             3    55,305                355
MICRON TECHNOLOGY INC      COM         595112103     7,924   750,400  SH               X             2   300,300            450,100
MIDCAP SPDR TR             UNIT SER 1  595635103        13       100  SH                     X     1,3                100
MIDCAP SPDR TR             UNIT SER 1  595635103        20       150  SH               X           1,3       150
MIDCAP SPDR TR             UNIT SER 1  595635103     1,101     8,356  SH                     X       3       724    7,632
MIDCAP SPDR TR             UNIT SER 1  595635103    16,142   122,528  SH               X             3   120,704    1,793        31
MIDDLEBY CORP              COM         596278101        21       432  SH                     X       3       120      312
MIDDLEBY CORP              COM         596278101     1,099    22,415  SH               X             3    18,663              3,752
MIDDLEBY CORP              COM         596278101     6,147   125,400  SH               X             2   125,400
MIDWEST BANC HLDGS INC     COM         598251106         9    26,247  SH               X           1,3    26,247
MILLIPORE CORP             COM         601073109         4        55  SH                     X       3                 55
MILLIPORE CORP             COM         601073109       459     6,345  SH               X             3     6,330                 15
MINDRAY MED INTL LTD       SPON ADR    602675100        99     2,920  SH               X             3       940              1,980
MINDRAY MED INTL LTD       SPON ADR    602675100       407    11,995  SH                     X       3             11,500       495
MITSUBISHI UFJFINLGR IN    SPON ADR    606822104        58    11,726  SH               X             3    11,321                405
MOLEX INC                  CL A        608554200       181     9,475  SH                     X       3              7,975     1,500
MOLEX INC                  CL A        608554200       244    12,775  SH               X             3     2,220             10,555
MOODYS CORP                COM         615369105        61     2,275  SH                     X       3              2,275
MOODYS CORP                COM         615369105       220     8,210  SH               X             3     8,210
MORGAN STANLEY             COM NEW     617446448       125     4,232  SH                     X       3       156    3,608       468
MORGAN STANLEY             COM NEW     617446448     3,185   107,600  SH               X             3   107,345                255
MORGAN STANLEY             COM NEW     617446448     5,403   182,545  SH               X             2   182,545
MOTOROLA INC               COM         620076109       214    27,641  SH                     X       3     3,100    4,250    20,291
MOTOROLA INC               COM         620076109       354    45,643  SH               X             3    45,428                215
MOTOROLA INC               COM         620076109     1,368   176,300  SH               X             2   176,300
MURPHY OIL CORP            COM         626717102       377     6,949  SH                     X       3              6,949
MURPHY OIL CORP            COM         626717102       489     9,021  SH               X             3     9,021
MYLAN INC                  COM         628530107        11       597  SH                     X       3                597
MYLAN INC                  COM         628530107       125     6,773  SH               X             3     3,221              3,552
MYLAN INC                  COM         628530107     3,081   167,200  SH               X             2   167,200
NYSE EURONEXT              COM         629491101        16       639  SH                     X       3                639
NYSE EURONEXT              COM         629491101     1,251    49,450  SH               X             3    49,230       60       160
NYSE EURONEXT              COM         629491101     6,618   261,580  SH               X             2   111,380            150,200
NATIONAL OILWELL VARCO     COM         637071101       409     9,279  SH                     X       3     5,950      504     2,825
NATIONAL OILWELL VARCO     COM         637071101     2,113    47,939  SH               X             3    47,314      600        25
NATIONAL OILWELL VARCO     COM         637071101     4,415   100,130  SH               X             2   100,130
NATIONAL PRESTO INDS       COM         637215104       109     1,000  SH               X             3       675                325
NATIONAL PRESTO INDS       COM         637215104       215     1,966  SH                     X       3              1,966
NATIONAL SEMICOND CORP     COM         637640103       115     7,515  SH                     X       3       400    7,115
NATIONAL SEMICOND CORP     COM         637640103       157    10,243  SH               X             2    10,243
NATIONAL SEMICOND CORP     COM         637640103     3,135   204,098  SH               X             3   197,666    1,500     4,932
NEOGEN CORP                COM         640491106       501    21,208  SH               X             3    18,349              2,859
NEOGEN CORP                COM         640491106     1,539    65,175  SH               X             2    65,175
NEW ORIENT ED&TECH GR I    SPON ADR    647581107       656     8,678  SH                     X       3       600    5,726     2,352
NEW ORIENT ED&TECH GR I    SPON ADR    647581107       898    11,871  SH               X             3     3,996              7,875
NEW YORK TIMES CO          CL A        650111107        12       934  SH                     X       3                934
NEW YORK TIMES CO          CL A        650111107       141    11,439  SH               X             3    11,439
NEWFIELD EXPL CO           COM         651290108         3        52  SH                     X       3                 52
NEWFIELD EXPL CO           COM         651290108       973    20,161  SH               X             3    18,490              1,671
NEWFIELD EXPL CO           COM         651290108     2,902    60,180  SH               X             2    60,180
NEWMONT MINING CORP        COM         651639106        31       650  SH                     X     1,3       650
NEWMONT MINING CORP        COM         651639106        89     1,872  SH               X             2                        1,872
NEWMONT MINING CORP        COM         651639106       129     2,735  SH                     X       3              2,735
NEWMONT MINING CORP        COM         651639106       400     8,450  SH               X           1,3     8,300      150
NEWMONT MINING CORP        COM         651639106       606    12,809  SH               X             3    12,671       39        99
NICOR INC                  COM         654086107        10       248  SH                     X     1,3       248
NICOR INC                  COM         654086107       132     3,125  SH                     X       3     2,200      525       400
NICOR INC                  COM         654086107       693    16,465  SH               X             3    14,674              1,791
NIDEC CORP                 SPON ADR    654090109       160     6,915  SH                     X       3              2,473     4,442
NIDEC CORP                 SPON ADR    654090109       422    18,176  SH               X             3     8,157             10,019
NIKE INC                   CL B        654106103        81     1,225  SH                     X     1,3       500      725
NIKE INC                   CL B        654106103       129     1,957  SH               X             2     1,957
NIKE INC                   CL B        654106103       885    13,395  SH                     X       3     1,311    7,574     4,510
NIKE INC                   CL B        654106103     1,166    17,650  SH               X           1,3    17,650





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      ----------------------   --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR  OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)   MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
NIKE INC                   CL B        654106103    11,555   174,895  SH               X             3   156,658    3,185    15,052
NIPPON TELEG & TEL CORP    SPON ADR    654624105       116     5,863  SH               X             3     5,693                170
NIPPON TELEG & TEL CORP    SPON ADR    654624105       464    23,510  SH                     X       3             23,510
NOKIA CORP                 SPON ADR    654902204        10       800  SH               X             2                          800
NOKIA CORP                 SPON ADR    654902204       533    41,470  SH               X             3    29,725             11,745
NOKIA CORP                 SPON ADR    654902204       676    52,644  SH                     X       3    23,025   25,217     4,402
NOBLE ENERGY INC           COM         655044105       157     2,200  SH                     X       3                455     1,745
NOBLE ENERGY INC           COM         655044105     1,444    20,272  SH               X             3    17,747              2,525
NOBLE ENERGY INC           COM         655044105     5,172    72,614  SH               X             2    72,614
NORDSTROM INC              COM         655664100       433    11,509  SH                     X       3     1,974    3,136     6,399
NORDSTROM INC              COM         655664100     1,549    41,217  SH               X             3    26,301             14,916
NORFOLK SOUTHERN CORP      COM         655844108        10       200  SH               X             2                          200
NORFOLK SOUTHERN CORP      COM         655844108       373     7,107  SH                     X       3       200    6,392       515
NORFOLK SOUTHERN CORP      COM         655844108       598    11,412  SH               X             3    11,208      139        65
NORTHERN TR CORP           COM         665859104        24       450  SH                     X     1,3       300      150
NORTHERN TR CORP           COM         665859104        46       870  SH               X           1,3       870
NORTHERN TR CORP           COM         665859104       122     2,328  SH               X             2     2,328
NORTHERN TR CORP           COM         665859104     1,060    20,223  SH                     X       3     6,229   13,529       465
NORTHERN TR CORP           COM         665859104     8,057   153,764  SH               X             3   148,897    3,848     1,019
NORTHROP GRUMMAN CORP      COM         666807102        67     1,200  SH               X           1,3     1,200
NORTHROP GRUMMAN CORP      COM         666807102       254     4,541  SH                     X       3       200    2,997     1,344
NORTHROP GRUMMAN CORP      COM         666807102     1,272    22,786  SH               X             3    22,275      428        83
NORTHROP GRUMMAN CORP      COM         666807102     2,806    50,235  SH               X             2    50,235
NOVELL INC                 COM         670006105        52    12,445  SH               X             3    12,445
NOVELLUS SYS INC           COM         670008101        11       468  SH                     X       3                468
NOVELLUS SYS INC           COM         670008101       286    12,244  SH               X             3    12,244
NOVELLUS SYS INC           COM         670008101     4,754   203,700  SH               X             2    81,600            122,100
NUCOR CORP                 COM         670346105       319     6,846  SH                     X       3       465    5,956       425
NUCOR CORP                 COM         670346105     5,341   114,495  SH               X             3   111,056      665     2,774
NUCOR CORP                 COM         670346105     6,439   138,024  SH               X             2   138,024
NUVASIVE INC               COM         670704105         9       266  SH                     X       3                          266
NUVASIVE INC               COM         670704105       405    12,672  SH               X             3    10,562              2,110
NUVASIVE INC               COM         670704105     2,699    84,400  SH               X             2    84,400
NUVEEN MUN VALUE FD INC    COM         670928100        43     4,400  SH                     X       3              4,400
NUVEEN MUN VALUE FD INC    COM         670928100       221    22,800  SH               X             3    22,800
OCCIDENTAL PETE CORP       COM         674599105        57       700  SH               X           1,3       700
OCCIDENTAL PETE CORP       COM         674599105       490     6,024  SH                     X       3              5,644       380
OCCIDENTAL PETE CORP       COM         674599105     4,457    54,791  SH               X             3    54,379      107       305
OCCIDENTAL PETE CORP       COM         674599105    16,987   208,805  SH               X             2   106,105            102,700
OCEANEERING INTL INC       COM         675232102       138     2,364  SH               X             3     1,394                970
OCEANEERING INTL INC       COM         675232102       424     7,245  SH                     X       3              7,245
OFFICE DEPOT INC           COM         676220106         2       365  SH                     X       3                365
OFFICE DEPOT INC           COM         676220106       165    25,630  SH               X             3    25,630
OIL SVC HOLDRS TR          DEP RCPT    678002106       567     4,767  SH               X             3     4,767
OLD NATL BANCORP IND       COM         680033107        87     7,007  SH               X             3     7,007
OLD NATL BANCORP IND       COM         680033107       156    12,548  SH                     X       3             12,548
OLD REP INTL CORP          COM         680223104       172    17,120  SH                     X       3             17,120
OLD REP INTL CORP          COM         680223104       326    32,446  SH               X             3    17,822             14,624
OMNICOM GROUP INC          COM         681919106         4       100  SH                     X     1,3       100
OMNICOM GROUP INC          COM         681919106        31       800  SH               X           1,3       800
OMNICOM GROUP INC          COM         681919106       175     4,463  SH                     X       3              4,463
OMNICOM GROUP INC          COM         681919106       476    12,151  SH               X             3    11,397       49       705
ON SEMICONDUCTOR CORP      COM         682189105        16     1,894  SH               X             3     1,894
ON SEMICONDUCTOR CORP      COM         682189105     2,515   285,100  SH               X             2   285,100
ONEOK INC NEW              COM         682680103         2        40  SH                     X       3                 40
ONEOK INC NEW              COM         682680103       401     8,982  SH               X             3     8,229                753
ONEOK INC NEW              COM         682680103     2,868    64,355  SH               X             2    64,355
ONYX PHARMA INC            COM         683399109        37     1,250  SH                     X       3       100    1,150
ONYX PHARMA INC            COM         683399109     1,502    51,181  SH               X             3    50,941      240
O REILLY AUTOMOTIVE INC    COM         686091109         2        57  SH                     X       3                 57
O REILLY AUTOMOTIVE INC    COM         686091109       330     8,661  SH               X             3     1,776              6,885
O REILLY AUTOMOTIVE INC    COM         686091109     2,493    65,400  SH               X             2    65,400
OSHKOSH CORP               COM         688239201       654    17,651  SH               X             3    16,116              1,535
OSHKOSH CORP               COM         688239201     1,047    28,270  SH                     X       3             28,270
OWENS & MINOR INC NEW      COM         690732102        66     1,527  SH                     X       3                 47     1,480
OWENS & MINOR INC NEW      COM         690732102       220     5,131  SH               X             3     2,335              2,796
PNC FINL SVCS GROUP INC    COM         693475105       120     2,266  SH                     X       3              2,266
PNC FINL SVCS GROUP INC    COM         693475105     2,804    53,105  SH               X             3    52,863       55       187
PNC FINL SVCS GROUP INC    COM         693475105     9,555   181,010  SH               X             2   100,510             80,500
POSCO                      SPON ADR    693483109       144     1,100  SH                     X       3                382       718
POSCO                      SPON ADR    693483109       387     2,953  SH               X             3     1,340              1,613
PPG INDS INC               COM         693506107       358     6,110  SH                     X       3     5,110    1,000
PPG INDS INC               COM         693506107     3,523    60,186  SH               X             3    57,084      144     2,958
PPG INDS INC               COM         693506107     4,555    77,815  SH               X             2    77,815
PACCAR INC                 COM         693718108       171     4,711  SH               X             2     4,711
PACCAR INC                 COM         693718108       340     9,385  SH                     X       3       200    9,185
PACCAR INC                 COM         693718108     6,562   180,921  SH               X             3   176,935    1,849     2,137
PACKAGING CORP AMER        COM         695156109        55     2,371  SH               X             3     1,766                605
PACKAGING CORP AMER        COM         695156109     1,381    60,000  SH                     X       3             60,000
PACKAGING CORP AMER        COM         695156109     6,993   303,900  SH               X             2   118,100            185,800
PALL CORP                  COM         696429307        12       328  SH                     X       3                328
PALL CORP                  COM         696429307       207     5,707  SH               X             3     5,531       43       133
PARK ELECTROCHEM CORP      COM         700416209        53     1,902  SH                     X       3                 32     1,870
PARK ELECTROCHEM CORP      COM         700416209       159     5,742  SH               X             3     2,662              3,080
PARKER HANNIFIN CORP       COM         701094104        34       625  SH                     X     1,3       625
PARKER HANNIFIN CORP       COM         701094104       155     2,886  SH                     X       3     1,332    1,249       305
PARKER HANNIFIN CORP       COM         701094104     1,332    24,710  SH               X             3    24,660       50
PARKER HANNIFIN CORP       COM         701094104     7,764   144,100  SH               X             2    91,750             52,350
PATTERSON COMPANIES INC    COM         703395103       188     6,725  SH                     X       3              6,725
PATTERSON COMPANIES INC    COM         703395103       352    12,563  SH               X             3     3,413              9,150
PAYCHEX INC                COM         704326107        18       600  SH               X           1,3       600
PAYCHEX INC                COM         704326107       555    18,116  SH                     X       3             18,116
PAYCHEX INC                COM         704326107       873    28,488  SH               X             3    28,449       39
PAYCHEX INC                COM         704326107     2,145    70,000  SH               X             2    70,000
PENGROWTH ENERGY TR        TR UT NEW   706902509       136    14,109  SH               X             3    14,109
PENNEY J C INC             COM         708160106       484    18,194  SH                     X       3             18,194
PENNEY J C INC             COM         708160106       573    21,518  SH               X             3    21,203       65       250
PENNEY J C INC             COM         708160106     7,296   274,200  SH               X             2   107,800            166,400
PEOPLES UNITED FINL INC    COM         712704105       182    10,925  SH               X             2    10,925
PEOPLES UNITED FINL INC    COM         712704105       184    11,021  SH                     X       3             11,021
PEOPLES UNITED FINL INC    COM         712704105     2,470   147,925  SH               X             3   147,190      185       550
PEPCO HOLDINGS INC         COM         713291102        29     1,725  SH                     X       3              1,325       400
PEPCO HOLDINGS INC         COM         713291102        35     2,095  SH               X             2     2,095
PEPCO HOLDINGS INC         COM         713291102     2,191   130,026  SH               X             3   129,529      140       357
PEPSI BOTTLING GR INC      COM         713409100        15       394  SH                     X       3                394





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
PEPSI BOTTLING GR INC      COM         713409100       564    15,032  SH               X             3    15,002                 30
PEPSICO INC                COM         713448108       172     2,825  SH                     X     1,3     2,025      800
PEPSICO INC                COM         713448108     1,333    21,917  SH               X           1,3    21,917
PEPSICO INC                COM         713448108     5,484    90,197  SH                     X       3    21,097   62,981     6,119
PEPSICO INC                COM         713448108    18,812   309,404  SH               X             3   281,102   15,946    12,356
PEPSICO INC                COM         713448108    28,898   475,300  SH               X             2   200,300            275,000
PERRIGO CO                 COM         714290103       357     8,951  SH               X             3     8,336                615
P T TELEKOM INDON          SPON ADR    715684106       220     5,500  SH               X             3     5,500
PETROHAWK ENERGY CORP      COM         716495106        27     1,139  SH                     X       3              1,139
PETROHAWK ENERGY CORP      COM         716495106       274    11,424  SH               X             3     9,519              1,905
PETROHAWK ENERGY CORP      COM         716495106     2,565   106,900  SH               X             2   106,900
PETSMART INC               COM         716768106       122     4,580  SH                     X       3              4,580
PETSMART INC               COM         716768106       255     9,553  SH               X             3     2,179              7,374
PFIZER INC                 COM         717081103        29     1,586  SH                     X     1,3     1,138      448
PFIZER INC                 COM         717081103       476    26,170  SH               X           1,3    26,170
PFIZER INC                 COM         717081103     5,104   280,613  SH                     X       3    39,235  226,168    15,210
PFIZER INC                 COM         717081103    19,545 1,074,499  SH               X             2   688,150            386,349
PFIZER INC                 COM         717081103    27,995 1,539,061  SH               X             3 1,480,454   41,858    16,749
PHILIP MORRIS INTL INC     COM         718172109        10       200  SH               X           1,3       200
PHILIP MORRIS INTL INC     COM         718172109     9,408   195,218  SH                     X       3    10,933  156,972    27,313
PHILIP MORRIS INTL INC     COM         718172109    24,028   498,595  SH               X             3   474,813    7,944    15,838
PHILIP MORRIS INTL INC     COM         718172109    24,316   504,584  SH               X             2   197,184            307,400
PIER 1 IMPORTS INC         COM         720279108       456    89,562  SH               X             3    74,320             15,242
PIER 1 IMPORTS INC         COM         720279108     1,771   347,900  SH               X             2   347,900
PIONEER NAT RES CO         COM         723787107         5       104  SH                     X       3                104
PIONEER NAT RES CO         COM         723787107       275     5,717  SH               X             3     5,717
PITNEY BOWES INC           COM         724479100        30     1,320  SH               X             2     1,320
PITNEY BOWES INC           COM         724479100        94     4,116  SH                     X       3              4,116
PITNEY BOWES INC           COM         724479100     2,369   104,089  SH               X             3   103,092      195       802
PLAINSALLAMERNPIPELIN L    UT LTDPART  726503105       460     8,696  SH               X             3     7,931                765
PLAINS EXPL& PRODTN CO     COM         726505100       198     7,157  SH                     X       3              7,157
PLAINS EXPL& PRODTN CO     COM         726505100       282    10,206  SH               X             3     9,332                874
PLEXUS CORP                COM         729132100        93     3,250  SH                     X       3              3,250
PLEXUS CORP                COM         729132100       133     4,676  SH               X             3     3,815                861
PLUM CREEK TIMBER CO IN    COM         729251108       105     2,775  SH               X             2     2,775
PLUM CREEK TIMBER CO IN    COM         729251108       834    22,090  SH                     X       3     2,050   19,690       350
PLUM CREEK TIMBER CO IN    COM         729251108     2,779    73,599  SH               X             3    70,552      298     2,749
POLO RALPH LAUREN CORP     CL A        731572103         8        97  SH                     X       3                 97
POLO RALPH LAUREN CORP     CL A        731572103       301     3,716  SH               X             3     3,716
POPULAR INC                COM         733174106       374   165,500  SH               X             2                      165,500
POWELL INDS INC            COM         739128106       416    13,200  SH                     X       3             13,200
POWER INTEGRATIONS INC     COM         739276103         5       125  SH                     X       3                125
POWER INTEGRATIONS INC     COM         739276103       799    21,974  SH               X             3    18,336              3,638
POWER INTEGRATIONS INC     COM         739276103     5,381   148,000  SH               X             2   148,000
PRECISIONCASTPARTS CORP    COM         740189105       116     1,055  SH               X             3       363                692
PRECISIONCASTPARTS CORP    COM         740189105       120     1,091  SH                     X       3              1,091
PRICELINE COM INC          COM NEW     741503403       104       474  SH                     X       3                 34       440
PRICELINE COM INC          COM NEW     741503403       299     1,368  SH               X             3     1,093                275
PROCTER & GAMBLE CO        COM         742718109       166     2,742  SH                     X     1,3     1,842      900
PROCTER & GAMBLE CO        COM         742718109     2,005    33,077  SH               X           1,3    33,077
PROCTER & GAMBLE CO        COM         742718109     8,180   134,923  SH                     X       3    21,235  107,990     5,698
PROCTER & GAMBLE CO        COM         742718109    43,326   714,584  SH               X             2   288,965            425,619
PROCTER & GAMBLE CO        COM         742718109    43,363   715,213  SH               X             3   682,268   17,221    15,724
PROGRESS ENERGY INC        COM         743263105         5       124  SH               X           1,3       124
PROGRESS ENERGY INC        COM         743263105       157     3,839  SH                     X       3       100    1,584     2,155
PROGRESS ENERGY INC        COM         743263105       178     4,340  SH               X             2     4,340
PROGRESS ENERGY INC        COM         743263105     3,792    92,462  SH               X             3    90,568      526     1,368
PROGRESSIVE CORP OHIO      COM         743315103       183    10,183  SH                     X       3              7,211     2,972
PROGRESSIVE CORP OHIO      COM         743315103     2,202   122,381  SH               X             3   119,651    2,730
PROLOGIS                   SH BEN INT  743410102         4       284  SH                     X       3                284
PROLOGIS                   SH BEN INT  743410102       448    32,719  SH               X             3    32,719
PROTECTIVE LIFE CORP       COM         743674103       131     7,925  SH                     X       3              7,925
PROTECTIVE LIFE CORP       COM         743674103       801    48,387  SH               X             3    39,012              9,375
PROTECTIVE LIFE CORP       COM         743674103     2,354   142,248  SH               X             2   142,248
PRUDENTIAL FINL INC        COM         744320102        30       594  SH                     X       3       143      451
PRUDENTIAL FINL INC        COM         744320102       327     6,570  SH               X           1,3     6,570
PRUDENTIAL FINL INC        COM         744320102       911    18,309  SH               X             3    18,284                 25
PUBLIC SVC ENT GROUP       COM         744573106       380    11,440  SH                     X       3              7,958     3,482
PUBLIC SVC ENT GROUP       COM         744573106       751    22,579  SH               X             3    20,549              2,030
PULTE HOMES INC            COM         745867101         1       101  SH                     X       3                101
PULTE HOMES INC            COM         745867101       103    10,286  SH               X             3    10,286
PULTE HOMES INC            COM         745867101     3,122   312,200  SH               X             2   131,000            181,200
QLOGIC CORP                COM         747277101         8       440  SH                     X       3                440
QLOGIC CORP                COM         747277101       193    10,209  SH               X             3    10,209
QUALCOMM INC               COM         747525103        30       650  SH                     X     1,3       300      350
QUALCOMM INC               COM         747525103       374     8,075  SH               X           1,3     8,075
QUALCOMM INC               COM         747525103     1,700    36,747  SH                     X       3       510   34,862     1,375
QUALCOMM INC               COM         747525103    15,597   337,159  SH               X             3   326,483    7,611     3,065
QUALCOMM INC               COM         747525103    26,208   566,548  SH               X             2   277,148            289,400
QUANTUM CORP               COM DSSG    747906204     2,930 1,000,105  SH               X             3   832,198            167,907
QUANTUM CORP               COM DSSG    747906204    15,040 5,133,100  SH               X             2 5,133,100
QUESTAR CORP               COM         748356102        68     1,635  SH                     X       3              1,635
QUESTAR CORP               COM         748356102       284     6,843  SH               X             3     6,843
QWEST COMM INTL IN         COM         749121109         4       937  SH                     X       3                937
QWEST COMM INTL IN         COM         749121109       682   161,820  SH               X             3   161,820
QWEST COMM INTL IN         COM         749121109     2,727   647,757  SH               X             2   647,757
RPM INTL INC               COM         749685103        98     4,823  SH               X             3     2,863              1,960
RPM INTL INC               COM         749685103       229    11,250  SH                     X       3             11,250
RADIOSHACK CORP            COM         750438103         6       306  SH                     X       3                306
RADIOSHACK CORP            COM         750438103       192     9,831  SH               X             3     9,761                 70
RAYONIER INC               COM         754907103        85     2,007  SH               X             3     1,521                486
RAYONIER INC               COM         754907103       422    10,020  SH                     X       3             10,020
RAYTHEON CO                COM NEW     755111507        72     1,400  SH               X           1,3     1,400
RAYTHEON CO                COM NEW     755111507       137     2,660  SH                     X       3       249    2,411
RAYTHEON CO                COM NEW     755111507       978    18,983  SH               X             3    18,963                 20
RAYTHEON CO                COM NEW     755111507     1,365    26,500  SH               X             2    26,500
REALTY INCOME CORP         COM         756109104        87     3,372  SH                     X       3              3,372
REALTY INCOME CORP         COM         756109104       274    10,591  SH               X             3     9,946                645
REAVES UTIL INCOME FD      SH BEN INT  756158101        34     1,830  SH               X             3     1,830
REAVES UTIL INCOME FD      SH BEN INT  756158101       297    16,000  SH                     X       3             16,000
REGAL BELOIT CORP          COM         758750103       363     6,993  SH                     X       3              6,993
REGAL BELOIT CORP          COM         758750103     1,631    31,400  SH               X             2    31,400
REGAL BELOIT CORP          COM         758750103    31,004   596,929  SH               X             3   596,748                181
REGIS CORP MINN            COM         758932107        27     1,755  SH                     X       3                 65     1,690
REGIS CORP MINN            COM         758932107       141     9,024  SH               X             3     3,744              5,280





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
REINSURANCE GR AMER INC    COM NEW     759351604     1,050    22,039  SH               X             3    18,994              3,045
REINSURANCE GR AMER INC    COM NEW     759351604     4,220    88,559  SH               X             2    88,559
RELIANCE STEEL&ALUMINUM    COM         759509102       225     5,221  SH               X             3     4,467                754
RELIANCE STEEL&ALUMINUM    COM         759509102     2,581    59,710  SH               X             2    59,710
REPUBLIC SVCS INC          COM         760759100         1        43  SH                     X       3                 43
REPUBLIC SVCS INC          COM         760759100        13       450  SH               X           1,3       450
REPUBLIC SVCS INC          COM         760759100       484    17,079  SH               X             3    14,909              2,170
REPUBLIC SVCS INC          COM         760759100     1,872    66,144  SH               X             2    66,144
RESEARCH IN MOTION LTD     COM         760975102         8       125  SH                     X     1,3       125
RESEARCH IN MOTION LTD     COM         760975102       187     2,775  SH               X           1,3     2,775
RESEARCH IN MOTION LTD     COM         760975102       208     3,074  SH                     X       3       840    1,827       407
RESEARCH IN MOTION LTD     COM         760975102     1,678    24,846  SH               X             3    24,100      500       246
RESMED INC                 COM         761152107         4        80  SH                     X       3                 80
RESMED INC                 COM         761152107       436     8,348  SH               X             3     2,452              5,896
REX ENERGY CORPORATION     COM         761565100       463    38,530  SH               X             3    32,021              6,509
REX ENERGY CORPORATION     COM         761565100     1,772   147,700  SH               X             2   147,700
REYNOLDS AMERICAN INC      COM         761713106        74     1,398  SH                     X       3     1,000      398
REYNOLDS AMERICAN INC      COM         761713106     1,041    19,660  SH               X             2    19,660
REYNOLDS AMERICAN INC      COM         761713106     2,441    46,083  SH               X             3    45,337      173       573
RITE AID CORP              COM         767754104        17    11,025  SH               X             3    11,025
ROBERT HALF INTL INC       COM         770323103        13       505  SH                     X       3                505
ROBERT HALF INTL INC       COM         770323103       334    12,479  SH               X             3    12,479
ROCK-TENN CO               CL A        772739207         8       157  SH                     X       3                157
ROCK-TENN CO               CL A        772739207       414     8,207  SH               X             3     6,782              1,425
ROCKWELL AUTOMATION INC    COM         773903109       277     5,900  SH               X             2                        5,900
ROCKWELL AUTOMATION INC    COM         773903109       524    11,151  SH                     X       3       300    6,551     4,300
ROCKWELL AUTOMATION INC    COM         773903109     2,079    44,243  SH               X             3    17,374        7    26,862
ROCKWELL COLLINS INC       COM         774341101        83     1,500  SH               X             2                        1,500
ROCKWELL COLLINS INC       COM         774341101       171     3,084  SH                     X       3       300    2,784
ROCKWELL COLLINS INC       COM         774341101       530     9,575  SH               X             3     9,575
ROPER INDS INC NEW         COM         776696106         4        75  SH                     X       3                 75
ROPER INDS INC NEW         COM         776696106       346     6,609  SH               X             3     1,122              5,487
ROPER INDS INC NEW         COM         776696106     1,985    37,900  SH               X             2    37,900
ROSS STORES INC            COM         778296103        19       448  SH                     X       3                448
ROSS STORES INC            COM         778296103       240     5,623  SH               X             3     1,902              3,721
ROSS STORES INC            COM         778296103     4,147    97,100  SH               X             2    97,100
ROVI CORP                  COM         779376102         5       168  SH                     X       3                168
ROVI CORP                  COM         779376102       918    28,800  SH               X             3    23,451              5,349
ROVI CORP                  COM         779376102     5,150   161,600  SH               X             2   161,600
ROWAN COS INC              COM         779382100        10       445  SH                     X       3                445
ROWAN COS INC              COM         779382100       458    20,241  SH               X             3    20,191                 50
ROYALBKCDA MONTREAL QUE    COM         780087102       172     3,221  SH                     X       3              1,134     2,087
ROYALBKCDA MONTREAL QUE    COM         780087102       503     9,393  SH               X             3     4,543              4,850
ROYAL DUTCH SHELL PLC      SPON ADR B  780259107        54       937  SH               X             3       937
ROYAL DUTCH SHELL PLC      SPON ADR B  780259107       438     7,539  SH                     X       3              7,539
ROYAL DUTCH SHELL PLC      SPON ADR A  780259206        93     1,550  SH               X           1,3     1,550
ROYAL DUTCH SHELL PLC      SPON ADR A  780259206     1,045    17,390  SH                     X       3     8,960    7,880       550
ROYAL DUTCH SHELL PLC      SPON ADR A  780259206     4,196    69,798  SH               X             3    66,398    1,200     2,200
RUDDICK CORP               COM         781258108        84     3,250  SH                     X       3              3,250
RUDDICK CORP               COM         781258108       126     4,897  SH               X             3       482              4,415
RYANAIR HLDGS PLC          SPON ADR    783513104        97     3,624  SH                     X       3              1,253     2,371
RYANAIR HLDGS PLC          SPON ADR    783513104       340    12,671  SH               X             3     6,066              6,605
SAFEGUARD SCI INC          COM NEW     786449207     1,480   143,546  SH               X             3   119,513             24,033
SAFEGUARD SCI INC          COM NEW     786449207     5,730   555,800  SH               X             2   555,800
SAFEWAY INC                COM NEW     786514208         9       400  SH               X           1,3       400
SAFEWAY INC                COM NEW     786514208        72     3,389  SH                     X       3                        3,389
SAFEWAY INC                COM NEW     786514208     1,027    48,246  SH               X             3    42,436              5,810
SAFEWAY INC                COM NEW     786514208     3,253   152,785  SH               X             2   152,785
ST JUDE MED INC            COM         790849103       110     2,979  SH                     X       3              2,979
ST JUDE MED INC            COM         790849103       388    10,555  SH               X             3    10,085       48       422
ST MARY LD & EXPL CO       COM         792228108       551    16,105  SH                     X       3             14,735     1,370
ST MARY LD & EXPL CO       COM         792228108     3,676   107,362  SH               X             3    97,711              9,651
SANMINA SCI CORP           COM NEW     800907206       393    35,684  SH               X             3    29,632              6,052
SANMINA SCI CORP           COM NEW     800907206     1,517   137,500  SH               X             2   137,500
SAP AG                     SPON ADR    803054204       102     2,188  SH                     X       3                773     1,415
SAP AG                     SPON ADR    803054204       352     7,529  SH               X             3     3,417              4,112
SARA LEE CORP              COM         803111103        17     1,400  SH                     X     1,3     1,400
SARA LEE CORP              COM         803111103        24     2,000  SH               X           1,3     2,000
SARA LEE CORP              COM         803111103       128    10,529  SH                     X       3     1,600    8,929
SARA LEE CORP              COM         803111103       440    36,145  SH               X             3    32,015    3,900       230
SASOL LTD                  SPON ADR    803866300       232     5,800  SH                     X       3              5,800
SCANSOURCE INC             COM         806037107       115     4,317  SH                     X       3              4,317
SCANSOURCE INC             COM         806037107       211     7,916  SH               X             3     3,291              4,625
SCHEIN HENRY INC           COM         806407102        18       335  SH                     X       3                335
SCHEIN HENRY INC           COM         806407102       189     3,587  SH               X             3     2,320              1,267
SCHLUMBERGER LTD           COM         806857108        98     1,500  SH                     X     1,3     1,100      400
SCHLUMBERGER LTD           COM         806857108     1,242    19,075  SH               X           1,3    19,075
SCHLUMBERGER LTD           COM         806857108     2,015    30,951  SH                     X       3    14,763   14,688     1,500
SCHLUMBERGER LTD           COM         806857108     6,419    98,619  SH               X             3    81,642    1,132    15,845
SCHLUMBERGER LTD           COM         806857108    17,542   269,500  SH               X             2   111,200            158,300
SCHOOL SPECIALTY INC       COM         807863105     1,610    68,814  SH               X             3    68,814
SCHWAB CHARLES CORP NEW    COM         808513105        88     4,650  SH                     X     1,3     2,100    2,550
SCHWAB CHARLES CORP NEW    COM         808513105       115     6,103  SH               X             2     6,103
SCHWAB CHARLES CORP NEW    COM         808513105       487    25,898  SH                     X       3             25,898
SCHWAB CHARLES CORP NEW    COM         808513105     1,001    53,175  SH               X           1,3    53,175
SCHWAB CHARLES CORP NEW    COM         808513105     8,710   462,780  SH               X             3   447,040   12,653     3,087
SEARS HLDGS CORP           COM         812350106        26       310  SH                     X       3                216        94
SEARS HLDGS CORP           COM         812350106       589     7,055  SH               X             3     7,040                 15
SEMPRA ENERGY              COM         816851109        80     1,437  SH                     X       3              1,437
SEMPRA ENERGY              COM         816851109     1,331    23,775  SH               X             3    22,275              1,500
SEMPRA ENERGY              COM         816851109     2,405    42,963  SH               X             2    42,963
SHERWIN WILLIAMS CO        COM         824348106        71     1,144  SH                     X       3              1,144
SHERWIN WILLIAMS CO        COM         824348106       148     2,400  SH               X             2                        2,400
SHERWIN WILLIAMS CO        COM         824348106       232     3,768  SH               X             3     3,748                 20
SIEMENS A G                SPON ADR    826197501       375     4,088  SH               X             3     2,020              2,068
SIEMENS A G                SPON ADR    826197501       711     7,750  SH                     X       3              6,818       932
SIGMA ALDRICH CORP         COM         826552101       164     3,254  SH                     X       3              3,254
SIGMA ALDRICH CORP         COM         826552101     1,445    28,590  SH               X             3    21,995              6,595
SILICON LABS INC           COM         826919102        83     1,717  SH               X             3     1,423                294
SILICON LABS INC           COM         826919102     1,993    41,200  SH               X             2    41,200
SILGAN HOLDINGS INC        COM         827048109       199     3,439  SH                     X       3              3,439
SILGAN HOLDINGS INC        COM         827048109       214     3,700  SH               X             3     3,700
SIMON PPTY GR INC NEW      COM         828806109        60       755  SH                     X       3       655      100
SIMON PPTY GR INC NEW      COM         828806109     1,824    22,855  SH               X             3    22,503                352
SMITH A O                  COM         831865209       106     2,450  SH               X             3     2,450





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
SMITH A O                  COM         831865209       264     6,090  SH                     X       3              6,090
SMITH INTL INC             COM         832110100         3       102  SH                     X       3                102
SMITH INTL INC             COM         832110100       207     7,604  SH               X             3     2,169              5,435
SMUCKER J M CO             COM NEW     832696405       169     2,731  SH               X             3     2,731
SMUCKER J M CO             COM NEW     832696405       511     8,271  SH                     X       3              8,263         8
SNAP ON INC                COM         833034101        13       300  SH               X           1,3       300
SNAP ON INC                COM         833034101        90     2,122  SH               X             3     2,092                 30
SNAP ON INC                COM         833034101       387     9,160  SH                     X       3     7,800    1,360
SOCIEDAD QUIMICA MIN DE    SPADRSERB   833635105        99     2,624  SH                     X       3                922     1,702
SOCIEDAD QUIMICA MIN DE    SPADRSERB   833635105       266     7,072  SH               X             3     4,064              3,008
SOLUTIA INC                COM NEW     834376501       254    20,000  SH                     X       3             20,000
SOLUTIA INC                COM NEW     834376501     3,595   283,100  SH               X             2   283,100
SOLUTIA INC                COM NEW     834376501     4,213   331,721  SH               X             3   325,156              6,565
SONIC SOLUTIONS            COM         835460106     1,559   132,240  SH               X             3   108,562             23,678
SONIC SOLUTIONS            COM         835460106     5,959   505,400  SH               X             2   505,400
SONOCO PRODS CO            COM         835495102         3       100  SH                     X       3                100
SONOCO PRODS CO            COM         835495102        19       650  SH                     X     1,3       650
SONOCO PRODS CO            COM         835495102        82     2,800  SH               X           1,3     2,800
SONOCO PRODS CO            COM         835495102       175     5,971  SH               X             3     5,388                583
SOUTH FINL GROUP INC       COM         837841105        18    28,500  SH               X             3    28,500
SOUTH JERSEY INDS INC      COM         838518108        56     1,460  SH                     X       3                 30     1,430
SOUTH JERSEY INDS INC      COM         838518108       181     4,745  SH               X             3     1,983              2,762
SOUTHERN CO                COM         842587107        17       500  SH               X           1,3       500
SOUTHERN CO                COM         842587107        27       800  SH                     X     1,3       800
SOUTHERN CO                COM         842587107       306     9,195  SH               X             2     9,195
SOUTHERN CO                COM         842587107       751    22,540  SH                     X       3     2,202   15,568     4,770
SOUTHERN CO                COM         842587107     4,245   127,408  SH               X             3   121,821    3,216     2,371
SOUTHWEST AIRLS CO         COM         844741108         5       398  SH                     X       3                398
SOUTHWEST AIRLS CO         COM         844741108       396    34,677  SH               X             3    34,677
SOUTHWESTERN ENERGY CO     COM         845467109       153     3,166  SH                     X       3              3,166
SOUTHWESTERN ENERGY CO     COM         845467109     1,397    28,981  SH               X             3    22,718              6,263
SOUTHWESTERN ENERGY CO     COM         845467109     3,022    62,700  SH               X             2    62,700
SPECTRA ENERGY CORP        COM         847560109         6       300  SH               X           1,3       300
SPECTRA ENERGY CORP        COM         847560109       126     6,165  SH               X             2     6,165
SPECTRA ENERGY CORP        COM         847560109       162     7,892  SH                     X       3     3,102    4,390       400
SPECTRA ENERGY CORP        COM         847560109     2,631   128,299  SH               X             3   125,752      135     2,412
SPRINT NEXTEL CORP         COM SER 1   852061100       208    56,766  SH               X             3    56,766
STANCORP FINL GROUP INC    COM         852891100        36       890  SH                     X       3                          890
STANCORP FINL GROUP INC    COM         852891100       197     4,914  SH               X             3     1,861              3,053
STAPLES INC                COM         855030102        12       500  SH                     X     1,3       500
STAPLES INC                COM         855030102       123     5,000  SH               X           1,3     5,000
STAPLES INC                COM         855030102       648    26,366  SH                     X       3             26,366
STAPLES INC                COM         855030102     3,286   133,629  SH               X             2   132,205              1,424
STAPLES INC                COM         855030102     8,541   347,341  SH               X             3   334,023    5,240     8,078
STARBUCKS CORP             COM         855244109        27     1,150  SH                     X     1,3     1,150
STARBUCKS CORP             COM         855244109       412    17,850  SH               X           1,3    17,450      400
STARBUCKS CORP             COM         855244109       484    20,970  SH                     X       3             20,070       900
STARBUCKS CORP             COM         855244109       952    41,269  SH               X             3    41,148      121
STATE STR CORP             COM         857477103        80     1,836  SH                     X       3              1,451       385
STATE STR CORP             COM         857477103     2,088    47,963  SH               X             3    46,350              1,613
STATE STR CORP             COM         857477103     8,085   185,691  SH               X             2    93,091             92,600
STEEL DYNAMICS INC         COM         858119100         2       114  SH                     X       3                114
STEEL DYNAMICS INC         COM         858119100        82     4,625  SH               X             3     3,290              1,335
STEEL DYNAMICS INC         COM         858119100     2,272   128,200  SH               X             2   128,200
STERICYCLE INC             COM         858912108        25       450  SH                     X     1,3       450
STERICYCLE INC             COM         858912108        76     1,375  SH               X           1,3     1,250      125
STERICYCLE INC             COM         858912108       348     6,311  SH                     X       3     5,775      536
STERICYCLE INC             COM         858912108     1,146    20,776  SH               X             3    16,126              4,650
STRAYER ED INC             COM         863236105         3        16  SH                     X       3                 16
STRAYER ED INC             COM         863236105       299     1,405  SH               X             3       203              1,202
STRYKER CORP               COM         863667101        77     1,525  SH                     X     1,3       700      825
STRYKER CORP               COM         863667101       658    13,060  SH               X           1,3    13,060
STRYKER CORP               COM         863667101       893    17,729  SH                     X       3       786   14,364     2,579
STRYKER CORP               COM         863667101     9,482   188,241  SH               X             3    18,438       28   169,775
SUN MICROSYSTEMS INC       COM NEW     866810203        10     1,076  SH                     X       3        50    1,026
SUN MICROSYSTEMS INC       COM NEW     866810203       202    21,549  SH               X             3    20,749                800
SUNCOR ENERGY INC NEW      COM         867224107       312     8,834  SH                     X       3       500    6,524     1,810
SUNCOR ENERGY INC NEW      COM         867224107       347     9,822  SH               X             3     9,822
SUNTRUST BKS INC           COM         867914103       145     7,144  SH                     X       3              7,144
SUNTRUST BKS INC           COM         867914103       775    38,199  SH               X             3    38,199
SUPERTEX INC               COM         868532102     1,103    37,034  SH               X             3    30,842              6,192
SUPERTEX INC               COM         868532102     4,217   141,500  SH               X             2   141,500
SUPERVALU INC              COM         868536103         8       600  SH                     X       3       400      200
SUPERVALU INC              COM         868536103       170    13,413  SH               X             3    13,378                 35
SYBASE INC                 COM         871130100        11       247  SH                     X       3                247
SYBASE INC                 COM         871130100       208     4,778  SH               X             3     1,900              2,878
SYBASE INC                 COM         871130100     2,265    52,200  SH               X             2    52,200
SYKES ENTERPRISES INC      COM         871237103        14       541  SH                     X       3                541
SYKES ENTERPRISES INC      COM         871237103     1,012    39,721  SH               X             3    32,096              7,625
SYKES ENTERPRISES INC      COM         871237103     3,739   146,800  SH               X             2   146,800
SYMANTEC CORP              COM         871503108         6       327  SH                     X       3                327
SYMANTEC CORP              COM         871503108       401    22,413  SH               X             3    22,080      136       197
SYNOPSYS INC               COM         871607107       277    12,418  SH                     X       3     1,931    3,558     6,929
SYNOPSYS INC               COM         871607107     1,606    72,057  SH               X             3    38,371             33,686
SYNOPSYS INC               COM         871607107     2,544   114,215  SH               X             2   114,215
SYSCO CORP                 COM         871829107         6       200  SH               X           1,3       200
SYSCO CORP                 COM         871829107       154     5,505  SH               X             2     5,505
SYSCO CORP                 COM         871829107     1,083    38,762  SH                     X       3     1,860   31,197     5,705
SYSCO CORP                 COM         871829107     4,586   164,141  SH               X             3   112,491      247    51,403
TECO ENERGY INC            COM         872375100        10       600  SH                     X       3                600
TECO ENERGY INC            COM         872375100       220    13,538  SH               X             3    13,538
TJX COS INC NEW            COM         872540109       376    10,294  SH                     X       3     1,095    4,017     5,182
TJX COS INC NEW            COM         872540109     1,160    31,730  SH               X             3    14,441             17,289
TJX COS INC NEW            COM         872540109     3,341    91,400  SH               X             2    91,400
TAIWAN SEMICOND MFG LTD    SPON ADR    874039100       457    39,912  SH                     X       3     3,941   13,794    22,177
TAIWAN SEMICOND MFG LTD    SPON ADR    874039100     1,414   123,584  SH               X             3    55,169             68,415
TASEKO MINES LTD           COM         876511106       425   100,836  SH               X             3    83,754             17,082
TASEKO MINES LTD           COM         876511106     1,638   388,100  SH               X             2   388,100
TECHNE CORP                COM         878377100        29       429  SH               X             3       414                 15
TECHNE CORP                COM         878377100       344     5,018  SH                     X       3              5,018
TECK RESOURCES LTD         CL B        878742204        70     2,009  SH                     X       3              2,009
TECK RESOURCES LTD         CL B        878742204       163     4,675  SH               X             3     4,675
TEKELEC                    COM         879101103       347    22,732  SH               X             3    21,322              1,410
TELECOMCORP NEWZEAL LTD    SPON ADR    879278208        91    10,161  SH               X             3    10,161
TELEFLEX INC               COM         879369106        47       868  SH               X             3       546                322





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
TELEFLEX INC               COM         879369106       163     3,020  SH                     X       3              3,020
TELEFONICA S A             SPON ADR    879382208       169     2,024  SH                     X       3                908     1,116
TELEFONICA S A             SPON ADR    879382208       720     8,625  SH               X             3     6,763              1,862
TELLABS INC                COM         879664100         3       500  SH               X           1,3       500
TELLABS INC                COM         879664100        35     6,183  SH                     X       3              1,053     5,130
TELLABS INC                COM         879664100       111    19,468  SH               X             3    19,283                185
TEMPLE INLAND INC          COM         879868107        67     3,182  SH                     X       3                 42     3,140
TEMPLE INLAND INC          COM         879868107       343    16,256  SH               X             3     8,941              7,315
TERADYNE INC               COM         880770102        12     1,137  SH                     X       3              1,137
TERADYNE INC               COM         880770102       654    60,970  SH               X             3    52,008              8,962
TERADYNE INC               COM         880770102     8,826   822,600  SH               X             2   452,100            370,500
TERRA NITROGEN CO L P      COM UT      881005201       258     2,475  SH               X             3     2,475
TERREMARK WORLDWIDE INC    COM NEW     881448203       737   107,858  SH               X             3    89,549             18,309
TERREMARK WORLDWIDE INC    COM NEW     881448203     2,850   416,600  SH               X             2   416,600
TESORO CORP                COM         881609101        15     1,119  SH                     X       3              1,119
TESORO CORP                COM         881609101       259    19,126  SH               X             3    14,326              4,800
TEVA PHARMA INDS LTD       ADR         881624209         6       100  SH               X           1,3       100
TEVA PHARMA INDS LTD       ADR         881624209     1,249    22,239  SH                     X       3    11,420    7,055     3,764
TEVA PHARMA INDS LTD       ADR         881624209     3,330    59,281  SH               X             3    55,359              3,922
TEXAS INSTRS INC           COM         882508104       628    24,102  SH                     X       3        95   21,397     2,610
TEXAS INSTRS INC           COM         882508104     1,114    42,742  SH               X             3    39,875    2,717       150
TEXAS INSTRS INC           COM         882508104     8,884   340,900  SH               X             2   149,800            191,100
TEXTRON INC                COM         883203101        17       929  SH                     X       3                 29       900
TEXTRON INC                COM         883203101       247    13,121  SH               X             3    11,071              2,050
THERMO FISHER SCI INC      COM         883556102       619    12,977  SH                     X       3     1,830    3,670     7,477
THERMO FISHER SCI INC      COM         883556102     3,148    66,017  SH               X             3    43,508       45    22,464
THERMO FISHER SCI INC      COM         883556102     3,560    74,639  SH               X             2    74,639
THOMAS & BETTS CORP        COM         884315102        35       970  SH                     X       3                670       300
THOMAS & BETTS CORP        COM         884315102       944    26,374  SH               X             3    24,042              2,332
THOMAS & BETTS CORP        COM         884315102     2,984    83,372  SH               X             2    83,372
THORATEC CORP              COM NEW     885175307       716    26,596  SH               X             3    20,787              5,809
THORATEC CORP              COM NEW     885175307     2,393    88,900  SH               X             2    88,900
3COM CORP                  COM         885535104         1       187  SH                     X       3                187
3COM CORP                  COM         885535104        87    11,619  SH               X             3    11,389                230
TIDEWATER INC              COM         886423102        33       686  SH                     X       3                 36       650
TIDEWATER INC              COM         886423102       934    19,480  SH               X             3    16,563              2,917
TIDEWATER INC              COM         886423102     3,057    63,753  SH               X             2    63,753
TIME WARNER INC            COM NEW     887317303       418    14,332  SH                     X       3       100    9,031     5,201
TIME WARNER INC            COM NEW     887317303     5,862   201,169  SH               X             3   146,389      783    53,997
TIME WARNER INC            COM NEW     887317303    10,640   365,117  SH               X             2   191,434            173,683
TITANIUM METALS CORP       COM NEW     888339207         4       301  SH                     X       3                301
TITANIUM METALS CORP       COM NEW     888339207       304    24,279  SH               X             3    24,279
TOMOTHERAPY INC            COM         890088107     5,944 1,524,056  SH               X             3 1,524,056
TORCHMARK CORP             COM         891027104        12       281  SH                     X       3                281
TORCHMARK CORP             COM         891027104       370     8,413  SH               X             3     8,413
TORONTO DOMINION BK ONT    COM NEW     891160509       403     6,430  SH                     X       3              4,438     1,992
TORONTO DOMINION BK ONT    COM NEW     891160509       498     7,935  SH               X             3     3,602              4,333
TOWER GROUP INC            COM         891777104         7       285  SH                     X       3                285
TOWER GROUP INC            COM         891777104     1,218    52,022  SH               X             3    41,720             10,302
TOWER GROUP INC            COM         891777104     6,591   281,539  SH               X             2   281,539
TOTAL SYS SVCS INC         COM         891906109        60     3,473  SH               X             3     3,473
TOTAL SYS SVCS INC         COM         891906109       164     9,488  SH                     X       3              9,488
TOYOTA MOTOR CORP          SP ADR REP2 892331307        46       548  SH                     X       3                323       225
TOYOTA MOTOR CORP          SP ADR REP2 892331307     1,142    13,575  SH               X             3    13,275                300
TRACTOR SUPPLY CO          COM         892356106        11       215  SH                     X       3                215
TRACTOR SUPPLY CO          COM         892356106       317     5,980  SH               X             3       504              5,476
TRANSATLANTIC HLDGS INC    COM         893521104        56     1,077  SH               X             3     1,077
TRANSATLANTIC HLDGS INC    COM         893521104       199     3,821  SH                     X       3              3,821
TRIMBLE NAVIGATION LTD     COM         896239100        17       660  SH                     X       3                          660
TRIMBLE NAVIGATION LTD     COM         896239100       234     9,280  SH               X             3     1,379              7,901
TRIUMPH GROUP INC NEW      COM         896818101        55     1,150  SH                     X       3                 15     1,135
TRIUMPH GROUP INC NEW      COM         896818101       190     3,935  SH               X             3     1,325              2,610
TUPPERWARE BRANDS CORP     COM         899896104       775    16,634  SH                     X       3             15,024     1,610
TUPPERWARE BRANDS CORP     COM         899896104       777    16,694  SH               X             3     9,878    2,750     4,066
TWIN DISC INC              COM         901476101       114    10,932  SH                     X       3     3,360    7,572
TYSON FOODS INC            CL A        902494103       777    63,330  SH               X             3    53,690              9,640
TYSON FOODS INC            CL A        902494103     4,382   357,160  SH               X             2   357,160
UGI CORP NEW               COM         902681105         1        47  SH                     X       3                 47
UGI CORP NEW               COM         902681105       282    11,663  SH               X             3    10,151              1,512
US BANCORP DEL             COM NEW     902973304        37     1,625  SH               X           1,3     1,625
US BANCORP DEL             COM NEW     902973304     1,350    59,981  SH                     X       3    13,143   45,763     1,075
US BANCORP DEL             COM NEW     902973304    12,237   543,620  SH               X             2   342,320            201,300
US BANCORP DEL             COM NEW     902973304    13,644   606,140  SH               X             3   583,992   15,917     6,231
ULTRATECH INC              COM         904034105         1        95  SH                     X       3                 95
ULTRATECH INC              COM         904034105       709    47,802  SH               X             3    39,805              7,997
ULTRATECH INC              COM         904034105     2,701   182,000  SH               X             2   182,000
UNDER ARMOUR INC           CL A        904311107        12       430  SH                     X       3                430
UNDER ARMOUR INC           CL A        904311107        46     1,692  SH               X             3     1,425                267
UNDER ARMOUR INC           CL A        904311107     2,045    75,000  SH               X             2    75,000
UNILEVER PLC               SP ADR NEW  904767704        78     2,460  SH                     X       3              1,565       895
UNILEVER PLC               SP ADR NEW  904767704       167     5,250  SH               X             3     2,370              2,880
UNILEVER N V               N Y SHS NEW 904784709        23       710  SH                     X       3                710
UNILEVER N V               N Y SHS NEW 904784709       636    19,669  SH               X             3    19,579                 90
UNION PAC CORP             COM         907818108        13       200  SH               X           1,3       200
UNION PAC CORP             COM         907818108     1,190    18,627  SH                     X       3     1,715   16,912
UNION PAC CORP             COM         907818108     5,143    80,491  SH               X             3    76,629    3,632       230
UPS INC                    CL B        911312106         6       100  SH                     X     1,3       100
UPS INC                    CL B        911312106        40       700  SH               X           1,3       700
UPS INC                    CL B        911312106     1,139    19,861  SH                     X       3       200   17,511     2,150
UPS INC                    CL B        911312106    14,349   250,112  SH               X             3   227,191    3,351    19,570
UPS INC                    CL B        911312106    14,658   255,501  SH               X             2   117,301            138,200
UNITED RENTALS INC         COM         911363109       108    11,002  SH               X             3    10,857                145
UNITED STATES STL CORP     COM         912909108        13       239  SH                     X       3                239
UNITED STATES STL CORP     COM         912909108       348     6,313  SH               X             3     6,313
UNITED STATIONERS INC      COM         913004107        90     1,575  SH                     X       3              1,575
UNITED STATIONERS INC      COM         913004107       177     3,103  SH               X             3       828              2,275
UNITED TECH CORP           COM         913017109        76     1,100  SH                     X     1,3       425      675
UNITED TECH CORP           COM         913017109     1,582    22,792  SH               X           1,3    22,792
UNITED TECH CORP           COM         913017109     3,276    47,196  SH                     X       3    14,734   25,487     6,975
UNITED TECH CORP           COM         913017109     8,943   128,840  SH               X             3   116,553    1,743    10,544
UNITED TECH CORP           COM         913017109    18,646   268,640  SH               X             2    95,340            173,300
UNIVERSAL HLTH SVCS INC    CL B        913903100         9       303  SH                     X       3                303
UNIVERSAL HLTH SVCS INC    CL B        913903100       309    10,121  SH               X             3     9,397                724
URBAN OUTFITTERS INC       COM         917047102       294     8,391  SH                     X       3     1,808    1,960     4,623
URBAN OUTFITTERS INC       COM         917047102     1,608    45,945  SH               X             3    27,261             18,684





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
V F CORP                   COM         918204108       151     2,059  SH                     X       3       458    1,601
V F CORP                   COM         918204108     2,402    32,803  SH               X             3    32,423      320        60
V F CORP                   COM         918204108     5,830    79,600  SH               X             2    30,800             48,800
VALSPAR CORP               COM         920355104        91     3,365  SH                     X       3              3,365
VALSPAR CORP               COM         920355104       239     8,824  SH               X             3     2,027              6,797
VANGUARD BD IDX FD INC     INTRMDTRM   921937819       981    12,410  SH                     X       3             12,410
VANGUARD BD IDX FD INC     INTRMDTRM   921937819    24,112   304,947  SH               X             3   304,947
VANGUARD BD IDX FD INC     SH TRM BD   921937827     1,223    15,380  SH                     X       3             15,380
VANGUARD BD IDX FD INC     SH TRM BD   921937827    18,793   236,275  SH               X             3   236,275
VANGUARD WHITEHALL FDS     HIGHDIVYLD  921946406       201     5,278  SH                     X       3              5,278
VANGUARD WHITEHALL FDS     HIGHDIVYLD  921946406       488    12,849  SH               X             3    12,849
VANGUARD INTL EQ IDX F     ALLWRLDEXUS 922042775       191     4,390  SH               X             3     4,390
VANGUARD INTL EQ IDX F     ALLWRLDEXUS 922042775       996    22,850  SH                     X       3             22,850
VANGUARD INTL EQ IDX F     EMR MKT ETF 922042858     1,647    40,165  SH                     X       3     1,880   38,285
VANGUARD INTL EQ IDX F     EMR MKT ETF 922042858     6,856   167,216  SH               X             3   167,216
VANGUARD INTL EQ IDX F     EURPEAN ETF 922042874        83     1,705  SH                     X       3     1,665       40
VANGUARD INTL EQ IDX F     EURPEAN ETF 922042874     1,024    21,126  SH               X             3    21,126
VANGUARD INDEX FDS         MCVLIDXVIP  922908512       688    15,500  SH               X             3    15,500
VANGUARD INDEX FDS         MCGRIDXVIP  922908538       485    10,000  SH               X             3    10,000
VANGUARD INDEX FDS         REIT ETF    922908553       274     6,135  SH               X             3     6,135
VANGUARD INDEX FDS         SC VAL ETF  922908611     4,622    84,835  SH               X             3    84,835
VANGUARD INDEX FDS         MC ETF      922908629       156     2,600  SH                     X       3              2,600
VANGUARD INDEX FDS         MC ETF      922908629       957    15,970  SH               X             3    15,970
VANGUARD INDEX FDS         EXTMKTETF   922908652       129     3,000  SH                     X       3              3,000
VANGUARD INDEX FDS         EXTMKTETF   922908652       260     6,030  SH               X             3     6,030
VANGUARD INDEX FDS         GR ETF      922908736       824    15,530  SH                     X       3     1,200   14,330
VANGUARD INDEX FDS         GR ETF      922908736     4,419    83,280  SH               X             3    83,280
VANGUARD INDEX FDS         VALUE ETF   922908744       436     9,122  SH               X             3     9,122
VANGUARD INDEX FDS         VALUE ETF   922908744       811    16,983  SH                     X       3             16,983
VANGUARD INDEX FDS         STKMRKETF   922908769       819    14,523  SH                     X       3     6,400    8,123
VANGUARD INDEX FDS         STKMRKETF   922908769     3,494    61,988  SH               X             3    61,988
VIROPHARMA INC             COM         928241108       378    45,085  SH               X             3    45,085
VISHAY INTERTECHN INC      COM         928298108       190    22,794  SH               X             3    22,609                185
VORNADO RLTY TR            SH BEN INT  929042109        46       653  SH               X             3       653
VORNADO RLTY TR            SH BEN INT  929042109       381     5,454  SH                     X       3              5,454
VULCAN MATLS CO            COM         929160109        12       228  SH                     X       3                228
VULCAN MATLS CO            COM         929160109        13       250  SH               X           1,3       250
VULCAN MATLS CO            COM         929160109     1,638    31,090  SH               X             3    31,090
WACOAL HOLDINGS CORP       ADR         930004205        12       216  SH               X             3       216
WACOAL HOLDINGS CORP       ADR         930004205       255     4,640  SH                     X       3              4,640
WADDELL & REED FINL INC    CL A        930059100        13       420  SH                     X       3                420
WADDELL & REED FINL INC    CL A        930059100       137     4,497  SH               X             3     2,128              2,369
WADDELL & REED FINL INC    CL A        930059100     1,839    60,200  SH               X             2    60,200
WAL MART STORES INC        COM         931142103        78     1,450  SH                     X     1,3     1,000      450
WAL MART STORES INC        COM         931142103     1,508    28,208  SH               X           1,3    28,008      200
WAL MART STORES INC        COM         931142103     3,340    62,497  SH                     X       3     4,205   52,110     6,182
WAL MART STORES INC        COM         931142103    19,324   361,524  SH               X             3   319,086   16,683    25,755
WAL MART STORES INC        COM         931142103    36,981   691,877  SH               X             2   243,327            448,550
WALGREEN CO                COM         931422109       244     6,650  SH                     X     1,3     6,550      100
WALGREEN CO                COM         931422109       309     8,417  SH               X           1,3     8,217      200
WALGREEN CO                COM         931422109     3,955   107,720  SH                     X       3    24,710   83,010
WALGREEN CO                COM         931422109     8,010   218,128  SH               X             2    72,500            145,628
WALGREEN CO                COM         931422109     8,427   229,504  SH               X             3   216,758   10,464     2,282
WATERS CORP                COM         941848103       286     4,614  SH                     X       3       603    1,271     2,740
WATERS CORP                COM         941848103     1,349    21,778  SH               X             3    14,917              6,861
WATSON PHARMA INC          COM         942683103        56     1,425  SH                     X       3              1,425
WATSON PHARMA INC          COM         942683103       423    10,668  SH               X             3    10,633                 35
WAUSAU PAPER CORP          COM         943315101     1,052    90,684  SH               X             3    89,929                755
WAUSAU PAPER CORP          COM         943315101     1,694   145,999  SH                     X       3    24,387  121,612
WELLS FARGO & CO NEW       COM         949746101        19       700  SH                     X     1,3       400      300
WELLS FARGO & CO NEW       COM         949746101       219     8,125  SH               X           1,3     8,125
WELLS FARGO & CO NEW       COM         949746101     2,086    77,289  SH                     X       3    27,164   47,015     3,110
WELLS FARGO & CO NEW       COM         949746101    15,668   580,518  SH               X             3   567,659    5,944     6,915
WELLS FARGO & CO NEW       COM         949746101    19,273   714,091  SH               X             2   388,492            325,599
WESTERN DIGITAL CORP       COM         958102105       648    14,680  SH                     X       3     1,863    6,129     6,688
WESTERN DIGITAL CORP       COM         958102105     2,181    49,383  SH               X             3    22,671             26,712
WESTERN DIGITAL CORP       COM         958102105    18,365   415,960  SH               X             2   216,160            199,800
WESTERN UN CO              COM         959802109        16       874  SH                     X       3                874
WESTERN UN CO              COM         959802109       387    20,521  SH               X             3    20,228                293
WEYCO GROUP INC            COM         962149100       244    10,332  SH                     X       3             10,332
WEYERHAEUSER CO            COM         962166104       200     4,625  SH               X             2     4,625
WEYERHAEUSER CO            COM         962166104       289     6,692  SH                     X       3     2,360    4,332
WEYERHAEUSER CO            COM         962166104     5,736   132,953  SH               X             3   122,458    8,591     1,904
WHIRLPOOL CORP             COM         963320106        42       519  SH                     X       3                519
WHIRLPOOL CORP             COM         963320106     1,861    23,062  SH               X             3    19,022              4,040
WHIRLPOOL CORP             COM         963320106     7,741    95,971  SH               X             2    95,971
WHITING PETE CORP NEW      COM         966387102       285     3,992  SH                     X       3              3,992
WHITNEY HLDG CORP          COM         966612103        26     2,900  SH                     X       3                        2,900
WHITNEY HLDG CORP          COM         966612103        91    10,018  SH               X             3     3,328              6,690
WILLIAMS COS INC DEL       COM         969457100       117     5,574  SH                     X       3              5,574
WILLIAMS COS INC DEL       COM         969457100     2,589   122,847  SH               X             3   122,417      174       256
WILLIAMS COS INC DEL       COM         969457100     3,631   172,218  SH               X             2   172,218
WINN DIXIE STORES INC      COM NEW     974280307        98     9,800  SH                     X       3              6,300     3,500
WINN DIXIE STORES INC      COM NEW     974280307       114    11,345  SH               X             3     2,545              8,800
WISCONSIN ENERGY CORP      COM         976657106        11       212  SH               X           1,3       212
WISCONSIN ENERGY CORP      COM         976657106     1,397    28,039  SH                     X       3     3,148   24,391       500
WISCONSIN ENERGY CORP      COM         976657106     4,288    86,061  SH               X             3    80,949    3,680     1,432
WOODWARD GOVERNOR CO       COM         980745103        15       566  SH                     X       3       274      292
WOODWARD GOVERNOR CO       COM         980745103       540    20,953  SH               X             3    20,903                 50
WORTHINGTON INDS INC       COM         981811102        35     2,660  SH                     X       3                        2,660
WORTHINGTON INDS INC       COM         981811102       124     9,471  SH               X             3     5,083              4,388
XATA CORP                  COM NEW     983882309       812   283,001  SH               X             3   283,001
XEROX CORP                 COM         984121103        75     8,861  SH                     X       3              2,323     6,538
XEROX CORP                 COM         984121103     2,149   253,949  SH               X             3   235,929             18,020
XEROX CORP                 COM         984121103     3,986   471,182  SH               X             2   457,982             13,200
YAHOO INC                  COM         984332106       124     7,396  SH                     X       3                704     6,692
YAHOO INC                  COM         984332106       156     9,300  SH               X             2                        9,300
YAHOO INC                  COM         984332106       518    30,878  SH               X             3    30,623      175        80
YUM BRANDS INC             COM         988498101        77     2,216  SH                     X       3       600    1,136       480
YUM BRANDS INC             COM         988498101     1,652    47,251  SH               X             3    46,735      406       110
YUM BRANDS INC             COM         988498101     3,975   113,660  SH               X             2    48,200             65,460
ZWEIG FD                   COM         989834106       188    56,931  SH               X             3    56,931
ALLIANCEBERNSTEIN INCFD    COM         1.88E+104        10     1,200  SH                     X       3     1,200
ALLIANCEBERNSTEIN INCFD    COM         1.88E+104       118    14,298  SH               X             3    14,298
TALISMAN ENERGY INC        COM         8.74E+107        93     4,963  SH               X             3       123              4,840





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
TALISMAN ENERGY INC        COM         8.74E+107       137     7,327  SH                     X       3              7,327
APAC CUSTOMER SRVCS INC    COM         1.85E+108       376    63,200  SH               X             3    52,490             10,710
APAC CUSTOMER SRVCS INC    COM         1.85E+108     1,451   243,400  SH               X             2   243,400
AMERISOURCEBERGEN CORP     COM         3.07E+108        58     2,218  SH                     X       3              2,218
AMERISOURCEBERGEN CORP     COM         3.07E+108     1,976    75,806  SH               X             3    65,006             10,800
AMERISOURCEBERGEN CORP     COM         3.07E+108     6,922   265,511  SH               X             2   265,511
NEWS CORP                  CL A        6.52E+108       103     7,516  SH                     X       3              3,762     3,754
NEWS CORP                  CL A        6.52E+108       757    55,300  SH               X             3    55,170                130
SALLY BEAUTY HLDGS INC     COM         7.95E+108       115    15,000  SH               X             2                       15,000
UNIVERSAL HLTHRLTY INCT    SH BEN INT  9.14E+109        54     1,700  SH               X             2                        1,700
VALE S A                   ADR         9.19E+109       152     5,241  SH                     X       3              2,586     2,655
VALE S A                   ADR         9.19E+109       427    14,705  SH               X             3     8,845              5,860
FLAHERTY&CRUMRINEPFDINC    COM         3.38E+110        93    11,200  SH               X             3    11,200
TARGET CORP                COM         8.76E+110       122     2,525  SH                     X     1,3     1,600      925
TARGET CORP                COM         8.76E+110     1,259    26,025  SH               X           1,3    26,025
TARGET CORP                COM         8.76E+110     2,001    41,368  SH                     X       3    28,020    9,248     4,100
TARGET CORP                COM         8.76E+110     6,812   140,831  SH               X             3   136,698      810     3,323
TARGET CORP                COM         8.76E+110    18,443   381,290  SH               X             2   187,990            193,300
EDWARDS LIFESCIENCES       COM         2.82E+112       118     1,357  SH               X             3       982                375
EDWARDS LIFESCIENCES       COM         2.82E+112     1,567    18,041  SH                     X       3             17,981        60
EDWARDS LIFESCIENCES       COM         2.82E+112     8,020    92,348  SH               X             2    44,800             47,548
DR PEPPER SNAPPLE GR IN    COM         2.61E+113         2        84  SH                     X       3                 84
DR PEPPER SNAPPLE GR IN    COM         2.61E+113       718    25,347  SH               X             3    22,022              3,325
DR PEPPER SNAPPLE GR IN    COM         2.61E+113     2,470    87,276  SH               X             2    87,276
TOTAL S A                  SPON ADR    8.92E+113       174     2,710  SH                     X       3              1,645     1,065
TOTAL S A                  SPON ADR    8.92E+113       273     4,268  SH               X             3     1,931              2,337
TRAVELERS COMPANIES INC    COM         8.94E+113       466     9,355  SH                     X       3              7,031     2,324
TRAVELERS COMPANIES INC    COM         8.94E+113     3,446    69,106  SH               X             2    69,106
TRAVELERS COMPANIES INC    COM         8.94E+113     5,166   103,610  SH               X             3   103,341                269
ACCO BRANDS CORP           COM         00081T108         1       188  SH                     X       3                          188
ACCO BRANDS CORP           COM         00081T108       110    15,107  SH               X             3    15,107
AFC ENTERPRISES INC        COM         00104Q107        97    11,850  SH               X             3    11,850
AES CORP                   COM         00130H105        34     2,534  SH                     X       3     1,543      991
AES CORP                   COM         00130H105       443    33,274  SH               X             3    32,644      198       432
AOL INC                    COM         00184X105         7       319  SH                     X       3         9      309         1
AOL INC                    COM         00184X105        13       566  SH               X             2       565                  1
AOL INC                    COM         00184X105       215     9,244  SH               X             3     9,089       15       140
AT&T INC                   COM         00206R102       198     7,066  SH                     X     1,3     5,173    1,893
AT&T INC                   COM         00206R102     1,489    53,123  SH               X           1,3    52,873      250
AT&T INC                   COM         00206R102     5,068   180,794  SH                     X       3    33,367  141,507     5,920
AT&T INC                   COM         00206R102    30,461 1,086,731  SH               X             3 1,059,287   18,408     9,036
AT&T INC                   COM         00206R102    33,792 1,205,559  SH               X             2   692,120            513,439
ATC TECHNOLOGY CORP        COM         00211W104       225     9,430  SH               X             3     9,430
ABOVENET INC               COM         00374N107       666    10,244  SH               X             3     8,542              1,702
ABOVENET INC               COM         00374N107     4,381    67,360  SH               X             2    67,360
ADOBE SYS INC              COM         00724F101        24       657  SH                     X       3                657
ADOBE SYS INC              COM         00724F101     1,099    29,876  SH               X             3    23,278       57     6,541
ADTRAN INC                 COM         00738A106        69     3,060  SH                     X       3                        3,060
ADTRAN INC                 COM         00738A106       367    16,280  SH               X             3    10,948              5,332
ADVANCED SEMICOND ENGR     SPON ADR    00756M404       133    30,000  SH               X             3    30,000
ADVANTAGE OIL & GAS LTD    COM         00765F101       157    24,010  SH               X             3    24,010
AECOM TECHNOLOGY CORP      COM         00766T100         7       263  SH                     X       3                263
AECOM TECHNOLOGY CORP      COM         00766T100     1,003    36,441  SH               X             3    29,782              6,659
AECOM TECHNOLOGY CORP      COM         00766T100     3,119   113,400  SH               X             2   113,400
AETNA INC NEW              COM         00817Y108       408    12,868  SH                     X       3              9,718     3,150
AETNA INC NEW              COM         00817Y108       851    26,857  SH               X             3    24,519       48     2,290
AFFYMETRIX INC             COM         00826T108        92    15,726  SH               X             3    15,726
ALLEGHENY TECH INC         COM         01741R102        14       315  SH                     X       3                315
ALLEGHENY TECH INC         COM         01741R102       404     9,022  SH               X             3     8,917                105
ALLSCRIPT MISY HLTCRSOL    COM         01988P108       318    15,702  SH               X             3    15,000                702
ALTRIA GROUP INC           COM         02209S103        10       500  SH               X           1,3       500
ALTRIA GROUP INC           COM         02209S103     2,100   106,972  SH                     X       3    13,290   68,782    24,900
ALTRIA GROUP INC           COM         02209S103     2,486   126,620  SH               X             2   117,720              8,900
ALTRIA GROUP INC           COM         02209S103     8,644   440,362  SH               X             3   424,062    8,995     7,305
AMERICA MOVIL SAB DE CV    SPON ADR L  02364W105       297     6,320  SH                     X       3       873    1,570     3,877
AMERICA MOVIL SAB DE CV    SPON ADR L  02364W105       920    19,593  SH               X             3     7,984             11,609
AMERIGON INC               COM         03070L300     1,054   132,688  SH               X             3   110,084             22,604
AMERIGON INC               COM         03070L300     4,084   514,400  SH               X             2   514,400
AMERIPRISE FINL INC        COM         03076C106         8       218  SH               X           1,3       218
AMERIPRISE FINL INC        COM         03076C106       412    10,605  SH                     X       3       200    7,405     3,000
AMERIPRISE FINL INC        COM         03076C106     8,060   207,628  SH               X             3   196,399    2,144     9,085
AMERIPRISE FINL INC        COM         03076C106    29,093   749,426  SH               X             2   515,745            233,681
ANHEUSBUSCH INBEV SA/NV    SPON ADR    03524A108       259     4,974  SH                     X       3       817    1,215     2,942
ANHEUSBUSCH INBEV SA/NV    SPON ADR    03524A108       852    16,368  SH               X             3     5,921             10,447
ANSYS INC                  COM         03662Q105        36       822  SH                     X       3                347       475
ANSYS INC                  COM         03662Q105       383     8,810  SH               X             3     1,550              7,260
APPLIEDMICROCIRCUITCORP    COM NEW     03822W406       536    71,780  SH               X             3    59,632             12,148
APPLIEDMICROCIRCUITCORP    COM NEW     03822W406     2,057   275,400  SH               X             2   275,400
ARIBA INC                  COM NEW     04033V203       658    52,506  SH               X             3    42,219             10,287
ARIBA INC                  COM NEW     04033V203     2,451   195,800  SH               X             2   195,800
ART TECHNOLOGY GR INC      COM         04289L107       501   111,112  SH               X             3    92,382             18,730
ART TECHNOLOGY GR INC      COM         04289L107     1,919   425,500  SH               X             2   425,500
ASSURANT INC               COM         04621X108         5       161  SH                     X       3                161
ASSURANT INC               COM         04621X108       353    11,966  SH               X             3    11,366                600
AUTONATION INC             COM         05329W102        12       638  SH                     X       3                638
AUTONATION INC             COM         05329W102       415    21,661  SH               X             3    21,601                 60
AVISTA CORP                COM         05379B107         2        72  SH                     X       3                 72
AVISTA CORP                COM         05379B107       268    12,409  SH               X             3    12,100                309
BCE INC                    COM NEW     05534B760       276    10,000  SH               X             3    10,000
BJS WHOLESALE CLUB INC     COM         05548J106        37     1,126  SH               X             3       686                440
BJS WHOLESALE CLUB INC     COM         05548J106     1,570    48,000  SH               X             2    48,000
BANCOBILBAOVIZCAYAARGEN    SPON ADR    05946K101       164     9,103  SH                     X       3              3,123     5,980
BANCOBILBAOVIZCAYAARGEN    SPON ADR    05946K101       430    23,825  SH               X             3    10,806             13,019
BARCLAYS BK PLC            DJAIG CMDTY 06738C778       207     4,887  SH                     X       3              4,887
BARCLAYS BK PLC            DJAIG CMDTY 06738C778     1,531    36,230  SH               X             3    36,230
BARCLAYS BK PLC            IPSPCROIL   06738C786     1,066    41,175  SH               X             3    41,175
BARCLAYS BANK PLC          ETN DJUBS   06739H644       414    29,000  SH               X             3    29,000
BIO-REFERENCE LABS INC     COM$.01NEW  09057G602       620    15,843  SH               X             3    13,359              2,484
BIO-REFERENCE LABS INC     COM$.01NEW  09057G602     2,144    54,800  SH               X             2    54,800
BIOTECH HOLDRS TR          DEP RCPTS   09067D201        10       100  SH               X             2                          100
BLACKBAUD INC              COM         09227Q100        69     2,930  SH                     X       3                480     2,450
BLACKBAUD INC              COM         09227Q100       192     8,133  SH               X             3     4,023              4,110
BLACKROCK INC              COM         09247X101       199       858  SH               X             3       858
BLACKROCK INC              COM         09247X101       621     2,675  SH                     X       3     2,580                 95
BROADRIDGE FINLSOLUT IN    COM         11133T103       134     5,955  SH                     X       3       100    5,855





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
BROADRIDGE FINLSOLUT IN    COM         11133T103       319    14,123  SH               X             3     3,885             10,238
BURLINGTON NRTH SANTAFE    COM         12189T104     1,437    14,573  SH                     X       3     1,000   10,323     3,250
BURLINGTON NRTH SANTAFE    COM         12189T104     1,607    16,298  SH               X             3    14,566       33     1,699
BWAY HOLDING COMPANY       COM         12429T104         6       331  SH                     X       3                331
BWAY HOLDING COMPANY       COM         12429T104       793    41,219  SH               X             3    34,198              7,021
BWAY HOLDING COMPANY       COM         12429T104     3,069   159,700  SH               X             2   159,700
CB RICHARD ELLIS GR INC    CL A        12497T101         6       437  SH                     X       3                437
CB RICHARD ELLIS GR INC    CL A        12497T101       184    13,594  SH               X             3    13,594
C H ROBINSON WRLDWD INC    COM NEW     12541W209       567     9,653  SH                     X       3     1,397    2,995     5,261
C H ROBINSON WRLDWD INC    COM NEW     12541W209     1,721    29,300  SH               X             2    29,300
C H ROBINSON WRLDWD INC    COM NEW     12541W209     2,429    41,366  SH               X             3    20,488             20,878
CME GROUP INC              COM         12572Q105       339     1,008  SH                     X       3        18      891        99
CME GROUP INC              COM         12572Q105     2,366     7,045  SH               X             3     7,040                  5
CME GROUP INC              COM         12572Q105     4,855    14,450  SH               X             2     8,870              5,580
CAMECO CORP                COM         13321L108       336    10,435  SH               X             3     5,212              5,223
CAMECO CORP                COM         13321L108       647    20,127  SH                     X       3             18,434     1,693
CAMERON INTERNATL CORP     COM         13342B105        50     1,203  SH                     X       3                478       725
CAMERON INTERNATL CORP     COM         13342B105       246     5,886  SH               X             3     5,816                 70
CAPITAL ONE FINL CORP      COM         14040H105       131     3,427  SH                     X       3              3,427
CAPITAL ONE FINL CORP      COM         14040H105     1,610    42,006  SH               X             3    42,006
CAPITAL ONE FINL CORP      COM         14040H105     4,355   113,575  SH               X             2   113,575
CAPITALSOURCE INC          COM         14055X102       556   140,115  SH               X             3   140,115
CAPITALSOURCE INC          COM         14055X102     2,286   575,801  SH               X             2   575,801
CARDINAL HEALTH INC        COM         14149Y108         5       156  SH               X             2                          156
CARDINAL HEALTH INC        COM         14149Y108     1,339    41,520  SH                     X       3             36,095     5,425
CARDINAL HEALTH INC        COM         14149Y108     2,074    64,326  SH               X             3    43,696             20,630
CAREFUSION CORP            COM         14170T101         2        78  SH               X             2                           78
CAREFUSION CORP            COM         14170T101       752    30,066  SH                     X       3             27,579     2,487
CAREFUSION CORP            COM         14170T101       982    39,246  SH               X             3     8,579             30,667
CASH AMER INTL INC         COM         14754D100        55     1,570  SH                     X       3                        1,570
CASH AMER INTL INC         COM         14754D100       213     6,103  SH               X             3     3,469              2,634
CENTERPOINT ENERGY INC     COM         15189T107        14       968  SH                     X       3                968
CENTERPOINT ENERGY INC     COM         15189T107       399    27,524  SH               X             3    21,289      124     6,111
CENTRAIS ELETRIC BRASIL    SPON ADR    15234Q207        66     3,135  SH               X             3     2,970                165
CENTRAIS ELETRIC BRASIL    SPON ADR    15234Q207       146     6,934  SH                     X       3              6,934
CENVEO INC                 COM         15670S105       161    18,400  SH               X             3    18,400
CHINA-BIOTICS INC          COM         16937B109     1,297    83,839  SH               X             3    69,631             14,208
CHINA-BIOTICS INC          COM         16937B109     5,043   326,000  SH               X             2   326,000
CHINA NEPSTAR DRUGSTOR     SPON ADR    16943C109        90    12,300  SH               X             3    12,300
CHINACAST EDU CORP         COM         16946T109       545    72,028  SH               X             3    59,797             12,231
CHINACAST EDU CORP         COM         16946T109     2,110   279,100  SH               X             2   279,100
CHINA RE INFO CORP         ADR         16948Q103         9       735  SH               X             3       735
CHINA RE INFO CORP         ADR         16948Q103     1,181   107,600  SH               X             2   107,600
CISCO SYS INC              COM         17275R102       171     7,150  SH                     X     1,3     4,800    2,350
CISCO SYS INC              COM         17275R102     1,891    78,973  SH               X           1,3    78,973
CISCO SYS INC              COM         17275R102     4,226   176,518  SH                     X       3    33,980  135,535     7,003
CISCO SYS INC              COM         17275R102    27,643 1,154,690  SH               X             3 1,120,758   24,564     9,368
CISCO SYS INC              COM         17275R102    38,022 1,588,195  SH               X             2   667,395            920,800
CLAYMORE ETF               BNY BRI&C   18383M100       451    10,626  SH                     X       3     1,500    9,126
CLAYMORE ETF               BNY BRI&C   18383M100     3,501    82,443  SH               X             3    82,323                120
CLIFFS NATURAL RSRCS IN    COM         18683K101         2        52  SH                     X       3                 52
CLIFFS NATURAL RSRCS IN    COM         18683K101         5       100  SH               X           1,3       100
CLIFFS NATURAL RSRCS IN    COM         18683K101       105     2,269  SH               X             3     1,499                770
CLIFFS NATURAL RSRCS IN    COM         18683K101     1,424    30,900  SH               X             2    30,900
COGENT COMM GROUP INC      COM NEW     19239V302       704    71,406  SH               X             3    60,416             10,990
COGENT COMM GROUP INC      COM NEW     19239V302     2,463   249,800  SH               X             2   249,800
COINSTAR INC               COM         19259P300     2,451    88,254  SH               X             3    73,628             14,626
COINSTAR INC               COM         19259P300    16,324   587,600  SH               X             2   587,600
COMCAST CORP NEW           CL A        20030N101        17     1,012  SH               X           1,3     1,012
COMCAST CORP NEW           CL A        20030N101       107     6,336  SH               X             2     6,336
COMCAST CORP NEW           CL A        20030N101       270    16,005  SH                     X       3     2,523   13,482
COMCAST CORP NEW           CL A        20030N101     6,681   396,258  SH               X             3   389,453    3,152     3,653
COMCAST CORP NEW           CL A SPL    20030N200       131     8,170  SH                     X       3              2,391     5,779
COMCAST CORP NEW           CL A SPL    20030N200       196    12,257  SH               X             3    12,257
CONOCOPHILLIPS             COM         20825C104        59     1,163  SH                     X     1,3       819      344
CONOCOPHILLIPS             COM         20825C104       987    19,333  SH               X           1,3    19,183      150
CONOCOPHILLIPS             COM         20825C104     1,624    31,803  SH                     X       3    17,650   11,660     2,493
CONOCOPHILLIPS             COM         20825C104     5,946   116,426  SH               X             2   116,426
CONOCOPHILLIPS             COM         20825C104     8,435   165,175  SH               X             3   161,132      453     3,590
CONSOL ENERGY INC          COM         20854P109        11       222  SH                     X       3                222
CONSOL ENERGY INC          COM         20854P109       138     2,768  SH               X             3     1,556              1,212
CONSOL ENERGY INC          COM         20854P109     1,295    26,000  SH               X             2    26,000
CONSTELLATIONBRANDS INC    CL A        21036P108         1        45  SH                     X       3                 45
CONSTELLATIONBRANDS INC    CL A        21036P108       187    11,741  SH               X             3    11,741
COSTCO WHSL CORP NEW       COM         22160K105         4        75  SH               X           1,3        75
COSTCO WHSL CORP NEW       COM         22160K105       310     5,240  SH                     X       3        75    5,165
COSTCO WHSL CORP NEW       COM         22160K105     1,426    24,100  SH               X             2                       24,100
COSTCO WHSL CORP NEW       COM         22160K105     1,920    32,453  SH               X             3    32,029       23       401
CYBERSOURCE CORP           COM         23251J106        14       717  SH                     X       3                717
CYBERSOURCE CORP           COM         23251J106       696    34,629  SH               X             3    28,920              5,709
CYBERSOURCE CORP           COM         23251J106     2,470   122,800  SH               X             2   122,800
CYBERONICS INC             COM         23251P102       473    23,160  SH               X             3    22,117              1,043
DNP SELECT INCOME FD       COM         23325P104        32     3,602  SH               X           1,3     3,602
DNP SELECT INCOME FD       COM         23325P104        33     3,662  SH                     X       3              3,662
DNP SELECT INCOME FD       COM         23325P104       619    69,212  SH               X             3    69,212
D R HORTON INC             COM         23331A109       152    14,009  SH               X             3    14,009
DAVITA INC                 COM         23918K108         3        56  SH                     X       3                 56
DAVITA INC                 COM         23918K108       959    16,337  SH               X             3    14,107              2,230
DAVITA INC                 COM         23918K108     3,674    62,537  SH               X             2    62,537
DELL INC                   COM         24702R101        52     3,600  SH               X           1,3     3,600
DELL INC                   COM         24702R101       129     8,983  SH                     X       3       200    8,753        30
DELL INC                   COM         24702R101     3,755   261,497  SH               X             2   261,497
DELL INC                   COM         24702R101     4,968   345,998  SH               X             3   335,380    6,008     4,610
DENNYS CORP                COM         24869P104       104    47,420  SH               X             3    47,420
DEVON ENERGY CORP NEW      COM         25179M103       217     2,957  SH                     X       3              2,182       775
DEVON ENERGY CORP NEW      COM         25179M103     1,212    16,484  SH               X             3    16,383                101
DEVON ENERGY CORP NEW      COM         25179M103     7,732   105,200  SH               X             2    66,600             38,600
DIAGEO P L C               SP ADR NEW  25243Q205       905    13,040  SH                     X       3             11,015     2,025
DIAGEO P L C               SP ADR NEW  25243Q205     1,925    27,731  SH               X             3    11,320             16,411
DIAMONDOFFSHOREDRILLING    COM         25271C102        19       192  SH                     X       3                192
DIAMONDOFFSHOREDRILLING    COM         25271C102     1,009    10,248  SH               X             3    10,207                 41
DIRECTV                    COM CL A    25490A101       971    29,120  SH                     X       3     2,231   12,763    14,126
DIRECTV                    COM CL A    25490A101     2,014    60,382  SH               X             2    60,382
DIRECTV                    COM CL A    25490A101     2,357    70,669  SH               X             3    36,119             34,550
DOLAN MEDIA CO             COM         25659P402     1,140   111,579  SH               X             3    94,361             17,218





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
DOLAN MEDIA CO             COM         25659P402     4,007   392,500  SH               X             2   392,500
DOMINION RES INC VA NEW    COM         25746U109       248     6,377  SH                     X       3     4,450    1,927
DOMINION RES INC VA NEW    COM         25746U109     1,826    46,920  SH               X             2    46,920
DOMINION RES INC VA NEW    COM         25746U109     2,942    75,592  SH               X             3    74,437      106     1,049
DOT HILL SYS CORP          COM         25848T109       474   249,453  SH               X             3   206,220             43,233
DOT HILL SYS CORP          COM         25848T109     1,874   986,200  SH               X             2   986,200
DRAGONWAVE INC             COM         26144M103     1,115    97,360  SH               X             3    79,604             17,756
DRAGONWAVE INC             COM         26144M103     4,228   368,900  SH               X             2   368,900
DUKE ENERGY CORP NEW       COM         26441C105       122     7,106  SH                     X       3     1,404    3,587     2,115
DUKE ENERGY CORP NEW       COM         26441C105     1,011    58,754  SH               X             3    55,922              2,832
E HOUSE CHINA HLDG LTD     ADR         26852W103         7       399  SH               X             3       399
E HOUSE CHINA HLDG LTD     ADR         26852W103     1,058    58,400  SH               X             2    58,400
ENI S P A                  SPON ADR    26874R108        37       730  SH                     X       3                730
ENI S P A                  SPON ADR    26874R108       216     4,265  SH               X             3     2,900              1,365
EOG RES INC                COM         26875P101       323     3,323  SH                     X       3              3,323
EOG RES INC                COM         26875P101       350     3,595  SH               X             3     3,516       34        45
EQT CORP                   COM         26884L109         1        33  SH                     X       3                 33
EQT CORP                   COM         26884L109       841    19,161  SH               X             3    16,491              2,670
EQT CORP                   COM         26884L109     3,308    75,320  SH               X             2    75,320
EMBRAER-EMPRESA BRASILD    SPADRCOMSH  29081M102       224    10,152  SH                     X       3              8,325     1,827
EMBRAER-EMPRESA BRASILD    SPADRCOMSH  29081M102       257    11,643  SH               X             3     4,497              7,146
EMER MED SVCS CORP         CL A        29100P102        10       193  SH                     X       3                193
EMERG MED SVCS CORP        CL A        29100P102        55     1,010  SH               X             3       672                338
EMER MED SVCS CORP         CL A        29100P102     2,550    47,100  SH               X             2    47,100
ENBRIDGE INC               COM         29250N105       583    12,608  SH                     X       3     1,575    3,597     7,436
ENBRIDGE INC               COM         29250N105     1,780    38,517  SH               X             3    13,547             24,970
ENERGIZER HLDGS INC        COM         29266R108     1,162    18,954  SH                     X       3       400   17,104     1,450
ENERGIZER HLDGS INC        COM         29266R108     3,387    55,272  SH               X             3    53,427              1,845
ENERGY TRANS PRTNRS L P    UT LTDPART  29273R109        18       400  SH                     X       3                400
ENERGY TRANS PRTNRS L P    UT LTDPART  29273R109       448     9,956  SH               X             3     9,956
ENERGY TRANSFER EQ L P     CMUTLTDPTN  29273V100        72     2,350  SH               X             3     1,065              1,285
ENERGY TRANSFER EQ L P     CMUTLTDPTN  29273V100       765    25,000  SH                     X       3             25,000
ENTERGY CORP NEW           COM         29364G103        10       123  SH                     X       3                123
ENTERGY CORP NEW           COM         29364G103        25       300  SH               X           1,3       300
ENTERGY CORP NEW           COM         29364G103     1,034    12,643  SH               X             3    11,753                890
ENTERGY CORP NEW           COM         29364G103     2,102    25,676  SH               X             2    25,676
EQUINIX INC                COM NEW     29444U502         2        15  SH                     X       3                 15
EQUINIX INC                COM NEW     29444U502       894     8,425  SH               X             3     7,188              1,237
EQUINIX INC                COM NEW     29444U502     5,573    52,500  SH               X             2    52,500
EQUITY RESIDENTIAL         SH BEN INT  29476L107        11       333  SH                     X       3       200      133
EQUITY RESIDENTIAL         SH BEN INT  29476L107       305     9,035  SH               X             3     9,035
EXELON CORP                COM         30161N101        94     1,926  SH                     X     1,3     1,926
EXELON CORP                COM         30161N101       202     4,126  SH               X             2     4,126
EXELON CORP                COM         30161N101       271     5,550  SH               X           1,3     5,550
EXELON CORP                COM         30161N101       717    14,669  SH                     X       3       825   13,844
EXELON CORP                COM         30161N101     6,859   140,360  SH               X             3   136,039    2,892     1,429
EXPEDIA INC DEL            COM         30212P105        22       851  SH                     X       3                176       675
EXPEDIA INC DEL            COM         30212P105       686    26,678  SH               X             3    22,758              3,920
EXPEDIA INC DEL            COM         30212P105     2,676   103,985  SH               X             2   103,985
EXXON MOBIL CORP           COM         30231G102       303     4,450  SH                     X     1,3     3,575      875
EXXON MOBIL CORP           COM         30231G102     1,746    25,612  SH               X           1,3    25,462      150
EXXON MOBIL CORP           COM         30231G102    14,470   212,208  SH                     X       3    32,649  167,156    12,403
EXXON MOBIL CORP           COM         30231G102    45,854   672,442  SH               X             2   334,494            337,948
EXXON MOBIL CORP           COM         30231G102    63,764   935,094  SH               X             3   891,722   34,038     9,334
FMC TECHNOLOGIES INC       COM         30249U101         9       149  SH                     X       3                149
FMC TECHNOLOGIES INC       COM         30249U101       482     8,332  SH               X             3     2,842              5,490
FEDEX CORP                 COM         31428X106        48       572  SH                     X       3                572
FEDEX CORP                 COM         31428X106       655     7,852  SH               X             3     7,811       21        20
FEDEX CORP                 COM         31428X106     9,739   116,700  SH               X             2    51,200             65,500
FIDELITY NATL INFO SV      COM         31620M106        28     1,204  SH               X           1,3     1,204
FIDELITY NATL INFO SV      COM         31620M106     9,372   399,838  SH                     X       3       843  398,195       800
FIDELITY NATL INFO SV      COM         31620M106    29,225 1,246,803  SH               X             3 1,241,892              4,911
FLOWSERVE CORP             COM         34354P105       522     5,518  SH                     X       3       788    1,680     3,050
FLOWSERVE CORP             COM         34354P105     2,097    22,179  SH               X             3     8,235             13,944
FREEPORT-MCMORAN COPPER    PFD CONV    35671D782        56       484  SH               X             3       484
FREEPORT-MCMORAN COPPER    PFD CONV    35671D782     1,058     9,200  SH                     X       3              9,200
FREEPORT-MCMORAN COPPER    COM         35671D857       142     1,764  SH                     X       3              1,349       415
FREEPORT-MCMORAN COPPER    COM         35671D857     1,053    13,111  SH               X             3    13,086                 25
FREEPORT-MCMORAN COPPER    COM         35671D857    13,229   164,759  SH               X             2    85,964             78,795
FRONTIER COMMUNICATIONS    COM         35906A108         4       495  SH                     X       3                495
FRONTIER COMMUNICATIONS    COM         35906A108       171    21,860  SH               X             3    21,860
GAMESTOP CORP NEW          CL A        36467W109        35     1,587  SH               X             3     1,089                498
GAMESTOP CORP NEW          CL A        36467W109        77     3,529  SH                     X       3              1,854     1,675
GAMESTOP CORP NEW          CL A        36467W109     1,536    70,000  SH               X             2    70,000
GENOPTIX INC               COM         37243V100        10       292  SH                     X       3                292
GENOPTIX INC               COM         37243V100       588    16,550  SH               X             3    13,799              2,751
GENOPTIX INC               COM         37243V100     2,224    62,600  SH               X             2    62,600
GENWORTH FINL INC          COM CL A    37247D106        12     1,015  SH                     X       3              1,015
GENWORTH FINL INC          COM CL A    37247D106        28     2,500  SH               X             2                        2,500
GENWORTH FINL INC          COM CL A    37247D106       272    23,926  SH               X             3    23,926
GLAXOSMITHKLINE PLC        SPON ADR    37733W105         8       200  SH               X           1,3       200
GLAXOSMITHKLINE PLC        SPON ADR    37733W105       441    10,438  SH                     X       3              9,833       605
GLAXOSMITHKLINE PLC        SPON ADR    37733W105       970    22,968  SH               X             3    22,493      400        75
GLOBAL PMTS INC            COM         37940X102        14       261  SH                     X       3                261
GLOBAL PMTS INC            COM         37940X102       440     8,171  SH               X             3     2,053              6,118
GOLD FIELDS LTD NEW        SPON ADR    38059T106        15     1,118  SH               X             3     1,118
GOLD FIELDS LTD NEW        SPON ADR    38059T106       294    22,401  SH                     X       3             22,401
GOLDMAN SACHS GROUP INC    COM         38141G104        36       212  SH                     X     1,3       100      112
GOLDMAN SACHS GROUP INC    COM         38141G104     1,007     5,962  SH               X           1,3     5,962
GOLDMAN SACHS GROUP INC    COM         38141G104     2,257    13,370  SH                     X       3     2,310   10,825       235
GOLDMAN SACHS GROUP INC    COM         38141G104    17,813   105,502  SH               X             3   102,536    2,317       649
GOLDMAN SACHS GROUP INC    COM         38141G104    24,169   143,147  SH               X             2    92,747             50,400
GOOGLE INC                 CL A        38259P508        88       142  SH               X           1,3       142
GOOGLE INC                 CL A        38259P508     2,471     3,986  SH                     X       3       209    2,725     1,052
GOOGLE INC                 CL A        38259P508    17,653    28,474  SH               X             3    26,024      411     2,039
GOOGLE INC                 CL A        38259P508    40,483    65,298  SH               X             2    31,448             33,850
GRUPO TELEVISA SA DE CV    SPADRREPORD 40049J206       164     7,914  SH                     X       3              3,178     4,736
GRUPO TELEVISA SA DE CV    SPADRREPORD 40049J206       488    23,501  SH               X             3     9,894             13,607
HCP INC                    COM         40414L109        63     2,075  SH                     X       3              2,075
HCP INC                    COM         40414L109       339    11,084  SH               X             3    11,084
HMS HLDGS CORP             COM         40425J101        16       325  SH                     X       3                325
HMS HLDGS CORP             COM         40425J101       651    13,369  SH               X             3    11,141              2,228
HMS HLDGS CORP             COM         40425J101     2,313    47,500  SH               X             2    47,500
HANGER ORTHOPEDIC GRINC    COM NEW     41043F208       695    50,222  SH               X             3    40,444              9,778
HANGER ORTHOPEDIC GRINC    COM NEW     41043F208     2,565   185,500  SH               X             2   185,500





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
HEALTH CARE REIT INC       COM         42217K106         9       204  SH                     X       3                204
HEALTH CARE REIT INC       COM         42217K106       403     9,097  SH               X             3     9,097
HESS CORP                  COM         42809H107        64     1,057  SH                     X       3              1,057
HESS CORP                  COM         42809H107       498     8,239  SH               X             3     8,239
HESS CORP                  COM         42809H107     6,667   110,200  SH               X             2    47,400             62,800
HEWITT ASSOCS INC          COM         42822Q100         1        35  SH                     X       3                 35
HEWITT ASSOCS INC          COM         42822Q100       807    19,096  SH               X             3    19,066                 30
HEWITT ASSOCS INC          COM         42822Q100     5,306   125,549  SH               X             2   125,549
HIMAX TECHNOLOGIES INC     SPON ADR    43289P106        78    28,000  SH               X             3    28,000
HOST HOTELS&RESORTS INC    COM         44107P104         8       728  SH                     X       3                728
HOST HOTELS&RESORTS INC    COM         44107P104       231    19,779  SH               X             3    19,667                112
ITT EDUCATIONAL SVCS IN    COM         45068B109         8        88  SH                     X       3                 88
ITT EDUCATIONAL SVCS IN    COM         45068B109       430     4,478  SH               X             3     4,094                384
ICON PUB LTD CO            SPON ADR    45103T107        75     3,435  SH               X             2     3,435
ICON PUB LTD CO            SPON ADR    45103T107       268    12,336  SH                     X       3       200   12,136
ICON PUB LTD CO            SPON ADR    45103T107     4,808   221,248  SH               X             3   212,534    6,120     2,594
IDEX CORP                  COM         45167R104       195     6,266  SH               X             3       898              5,368
IDEX CORP                  COM         45167R104     1,617    51,900  SH               X             2    51,900
IDEXX LABS INC             COM         45168D104         5        89  SH                     X       3                 89
IDEXX LABS INC             COM         45168D104       346     6,464  SH               X             3       930              5,534
INFORMATICA CORP           COM         45666Q102       105     4,078  SH               X             3     1,499              2,579
INFORMATICA CORP           COM         45666Q102     1,980    76,500  SH               X             2    76,500
INTEGRYS ENERGY GR INC     COM         45822P105        54     1,289  SH               X           1,3     1,289
INTEGRYS ENERGY GR INC     COM         45822P105       177     4,206  SH                     X       3              3,406       800
INTEGRYS ENERGY GR INC     COM         45822P105     1,068    25,425  SH               X             3    24,425    1,000
INTERCONTEXCHANGE INC      COM         45865V100        36       322  SH                     X       3                152       170
INTERCONTEXCHANGE INC      COM         45865V100       252     2,249  SH               X             3       627              1,622
INTERCONTEXCHANGE INC      COM         45865V100     2,527    22,500  SH               X             2    22,500
INVERNESS MED INNVTNS      COM         46126P106        48     1,163  SH                     X       3              1,163
INVERNESS MED INNVTNS      COM         46126P106       934    22,499  SH               X             3    17,845              4,654
INVERNESS MED INNVTNS      COM         46126P106     6,575   158,400  SH               X             2   158,400
ISHARES SILVER TRUST       ISHARES     46428Q109       459    27,770  SH               X             3    27,770
JDS UNIPHASE CORP          COMPAR$.001 46612J507       116    14,003  SH               X             3    14,003
JDS UNIPHASE CORP          COMPAR$.001 46612J507     1,626   197,100  SH               X             2   197,100
JPMORGAN CHASE & CO        COM         46625H100        83     2,000  SH                     X     1,3     1,000    1,000
JPMORGAN CHASE & CO        COM         46625H100     1,410    33,834  SH               X           1,3    33,834
JPMORGAN CHASE & CO        COM         46625H100     7,157   171,765  SH                     X       3    80,398   90,282     1,085
JPMORGAN CHASE & CO        COM         46625H100    36,712   881,015  SH               X             2   547,213            333,802
JPMORGAN CHASE & CO        COM         46625H100    48,463 1,163,023  SH               X             3 1,147,450   11,580     3,993
JANUS CAP GROUP INC        COM         47102X105        11       818  SH                     X       3                818
JANUS CAP GROUP INC        COM         47102X105       206    15,306  SH               X             3    15,306
JUNIPER NETWORKS INC       COM         48203R104       385    14,452  SH                     X       3     1,713    2,915     9,824
JUNIPER NETWORKS INC       COM         48203R104       905    33,917  SH               X             3    13,427             20,490
KBR INC                    COM         48242W106         1        47  SH                     X       3                 47
KBR INC                    COM         48242W106       191    10,057  SH               X             3     7,999              2,058
KB HOME                    COM         48666K109         3       230  SH                     X       3                230
KB HOME                    COM         48666K109       184    13,428  SH               X             3    13,428
KINDER MORGAN MGMT LLC     SHS         49455U100       247     4,517  SH               X             3     3,726                791
KRAFT FOODS INC            CL A        50075N104         9       345  SH               X           1,3       345
KRAFT FOODS INC            CL A        50075N104       579    21,289  SH               X             2    11,000             10,289
KRAFT FOODS INC            CL A        50075N104     3,032   111,566  SH                     X       3     5,097   87,202    19,267
KRAFT FOODS INC            CL A        50075N104     4,096   150,713  SH               X             3   146,725    1,660     2,328
LAB CORP AMER HLDGS        COM NEW     50540R409       310     4,139  SH                     X       3       674    1,206     2,259
LAB CORP AMER HLDGS        COM NEW     50540R409     1,358    18,148  SH               X             3    12,241              5,907
LEVEL 3 COMM INC           COM         52729N100       103    67,270  SH               X             3    66,670                600
LIBERTY MEDIA CORP NEW     INTCOMSERA  53071M104        37     3,446  SH                     X       3                        3,446
LIBERTY MEDIA CORP NEW     INTCOMSERA  53071M104       842    77,700  SH               X             3    77,700
LIBERTY MEDIA CORP NEW     INTCOMSERA  53071M104     3,249   299,752  SH               X             2   299,752
LIFE TECHNOLOGIES CORP     COM         53217V109         8       154  SH                     X       3        88       66
LIFE TECHNOLOGIES CORP     COM         53217V109       227     4,346  SH               X             3     3,474                872
LIFE TECHNOLOGIES CORP     COM         53217V109     2,851    54,600  SH               X             2    54,600
LUXOTTICA GROUP S P A      SPON ADR    55068R202       104     4,048  SH                     X       3              1,484     2,564
LUXOTTICA GROUP S P A      SPON ADR    55068R202       300    11,683  SH               X             3     5,110              6,573
M & T BK CORP              COM         55261F104        10       144  SH                     X       3                144
M & T BK CORP              COM         55261F104       645     9,647  SH               X             3     9,647
MFA FINANCIAL INC          COM         55272X102        41     5,550  SH                     X       3                        5,550
MFA FINANCIAL INC          COM         55272X102       116    15,725  SH               X             3     6,565              9,160
MGE ENERGY INC             COM         55277P104        39     1,100  SH                     X       3              1,100
MGE ENERGY INC             COM         55277P104     1,252    35,018  SH               X             3    30,539    2,110     2,369
MLP & STRATEGIC EQFD IN    COM         55312N106       111     6,990  SH                     X       3              6,990
MLP & STRATEGIC EQFD IN    COM         55312N106       164    10,355  SH               X             3    10,355
MSCI INC                   CL A        55354G100       472    14,854  SH                     X       3     2,359    4,030     8,465
MSCI INC                   CL A        55354G100     1,528    48,047  SH               X             3    17,417             30,630
MACYS INC                  COM         55616P104        20     1,199  SH                     X       3              1,199
MACYS INC                  COM         55616P104       803    47,920  SH               X             3    43,443              4,477
MACYS INC                  COM         55616P104       936    55,850  SH               X             2    55,850
MANPOWER INC               COM         56418H100       166     3,044  SH                     X       3              3,044
MANPOWER INC               COM         56418H100     4,604    84,363  SH               X             3    81,213      110     3,040
MANPOWER INC               COM         56418H100     5,599   102,572  SH               X             2   102,572
MANULIFE FINL CORP         COM         56501R106        14       758  SH                     X       3                758
MANULIFE FINL CORP         COM         56501R106       256    13,964  SH               X             3    13,964
MARKET VECTORS ETF TR      GLDMINERETF 57060U100       171     3,700  SH                     X       3              3,700
MARKET VECTORS ETF TR      GLDMINERETF 57060U100       234     5,070  SH               X             3     5,070
MARKET VECTORS ETF TR      MKTVEC ETF  57060U845       534    25,080  SH               X             3    25,080
MASTERCARD INC             CL A        57636Q104       256     1,001  SH                     X       3       120      531       350
MASTERCARD INC             CL A        57636Q104     3,019    11,791  SH               X             2    11,791
MASTERCARD INC             CL A        57636Q104     4,779    18,672  SH               X             3    18,351                321
MAXIM INTEGRATED PRODS     COM         57772K101       715    35,232  SH               X             3    35,232
MAXIM INTEGRATED PRODS     COM         57772K101     2,629   129,383  SH               X             2   129,383
MCKESSON CORP              COM         58155Q103       105     1,672  SH                     X       3       150    1,522
MCKESSON CORP              COM         58155Q103     1,317    21,075  SH               X             3    21,075
MCKESSON CORP              COM         58155Q103     9,752   156,030  SH               X             2    82,530             73,500
MEDCO HEALTH SOLUTIONS     COM         58405U102       102     1,600  SH                     X     1,3     1,600
MEDCO HEALTH SOLUTIONS     COM         58405U102       158     2,475  SH               X           1,3     2,475
MEDCO HEALTH SOLUTIONS     COM         58405U102     1,054    16,499  SH                     X       3       743   15,612       144
MEDCO HEALTH SOLUTIONS     COM         58405U102     3,737    58,463  SH               X             2    56,463              2,000
MEDCO HEALTH SOLUTIONS     COM         58405U102     8,944   139,949  SH               X             3   136,596    2,297     1,056
MEDIDATA SOLUTIONS INC     COM         58471A105       801    51,246  SH               X             3    42,566              8,680
MEDIDATA SOLUTIONS INC     COM         58471A105     3,080   197,200  SH               X             2   197,200
MEDTRONIC INC              NOTE1.5%4/1 585055AL0     1,543 1,520,000  SH               X             2 1,050,000
MEDTRONIC INC              NOTE1.5%4/1 585055AL0     3,877 3,820,000  SH               X             3
MERCK & CO INC NEW         COM         58933Y105        99     2,713  SH                     X     1,3     2,713
MERCK & CO INC NEW         COM         58933Y105       381    10,436  SH               X           1,3    10,292      144
MERCK & CO INC NEW         COM         58933Y105     3,149    86,171  SH                     X       3       900   80,441     4,830
MERCK & CO INC NEW         COM         58933Y105    10,794   295,414  SH               X             3   292,360      138     2,916





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
MERCK & CO INC NEW         COM         58933Y105    20,541   562,150  SH               X             2   222,819            339,331
METLIFE INC                COM         59156R108       178     5,031  SH                     X       3       100    4,326       605
METLIFE INC                COM         59156R108     2,070    58,544  SH               X             3    58,268       51       225
METLIFE INC                COM         59156R108     8,353   236,290  SH               X             2   105,610            130,680
MIZUHO FINL GROUP INC      SPON ADR    60687Y109        43    12,185  SH               X             3    11,760                425
MONSANTO CO NEW            COM         61166W101        65       800  SH                     X     1,3       300      500
MONSANTO CO NEW            COM         61166W101       924    11,300  SH               X           1,3    11,300
MONSANTO CO NEW            COM         61166W101     1,832    22,408  SH                     X       3       793   18,880     2,735
MONSANTO CO NEW            COM         61166W101     3,140    38,414  SH               X             2    38,414
MONSANTO CO NEW            COM         61166W101    12,072   147,665  SH               X             3   138,216    2,178     7,271
MOSAIC CO                  COM         61945A107        73     1,218  SH                     X       3              1,218
MOSAIC CO                  COM         61945A107       203     3,396  SH               X             3     3,396
MOSAIC CO                  COM         61945A107       245     4,100  SH               X             2                        4,100
NII HLDGS INC              CL B NEW    62913F201        96     2,849  SH               X             3     2,849
NII HLDGS INC              CL B NEW    62913F201       292     8,707  SH                     X       3              8,707
NTT DOCOMO INC             SPON ADR    62942M201        70     5,026  SH                     X       3              1,786     3,240
NTT DOCOMO INC             SPON ADR    62942M201       186    13,312  SH               X             3     7,344              5,968
NATIONAL CITY CORP         NOTE  4%2/0 635405AW3     1,401 1,375,000  SH               X             2 1,075,000
NATIONAL CITY CORP         NOTE  4%2/0 635405AW3     3,175 3,116,000  SH               X             3
NATIONL FINL PTNRS CORP    COM         63607P208        83    10,201  SH               X             3    10,061                140
NESS TECHNOLOGIES INC      COM         64104X108        64    13,129  SH               X             3    13,129
NETAPP INC                 COM         64110D104       192     5,596  SH                     X       3              3,646     1,950
NETAPP INC                 COM         64110D104       237     6,902  SH               X             3     4,932              1,970
NEUTRAL TANDEM INC         COM         64128B108       421    18,515  SH               X             3    15,572              2,943
NEUTRAL TANDEM INC         COM         64128B108     1,527    67,100  SH               X             2    67,100
NEXEN INC                  COM         65334H102        16       660  SH               X             3       660
NEXEN INC                  COM         65334H102       419    17,495  SH                     X       3             17,495
NISOURCE INC               COM         65473P105        65     4,256  SH                     X       3     3,500      756
NISOURCE INC               COM         65473P105       569    36,989  SH               X             3    36,765                224
NOVARTIS A G               SPON ADR    66987V109       517     9,496  SH                     X       3              9,393       103
NOVARTIS A G               SPON ADR    66987V109       602    11,065  SH               X             3    10,099                966
NUVEEN DIV ADVNTG MUN F    COM         67066V101       135    10,000  SH               X             3    10,000
OCLARO INC                 COM         67555N107     1,158   787,584  SH               X             3   654,188            133,396
OCLARO INC                 COM         67555N107     4,465 3,037,600  SH               X             2 3,037,600
OCULUS INNOVATIVE SCI I    COM         67575P108        37    19,975  SH               X             2    19,975
OCULUS INNOVATIVE SCI I    COM         67575P108        96    52,565  SH               X             3    52,565
ORACLE CORP                COM         68389X105       117     4,750  SH                     X     1,3     2,950    1,800
ORACLE CORP                COM         68389X105     1,438    58,608  SH               X           1,3    58,608
ORACLE CORP                COM         68389X105     1,836    74,844  SH                     X       3    30,934   24,612    19,298
ORACLE CORP                COM         68389X105    11,838   482,584  SH               X             3   444,467    2,773    35,344
ORACLE CORP                COM         68389X105    33,734 1,375,200  SH               X             2   574,300            800,900
ORION MARINE GROUP INC     COM         68628V308       866    41,137  SH               X             3    34,407              6,730
ORION MARINE GROUP INC     COM         68628V308     2,892   137,300  SH               X             2   137,300
PG&E CORP                  COM         69331C108       145     3,248  SH                     X       3              3,248
PG&E CORP                  COM         69331C108       476    10,662  SH               X             3    10,637                 25
PMC-SIERRA INC             COM         69344F106     6,708   774,600  SH               X             2   292,100            482,500
PPL CORP                   COM         69351T106         6       201  SH                     X       3                201
PPL CORP                   COM         69351T106       279     8,630  SH               X             3     8,630
PANASONIC CORP             ADR         69832A205        12       835  SH               X             3       835
PANASONIC CORP             ADR         69832A205       197    13,746  SH                     X       3             13,746
PANERA BREAD CO            CL A        69840W108         2        31  SH                     X       3                 31
PANERA BREAD CO            CL A        69840W108       410     6,121  SH               X             3     1,028              5,093
PETROLEO BRASIL SAPETRO    SPON ADR    71654V408       552    11,576  SH                     X       3              9,910     1,666
PETROLEO BRASIL SAPETRO    SPON ADR    71654V408       601    12,607  SH               X             3     9,749              2,858
PHARMERICA CORP            COM         71714F104         0         1  SH                     X       3                  1
PHARMERICA CORP            COM         71714F104       171    10,739  SH               X             3    10,231                508
POTASH CORP SASK INC       COM         73755L107       998     9,201  SH                     X       3       657    8,544
POTASH CORP SASK INC       COM         73755L107     4,509    41,564  SH               X             2    16,764             24,800
POTASH CORP SASK INC       COM         73755L107     6,242    57,529  SH               X             3    56,270      811       448
POWERSHARES QQQ TRUST      UNIT SER 1  73935A104        41       900  SH                     X       3       300      600
POWERSHARES QQQ TRUST      UNIT SER 1  73935A104        48     1,053  SH               X             2                        1,053
POWERSHARES QQQ TRUST      UNIT SER 1  73935A104     4,337    94,803  SH               X             3    94,803
POWERSHRS DBCMDTYIDXTRA    UT BEN INT  73935S105        71     2,899  SH                     X       3              2,899
POWERSHRS DBCMDTYIDXTRA    UT BEN INT  73935S105    13,654   554,586  SH               X             3   554,586
POWERSHARES ETF TRUST      FINLPFDPTFL 73935X229        38     2,300  SH                     X       3              2,300
POWERSHARES ETF TRUST      FINLPFDPTFL 73935X229     1,770   108,477  SH               X             3   108,477
POWERSHARES ETF TRUST      WNDRHLLCLN  73935X500        58     5,250  SH                     X       3              5,250
POWERSHARES ETF TRUST      WNDRHLLCLN  73935X500     1,665   151,331  SH               X             3   151,331
POWERSHARES ETF TRUST      H2O RESRC   73935X575        17     1,001  SH                     X       3              1,001
POWERSHARES ETF TRUST      H2O RESRC   73935X575       158     9,359  SH               X             3     9,359
POWERSHARES ETF TRUST      FTSE R1000  73935X583       379     7,985  SH                     X       3              7,985
POWERSHARES ETF TRUST      FTSE R1000  73935X583     6,403   134,885  SH               X             3   128,885              6,000
POWERSHS DBMULTISECTCOM    DB AG FD    73936B408       583    22,039  SH               X             3    22,039
POWERSHS DBMULTISECTCOM    DBBASEMTLS  73936B705       831    36,952  SH               X             3    36,952
POWERSHS DB US $ INDEX     DOLLINDBULL 73936D107       382    16,557  SH               X             3    16,557
POWERSHARES GLBL ETF TR    AGGPFDPORT  73936T565         9       650  SH                     X       3                650
POWERSHARES GLBL ETF TR    AGGPFDPORT  73936T565       133     9,820  SH               X             3     9,820
PRAXAIR INC                COM         74005P104        21       260  SH               X           1,3       260
PRAXAIR INC                COM         74005P104     1,527    19,012  SH                     X       3     8,253    6,491     4,268
PRAXAIR INC                COM         74005P104     2,570    32,000  SH               X             2    32,000
PRAXAIR INC                COM         74005P104     4,462    55,566  SH               X             3    42,983       18    12,565
PRICE T ROWE GROUP INC     COM         74144T108       143     2,687  SH                     X       3     1,690      477       520
PRICE T ROWE GROUP INC     COM         74144T108       699    13,118  SH               X             3    12,468                650
PRIDE INTL INC DEL         COM         74153Q102        24       737  SH                     X       3                 67       670
PRIDE INTL INC DEL         COM         74153Q102       190     5,969  SH               X             3     4,880              1,089
PRINCIPAL FINL GR IN       COM         74251V102        11       451  SH                     X       3                451
PRINCIPAL FINL GR IN       COM         74251V102       635    26,405  SH               X             3    23,233              3,172
PRINCIPAL FINL GR IN       COM         74251V102     2,353    97,880  SH               X             2    97,880
PROASSURANCE CORP          COM         74267C106        61     1,135  SH                     X       3              1,135
PROASSURANCE CORP          COM         74267C106       338     6,298  SH               X             3     6,121                177
PROSHARES TR               PSHULTSP501 74347R107       350     9,155  SH               X             3     9,155
PROSHARES TR               ULTSH 20YRS 74347R297     4,257    85,341  SH               X             3    85,341
PRUDENTIAL PLC             ADR         74435K204       236    11,597  SH                     X       3              5,204     6,393
PRUDENTIAL PLC             ADR         74435K204       515    25,276  SH               X             3    11,058             14,218
PUBLIC STORAGE             COM         74460D109        33       400  SH               X           1,3       400
PUBLIC STORAGE             COM         74460D109        39       475  SH                     X       3                475
PUBLIC STORAGE             COM         74460D109       334     4,104  SH               X             3     4,089                 15
QUEST DIAGNOSTICS INC      COM         74834L100       187     3,105  SH                     X       3              1,727     1,378
QUEST DIAGNOSTICS INC      COM         74834L100       362     6,000  SH               X             2     6,000
QUEST DIAGNOSTICS INC      COM         74834L100       418     6,925  SH               X             3     6,400                525
RANGE RES CORP             COM         75281A109         9       187  SH                     X       3                187
RANGE RES CORP             COM         75281A109       881    17,669  SH               X             3    13,263              4,406
REGENCY ENER PARTN L P     COMUTS LP   75885Y107       381    18,200  SH                     X       3             18,200
REGIONS FINANCIAL CORP     COM         7591EP100       251    47,404  SH               X             3    47,404
RESOLUTE ENERGY CORP       COM         76116A108        45     3,870  SH                     X       3                        3,870





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
RESOLUTE ENERGY CORP       COM         76116A108     1,996   173,199  SH               X             3   144,415             28,784
RESOLUTE ENERGY CORP       COM         76116A108    13,167 1,143,000  SH               X             2 1,143,000
RYDEX ETF TRUST            S&P 500EQTR 78355W106       134     3,389  SH                     X       3       829    2,560
RYDEX ETF TRUST            S&P 500EQTR 78355W106     2,331    58,971  SH               X             3    58,971
SBA COMMUNICATIONS CORP    COM         78388J106       726    21,253  SH               X             3    17,634              3,619
SBA COMMUNICATIONS CORP    COM         78388J106     2,818    82,500  SH               X             2    82,500
SK TELECOM LTD             SPON ADR    78440P108       137     8,427  SH               X             3     5,947              2,480
SK TELECOM LTD             SPON ADR    78440P108       439    26,977  SH                     X       3             26,977
SLM CORP                   COM         78442p106       121    10,750  SH               X             2                       10,750
SPDR TR                    UNIT SER 1  78462F103     3,341    29,976  SH                     X       3       750   29,226
SPDR TR                    UNIT SER 1  78462F103    55,720   499,999  SH               X             3   489,910    3,887     6,202
SPDR GOLD TRUST            GOLD SHS    78463V107       561     5,228  SH                     X       3       375    4,853
SPDR GOLD TRUST            GOLD SHS    78463V107     5,189    48,354  SH               X             3    47,474      880
SPDR SERIES TRUST          DJ REIT ETF 78464A607        97     1,978  SH                     X       3              1,978
SPDR SERIES TRUST          DJ REIT ETF 78464A607       137     2,789  SH               X             2     2,789
SPDR SERIES TRUST          DJ REIT ETF 78464A607     4,977   101,145  SH               X             3    99,365      800       980
SPDR SERIES TRUST          S&P DIV ETF 78464A763       291     6,300  SH                     X       3              6,300
SRA INTL INC               CL A        78464r105        37     1,944  SH               X             2                        1,944
SAKS INC                   COM         79377W108         1       137  SH                     X       3                137
SAKS INC                   COM         79377W108       119    18,104  SH               X             3    17,869                235
SANOFI AVENTIS             SPON ADR    80105N105       222     5,655  SH               X             3     5,520                135
SANOFI AVENTIS             SPON ADR    80105N105       540    13,746  SH                     X       3             13,746
SEALED AIR CORP NEW        COM         81211K100        46     2,126  SH                     X       3              2,126
SEALED AIR CORP NEW        COM         81211K100       872    39,874  SH               X             3    34,918              4,956
SEALED AIR CORP NEW        COM         81211K100     3,264   149,324  SH               X             2   149,324
SELECT SECTOR SPDR TR      SBI MATERLS 81369Y100        14       425  SH                     X       3       425
SELECT SECTOR SPDR TR      SBI MATERLS 81369Y100       357    10,823  SH               X             3    10,823
SELECT SECTOR SPDR TR      SBICONSDISC 81369Y407       461    15,490  SH               X             3    15,490
SELECT SECTOR SPDR TR      SBIINT-FINL 81369Y605         5       356  SH               X           1,3       356
SELECT SECTOR SPDR TR      SBIINT-FINL 81369Y605       106     7,380  SH                     X       3              7,380
SELECT SECTOR SPDR TR      SBIINT-FINL 81369Y605     1,445   100,363  SH               X             3    96,363              4,000
SELECT SECTOR SPDR TR      SBIINT-TECH 81369Y803         6       250  SH               X           1,3       250
SELECT SECTOR SPDR TR      SBIINT-TECH 81369Y803       199     8,690  SH                     X       3     1,060    7,630
SELECT SECTOR SPDR TR      SBIINT-TECH 81369Y803       524    22,842  SH               X             3    22,842
SELECT SECTOR SPDR TR      SBIINT-UTIL 81369Y886        89     2,880  SH                     X       3              2,880
SELECT SECTOR SPDR TR      SBIINT-UTIL 81369Y886     1,019    32,862  SH               X             3    31,132              1,730
SIRIUS XM RADIO INC        COM         82967N108         2     2,950  SH               X             3     2,950
SIRIUS XM RADIO INC        COM         82967N108        19    31,250  SH                     X       3             31,250
SKYWORKS SOLUTIONS INC     COM         83088M102        12       879  SH                     X       3                879
SKYWORKS SOLUTIONS INC     COM         83088M102       266    18,724  SH               X             3    18,614                110
SOUTHERN COPPER CORP       COM         84265V105       108     3,289  SH                     X       3              3,289
SOUTHERN COPPER CORP       COM         84265V105       165     5,017  SH               X             3     5,017
SOVRAN SELF STORAGE INC    COM         84610H108       579    16,194  SH               X             3    16,194
SOVRAN SELF STORAGE INC    COM         84610H108     2,466    69,027  SH               X             2    69,027
SPECTRA EN PRTNRS LP       COM         84756N109       636    21,500  SH                     X       3             21,500
STAGE STORES INC           COM NEW     85254C305        40     3,250  SH                     X       3                        3,250
STAGE STORES INC           COM NEW     85254C305       248    20,030  SH               X             3    14,655              5,375
STARWOOD HOTELS&RESORTS    COM         85590A401        11       306  SH                     X       3                306
STARWOOD HOTELS&RESORTS    COM         85590A401       418    11,437  SH               X             3    11,437
STONEMOR PARTNERS L P      COM UNITS   86183Q100       631    31,960  SH               X             3    31,960
SUNOCO INC                 COM         86764P109        74     2,854  SH                     X       3              1,638     1,216
SUNOCO INC                 COM         86764P109       232     8,870  SH               X             3     8,174                696
SUPERIOR BANCORP           COM NEW     86806M205       282    85,802  SH               X           1,3    85,802
SYNCHRONOSS TECH INC       COM         87157B103       769    48,624  SH               X             3    40,338              8,286
SYNCHRONOSS TECH INC       COM         87157B103     2,980   188,500  SH               X             2   188,500
SYNGENTA AG                SPON ADR    87160A100       202     3,587  SH                     X       3              2,240     1,347
SYNGENTA AG                SPON ADR    87160A100       311     5,523  SH               X             3     2,407              3,116
SYNIVERSE HLDGS INC        COM         87163F106         7       429  SH                     X       3                429
SYNIVERSE HLDGS INC        COM         87163F106       306    17,522  SH               X             3    16,683                839
TD AMERITRADE HLDG CORP    COM         87236Y108       215    11,117  SH               X             3    11,117
TS&W CLAYMORE TAXADV BL    COM         87280R108       114    11,928  SH               X             3    11,928
TARGA RESOURCES PART LP    COM UT      87611X105       421    17,300  SH                     X       3             17,300
TELECOM ITALIA SPA NEW     SP ADR ORD  87927Y102         5       351  SH                     X       3                351
TELECOM ITALIA SPA NEW     SP ADR ORD  87927Y102       152     9,863  SH               X             3     9,590                273
TELECOM ITALIA SPA NEW     SP ADR SVG  87927Y201        21     1,919  SH               X             3     1,919
TELECOM ITALIA SPA NEW     SP ADR SVG  87927Y201       393    35,700  SH                     X       3             35,700
TENET HEALTHCARE CORP      COM         88033G100       638   118,312  SH               X             3   100,464             17,848
TENET HEALTHCARE CORP      COM         88033G100     2,148   398,600  SH               X             2   398,600
TERADATA CORP DEL          COM         88076W103       210     6,677  SH                     X       3              6,677
TERADATA CORP DEL          COM         88076W103       669    21,278  SH               X             3    21,233                 45
3M CO                      COM         88579Y101       200     2,425  SH               X           1,3     2,425
3M CO                      COM         88579Y101     4,269    51,639  SH                     X       3     7,480   38,263     5,896
3M CO                      COM         88579Y101    17,129   207,200  SH               X             2    69,600            137,600
3M CO                      COM         88579Y101    20,273   245,222  SH               X             3   216,098    3,675    25,449
TIME WARNER CABLE INC      COM         88732J207        26       622  SH                     X       3        25      596         1
TIME WARNER CABLE INC      COM         88732J207       629    15,183  SH               X             3    15,030       76        77
TIME WARNER CABLE INC      COM         88732J207     1,301    31,421  SH               X             2    31,288                133
TORTOISE EN INFRSTRCT C    COM         89147L100         5       155  SH                     X       3                155
TORTOISE EN INFRSTRCT C    COM         89147L100     4,985   160,693  SH               X             3   160,693
TREEHOUSE FOODS INC        COM         89469A104       194     5,000  SH               X             2                        5,000
US OIL FUND LP             UNITS       91232N108     3,932   100,100  SH               X             3   100,100
UNITED THERAP CORP DEL     COM         91307C102        10       195  SH                     X       3                195
UNITED THERAP CORP DEL     COM         91307C102       691    13,132  SH               X             3    10,816              2,316
UNITED THERAP CORP DEL     COM         91307C102     2,380    45,200  SH               X             2    45,200
UNITEDHEALTH GROUP INC     COM         91324P102       179     5,874  SH                     X       3        50    3,463     2,361
UNITEDHEALTH GROUP INC     COM         91324P102     1,748    57,345  SH               X             2    57,345
UNITEDHEALTH GROUP INC     COM         91324P102     2,101    68,915  SH               X             3    68,758       92        65
UNIVERSAL TRAVEL GROUP     COM NEW     91388Q202     1,326   130,810  SH               X             3   108,544             22,266
UNIVERSAL TRAVEL GROUP     COM NEW     91388Q202     5,126   505,500  SH               X             2   505,500
UNUM GROUP                 COM         91529Y106        18       942  SH               X           1,3       942
UNUM GROUP                 COM         91529Y106        19       959  SH                     X       3                959
UNUM GROUP                 COM         91529Y106       387    19,849  SH               X             3    16,079              3,770
VALEANT PHARMA INTL        COM         91911X104         2        52  SH                     X       3                 52
VALEANT PHARMA INTL        COM         91911X104       506    15,921  SH               X             3    14,490              1,431
VALERO ENERGY CORP NEW     COM         91913Y100         7       416  SH                     X       3                416
VALERO ENERGY CORP NEW     COM         91913Y100       380    22,661  SH               X             3    22,631                 30
VARIAN MED SYS INC         COM         92220P105        33       700  SH                     X       3                370       330
VARIAN MED SYS INC         COM         92220P105       370     7,904  SH               X             3     2,452              5,452
VECTREN CORP               COM         92240G101       143     5,786  SH                     X       3     4,584      402       800
VECTREN CORP               COM         92240G101       222     8,988  SH               X             3     8,347                641
VEOLIA ENVIRONNEMENT       SPON ADR    92334N103       554    16,850  SH                     X       3    16,450      400
VEOLIA ENVIRONNEMENT       SPON ADR    92334N103     1,005    30,580  SH               X             3    30,580
VERIZON COMMUNIC INC       COM         92343V104        45     1,350  SH                     X     1,3       900      450
VERIZON COMMUNIC INC       COM         92343V104       597    18,018  SH               X           1,3    18,018
VERIZON COMMUNIC INC       COM         92343V104     2,869    86,611  SH                     X       3    28,015   49,470     9,126





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - 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)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
VERIZON COMMUNIC INC       COM         92343V104    19,663   593,500  SH               X             3   580,845    6,631     6,024
VERIZON COMMUNIC INC       COM         92343V104    21,127   637,709  SH               X             2   346,543            291,166
VERTEX PHARMA INC          COM         92532F100         3        70  SH                     X       3                 70
VERTEX PHARMA INC          COM         92532F100       570    13,301  SH               X             3    12,141              1,160
VIACOM INC NEW             CL B        92553P201       244     8,207  SH                     X       3              8,207
VIACOM INC NEW             CL B        92553P201       693    23,320  SH               X             3    21,725              1,595
VIACOM INC NEW             CL B        92553P201       738    24,810  SH               X             2    24,810
VISA INC                   COM CL A    92826C839        91     1,036  SH                     X       3              1,036
VISA INC                   COM CL A    92826C839       156     1,777  SH               X             3     1,752                 25
VISA INC                   COM CL A    92826C839    10,688   122,200  SH               X             2    64,800             57,400
VODAFONE GROUP PLC NEW     SP ADR NEW  92857W209       101     4,375  SH               X             2                        4,375
VODAFONE GROUP PLC NEW     SP ADR NEW  92857W209       407    17,614  SH               X             3    13,677      212     3,725
VODAFONE GROUP PLC NEW     SP ADR NEW  92857W209       596    25,829  SH                     X       3             23,611     2,218
WASTE MGMT INC DEL         COM         94106L109         5       162  SH               X           1,3       162
WASTE MGMT INC DEL         COM         94106L109     1,278    37,792  SH                     X       3     3,500   28,320     5,972
WASTE MGMT INC DEL         COM         94106L109     1,385    40,980  SH               X             2    40,980
WASTE MGMT INC DEL         COM         94106L109     4,814   142,382  SH               X             3   138,098      487     3,797
WELLPOINT INC              COM         94973V107        86     1,467  SH                     X       3              1,467
WELLPOINT INC              COM         94973V107     1,655    28,392  SH               X             3    27,584       45       763
WILLIAMSPIPELINE PART L    COMUTLPIN   96950K103        88     3,700  SH               X             3     3,700
WILLIAMSPIPELINE PART L    COMUTLPIN   96950K103       762    32,000  SH                     X       3             32,000
WINDSTREAM CORP            COM         97381W104        47     4,255  SH                     X       3              4,255
WINDSTREAM CORP            COM         97381W104       167    15,170  SH               X             2    15,170
WINDSTREAM CORP            COM         97381W104     2,685   244,328  SH               X             3   242,837      546       945
WINTRUST FINANCIAL CORP    COM         97650W108        43     1,402  SH                     X       3                 42     1,360
WINTRUST FINANCIAL CORP    COM         97650W108       203     6,599  SH               X             3     3,409              3,190
XTO ENERGY INC             COM         98385X106        15       325  SH               X             2       325
XTO ENERGY INC             COM         98385X106        23       500  SH                     X     1,3       500
XTO ENERGY INC             COM         98385X106       451     9,700  SH               X           1,3     9,550      150
XTO ENERGY INC             COM         98385X106       904    19,420  SH                     X       3       882   18,538
XTO ENERGY INC             COM         98385X106    10,180   218,778  SH               X             3   215,253    2,350     1,175
XCEL ENERGY INC            COM         98389B100       113     5,308  SH                     X       3              4,011     1,297
XCEL ENERGY INC            COM         98389B100       375    17,680  SH               X             3    17,680
ZEP INC                    COM         98944B108         1        37  SH                     X       3                 37
ZEP INC                    COM         98944B108       306    17,658  SH               X             3    17,658
ZIMMER HLDGS INC           COM         98956P102       190     3,221  SH                     X       3       300    2,551       370
ZIMMER HLDGS INC           COM         98956P102       606    10,255  SH               X             3     9,861       44       350
ZOLTEK COS INC             COM         98975W104        11     1,200  SH               X             3     1,200
ZOLTEK COS INC             COM         98975W104       479    50,438  SH                     X       3             50,438
TELVENT GIT SA             SHS         E90215109     1,284    32,928  SH               X             3    26,745              6,183
TELVENT GIT SA             SHS         E90215109     8,213   210,700  SH               X             2   210,700
AIRCASTLE LTD              COM         G0129K104       164    16,640  SH               X             3    16,640
AMDOCS LTD                 ORD         G02602103     1,001    35,079  SH               X             3    30,789              4,290
AMDOCS LTD                 ORD         G02602103     3,562   124,854  SH               X             2   124,854
ARCH CAP GROUP LTD         ORD         G0450A105       211     2,953  SH               X             3     2,953
AXIS CAPITAL HOLDINGS      SHS         G0692U109        71     2,498  SH               X             3     2,498
AXIS CAPITAL HOLDINGS      SHS         G0692U109       147     5,176  SH                     X       3              5,176
ENERGY XXI(BERMUDA) LTD    COM SHS     G10082108     3,649 1,579,338  SH               X             3 1,315,073            264,265
ENERGY XXI(BERMUDA) LTD    COM SHS     G10082108    21,743 9,412,700  SH               X             2 9,412,700
ACCENTURE PLC IRELAND      SHS A       G1151C101       883    21,287  SH                     X       3     1,810    9,108    10,369
ACCENTURE PLC IRELAND      SHS A       G1151C101     3,733    89,954  SH               X             3    23,631             66,323
COOPER INDUSTRIES PLC      SHS         G24140108     1,272    29,828  SH               X             3    29,828
COOPER INDUSTRIES PLC      SHS         G24140108     7,898   185,215  SH               X             2   185,215
COVIDIEN PLC               SHS         G2554F105       315     6,570  SH                     X       3              2,875     3,695
COVIDIEN PLC               SHS         G2554F105     1,783    37,234  SH               X             3     5,056             32,178
ENSTAR GROUP LIMITED       SHS         G3075P101       495     6,769  SH               X             3     5,676              1,093
ENSTAR GROUP LIMITED       SHS         G3075P101     1,942    26,600  SH               X             2    26,600
INGERSOLL-RAND PLC         SHS         G47791101         4       100  SH                     X     1,3                100
INGERSOLL-RAND PLC         SHS         G47791101        66     1,860  SH                     X       3                334     1,526
INGERSOLL-RAND PLC         SHS         G47791101        90     2,515  SH               X           1,3     2,515
INGERSOLL-RAND PLC         SHS         G47791101       145     4,066  SH               X             3     4,066
INGERSOLL-RAND PLC         SHS         G47791101     7,788   217,900  SH               X             2   125,600             92,300
INVESCO LTD                SHS         G491BT108        47     1,984  SH                     X       3                214     1,770
INVESCO LTD                SHS         G491BT108     1,409    59,966  SH               X             3    54,176              5,790
INVESCO LTD                SHS         G491BT108     6,284   267,549  SH               X             2   267,549
LAZARD LTD                 SHS A       G54050102        13       340  SH               X             3       340
LAZARD LTD                 SHS A       G54050102     1,902    50,100  SH               X             2    50,100
MARVELL TECH GROUP LTD     ORD         G5876H105       223    10,753  SH                     X       3              6,203     4,550
MARVELL TECH GROUP LTD     ORD         G5876H105       248    11,955  SH               X             3     7,498              4,457
MARVELL TECH GROUP LTD     ORD         G5876H105     1,788    86,170  SH               X             2    86,170
MAX CAPITAL GROUP LTD      SHS         G6052F103        42     1,900  SH                     X       3                        1,900
MAX CAPITAL GROUP LTD      SHS         G6052F103       331    14,830  SH               X             3    11,680              3,150
NABORS INDUSTRIES LTD      SHS         G6359F103         9       400  SH               X           1,3       400
NABORS INDUSTRIES LTD      SHS         G6359F103       228    10,395  SH               X             2    10,395
NABORS INDUSTRIES LTD      SHS         G6359F103       920    42,007  SH                     X       3     2,544   39,463
NABORS INDUSTRIES LTD      SHS         G6359F103     8,508   388,677  SH               X             3   379,052    5,960     3,665
ONEBEACON INS GROUP LT     CL A        G67742109        61     4,430  SH                     X       3                        4,430
ONEBEACON INS GROUP LT     CL A        G67742109       208    15,100  SH               X             3    15,100
PARTNERRE LTD              COM         G6852T105       613     8,212  SH               X             3     6,972              1,240
PARTNERRE LTD              COM         G6852T105     2,508    33,597  SH               X             2    33,597
PLATINUM UNDRWRT HLDGSL    COM         G7127P100        58     1,503  SH                     X       3                333     1,170
PLATINUM UNDRWRT HLDGSL    COM         G7127P100       380     9,925  SH               X             3     7,975              1,950
SEAGATE TECHNOLOGY         SHS         G7945J104        31     1,702  SH                     X       3                702     1,000
SEAGATE TECHNOLOGY         SHS         G7945J104       455    25,000  SH   PUT         X             3
SEAGATE TECHNOLOGY         SHS         G7945J104       687    37,783  SH               X             3    33,533              4,250
UTI WORLDWIDE INC          ORD         G87210103       375    26,200  SH               X             3    26,200
CHARDAN2008CH ACQST COR    SHS         G8977T101     2,010   224,600  SH               X             2   224,600
WILLIS GROUP HLDGS LTD     SHS         G96655108        44     1,655  SH                     X       3                        1,655
WILLIS GROUP HLDGS LTD     SHS         G96655108       391    14,832  SH               X             3    12,262              2,570
XL CAP LTD                 CL A        G98255105       152     8,289  SH               X             3     8,289
XL CAP LTD                 CL A        G98255105     1,813    98,900  SH               X             2    98,900
ALCON INC                  COM SHS     H01301102       153       929  SH                     X       3       430      499
ALCON INC                  COM SHS     H01301102       990     6,023  SH               X             3     6,023
NOBLE CORPORATION BAAR     NAMEN -AKT  H5833N103       814    20,011  SH               X             3    20,011
NOBLE CORPORATION BAAR     NAMEN -AKT  H5833N103     3,833    94,163  SH               X             2    94,163
NOBLE CORPORATION BAAR     NAMEN -AKT  H5833N103       120     2,960  SH                     X       3              2,285       675
TRANSOCEAN LTD             REG SHS     H8817H100     1,128    13,629  SH                     X       3     3,849    5,500     4,280
TRANSOCEAN LTD             REG SHS     H8817H100     9,010   108,813  SH               X             3    95,089      731    12,993
TRANSOCEAN LTD             REG SHS     H8817H100    10,547   127,384  SH               X             2    78,316             49,068
TYCO INTERNATIONAL LTD     SHS         H89128104       354     9,920  SH                     X       3              4,525     5,395
TYCO INTERNATIONAL LTD     SHS         H89128104     2,022    56,666  SH               X             3    13,101             43,565
TYCO INTERNATIONAL LTD     SHS         H89128104     2,347    65,775  SH               X             2    62,500              3,275
TYCO ELECT LTD SWITZER     SHS         H8912P106       288    11,750  SH                     X       3              6,325     5,425
TYCO ELECT LTD SWITZER     SHS         H8912P106     1,898    77,305  SH               X             3    11,157             66,148
UBS AG                     SHS NEW     H89231338        17     1,118  SH               X             3     1,118





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 12/31/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
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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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UBS AG                     SHS NEW     H89231338       170    10,946  SH                     X       3             10,946
MILLICOM INTL CELL S A     SHS NEW     L6388F110        91     1,232  SH                     X       3                448       784
MILLICOM INTL CELL S A     SHS NEW     L6388F110       255     3,451  SH               X             3     1,602              1,849
CHECKPOINT SFTWR TECH      ORD         M22465104        18       549  SH               X             3       549
CHECKPOINT SFTWR TECH      ORD         M22465104     2,802    82,700  SH               X             2    82,700
AERCAP HOLDINGS NV         SHS         N00985106       184    20,300  SH               X             3    20,300
ASML HOLDING N V           NY REG SHS  N07059186     2,553    74,900  SH               X             2    74,900
ASML HOLDING N V           NY REG SHS  N07059186        41     1,192  SH               X             3     1,192
EURAND N V                 SHS         N31010106       694    53,824  SH               X             3    44,640              9,184
EURAND N V                 SHS         N31010106     2,694   208,800  SH               X             2   208,800
ROYAL CARIBBEAN CRUISES    COM         V7780T103       126     5,000  SH               X             2                        5,000
DIANA SHIPPING INC         COM         Y2066G104       566    39,091  SH               X             3    39,091
DIANA SHIPPING INC         COM         Y2066G104     2,394   165,362  SH               X             2   165,362
FLEXTRONICS INTL LTD       ORD         Y2573F102        75    10,256  SH                     X       3              3,878     6,378
FLEXTRONICS INTL LTD       ORD         Y2573F102       234    31,961  SH               X             3     8,319             23,642
FLEXTRONICS INTL LTD       ORD         Y2573F102    10,196 1,394,755  SH               X             2   555,877            838,878