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

                                      Form 13F

                                Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   06/30/2005

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

Institutional Investment Manager Filing this Report:

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

Form 13F File Number:    28-272

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:      R. J. Erickson 
Title:     Senior Vice President & General Counsel 
Phone:     414-765-7809

Signature, Place, and Date of Signing:

/s/ R. J. Erickson                   Milwaukee, WI          08/05/2005
------------------------------
      [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:               1,349

Form 13F Information Table Value Total:             $ 3,942,564
                                                    (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
    --    --------------------  -------------------------------------

    01          28-7680         Marshall & Ilsley Trust Company N.A.
                                 (formerly known as M&I National
                                  Trust Company and successor to
                                  Marshall & Ilsley Trust Company,
                                  13F file no. 28-273;
                                  Marshall & Ilsley Trust Company of
                                  Florida, 13F file no. 28-4318; and
                                  Marshall & Ilsley Trust Company of
                                  Arizona, SEC file no. 28-4316)

    05          28-274          M&I Investment Management Corp.

    06          28-6060         Attorney Harrold J. McComas




                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
DEUTSCHE BANK AG NAMEN    ORD              D18190898       217     2,790 SH             X    1                2,790
ACE LTD                   ORD              G0070K103     9,904   220,829 SH     X            1      220,829
ACE LTD                   ORD              G0070K103        13       291 SH             X    1                  291
AMDOCS LTD                ORD              G02602103     2,685   101,586 SH     X            1      101,586
ASSURED GUARANTY LTD      COM              G0585R106     4,198   179,718 SH     X            1      179,718
COOPER INDS LTD           CL A             G24182100       921    14,412 SH     X            1       14,412
COOPER INDS LTD           CL A             G24182100        11       174 SH             X    1                  174
GLOBALSANTAFE CORP        SHS              G3930E101     5,379   131,827 SH     X            1      128,256             3,571
GLOBALSANTAFE CORP        SHS              G3930E101       460    11,270 SH             X    1 6             11,220        50
INGERSOLL-RAND COMPANY    CL A             G4776G101       464     6,507 SH     X            1        6,483      24
INGERSOLL-RAND COMPANY    CL A             G4776G101        59       831 SH             X    1                  831
NABORS INDUSTRIES LTD     SHS              G6359F103     1,356    22,367 SH     X            1       22,322      45
NABORS INDUSTRIES LTD     SHS              G6359F103        14       223 SH             X    1                  223
NOBLE CORPORATION         SHS              G65422100    11,058   179,770 SH     X            1      179,770
NOBLE CORPORATION         SHS              G65422100         3        41 SH             X    1                   41
ORIENT-EXPRESS HOTELS     CL A             G67743107       402    12,700 SH     X            1       12,700
PARTNERRE LTD             COM              G6852T105    12,251   190,175 SH     X            1      190,175
PARTNERRE LTD             COM              G6852T105        26       405 SH             X    1                  405
RENAISSANCERE HOLDINGS    COM              G7496G103     4,878    99,062 SH     X            1       99,062
SEAGATE TECHNOLOGY        SHS              G7945J104     1,971   112,283 SH     X            1      112,283
TRANSOCEAN INC            ORD              G90078109     1,318    24,430 SH     X            1       24,430
TRANSOCEAN INC            ORD              G90078109       246     4,563 SH             X    1                4,563
UBS AG                    NAMEN AKT        H8920M855       552     7,094 SH     X            1        5,321             1,773
UBS AG                    NAMEN AKT        H8920M855       272     3,500 SH             X    1                3,500
CHECK POINT SFTWR TECH    ORD              M22465104       114     5,759 SH     X            1        5,759
CHECK POINT SFTWR TECH    ORD              M22465104       187     9,430 SH             X    1                9,430
LIPMAN ELECTRNC ENGNRNG   ORD              M6772H101     2,401    78,033 SH     X            1       78,033
SYNERON MEDICAL LTD       ORD SHS          M87245102     2,284    62,426 SH     X            1       62,426
AAR CORP                  COM              000361105     2,380   151,492 SH     X            1      151,492
AFLAC INC                 COM              001055102       545    12,582 SH     X            1       12,420      87        75
AFLAC INC                 COM              001055102       114     2,645 SH             X    1        1,600     920       125
AES CORP                  COM              00130H105       649    39,642 SH     X            1       39,391     251
AES CORP                  COM              00130H105        24     1,463 SH             X    1                1,463
AMDL INC                  COM PAR $0.001   00167K401        14    30,000 SH     X            1       30,000
AT&T CORP                 COM NEW          001957505     2,006   105,339 SH     X            1      104,814               525
AT&T CORP                 COM NEW          001957505        93     4,865 SH             X    1 6        160   4,705
ABBOTT LABS               COM              002824100    21,559   439,888 SH     X            1      399,735  26,302    13,851
ABBOTT LABS               COM              002824100     4,042    82,463 SH             X    1 6      9,200  67,638     5,625
ABERCROMBIE & FITCH CO    CL A             002896207     2,491    36,252 SH     X            1       36,252
ABERCROMBIE & FITCH CO    CL A             002896207         8       110 SH             X    1                  110
ABERDEEN ASIA PACFC INC   COM              003009107        94    15,017 SH     X            1       15,017
ACACIA RESH CORP          ACACIA TCH COM   003881307     1,233   260,096 SH     X            1      259,308               788
ACTIVISION INC NEW        COM NEW          004930202     1,489    90,163 SH     X            1       90,163
ADESA INC                 COM              00686U104     9,057   416,030 SH     X            1      416,030
ADESA INC                 COM              00686U104         7       310 SH             X    1                  310
ADOBE SYS INC             COM              00724F101     2,156    75,366 SH     X            1       75,236     130
ADOBE SYS INC             COM              00724F101        97     3,404 SH             X    1                3,054       350
ADTRAN INC                COM              00738A106     1,772    71,652 SH     X            1       71,652
ADVANCE AUTO PARTS INC    COM              00751Y106     2,651    41,075 SH     X            1       41,075
ADVANCED MICRO DEVICES    COM              007903107     1,608    92,728 SH     X            1       92,728
ADVANCED MICRO DEVICES    COM              007903107         1        43 SH             X    1                   43
AEGON N V                 ORD AMER REG     007924103        39     3,014 SH     X            1        3,014
AEGON N V                 ORD AMER REG     007924103       157    12,221 SH             X    1               12,221
AETNA INC NEW             COM              00817Y108     3,557    42,944 SH     X            1       42,904      40
AETNA INC NEW             COM              00817Y108       786     9,485 SH             X    1                9,485
AFFILIATED CMPTR SRVCS    CL A             008190100       222     4,353 SH     X            1        4,353
AFFILIATED CMPTR SRVCS    CL A             008190100         6       115 SH             X    1                  115
AFFILIATED MGRS GROUP     COM              008252108     5,598    81,929 SH     X            1       81,929
AFFILIATED MGRS GROUP     COM              008252108         5        66 SH             X    1                   66
AIR PRODS & CHEMS INC     COM              009158106       622    10,309 SH     X            1        8,509     800     1,000
AIR PRODS & CHEMS INC     COM              009158106     1,162    19,276 SH             X    1       10,000   9,276
AIRGAS INC                COM              009363102       200     8,123 SH     X            1        8,123
AKAMAI TECHNOLOGIES       COM              00971T101     1,201    91,485 SH     X            1       91,485
ALBERTO CULVER CO         COM              013068101       255     5,896 SH     X            1        5,896
ALBERTO CULVER CO         COM              013068101         1        34 SH             X    1                   34
ALBERTSONS INC            COM              013104104       861    41,656 SH     X            1       41,456               200
ALBERTSONS INC            COM              013104104        83     4,023 SH             X    1 6              4,023
ALCAN INC                 COM              013716105       876    29,200 SH     X            1       29,200
ALCOA INC                 COM              013817101    14,427   552,106 SH     X            1      537,264   7,115     7,727
ALCOA INC                 COM              013817101     1,728    66,136 SH             X    1 6      3,222  62,844        70
ALLEGHENY ENERGY INC      COM              017361106     1,649    65,376 SH     X            1       65,267     109
ALLEGHENY ENERGY INC      COM              017361106         7       290 SH             X    1                  290
ALLEGHENY TECHNOLOGIES    COM              01741R102       992    44,971 SH     X            1       44,971
ALLEGHENY TECHNOLOGIES    COM              01741R102         7       313 SH             X    1                  313
ALLETE INC                COM NEW          018522300       195     3,916 SH     X            1        3,916
ALLETE INC                COM NEW          018522300        24       486 SH             X    1                  486
ALLIANT ENERGY CORP       COM              018802108     2,309    82,014 SH     X            1       81,270     744
ALLIANT ENERGY CORP       COM              018802108       200     7,115 SH             X    1                7,115
ALLSTATE CORP             COM              020002101     3,488    58,373 SH     X            1       57,938     435
ALLSTATE CORP             COM              020002101       843    14,108 SH             X    1          200  13,908
ALLTEL CORP               COM              020039103    11,788   189,275 SH     X            1      189,275
ALLTEL CORP               COM              020039103        57       909 SH             X    1                  909
ALTERA CORP               COM              021441100       241    12,162 SH     X            1       12,066      96
ALTERA CORP               COM              021441100         7       348 SH             X    1                  348
ALTRIA GROUP INC          COM              02209S103    40,334   623,790 SH     X            1      613,720   2,946     7,124
ALTRIA GROUP INC          COM              02209S103    12,334   190,752 SH             X    1          800 189,952
AMBAC FINL GROUP INC      COM              023139108     8,187   117,360 SH     X            1      117,324      36
AMBAC FINL GROUP INC      COM              023139108         9       124 SH             X    1                  124
AMEDISYS INC              COM              023436108     1,929    52,447 SH     X            1       52,289               158
AMEDISYS INC              COM              023436108         6       162 SH             X    1                  162





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
AMEREN CORP               COM              023608102       262     4,739 SH     X            1        4,739
AMEREN CORP               COM              023608102        11       200 SH             X    1          200
AMCORE FINL INC           COM              023912108       457    15,297 SH             X    1       15,297
AMERICAN EAGLE OUTFTRS    COM              02553E106       942    30,755 SH     X            1       30,755
AMERICAN EAGLE OUTFTRS    COM              02553E106        18       590 SH             X    1                  590
AMERICAN ELEC PWR INC     COM              025537101     6,628   179,755 SH     X            1      179,430               325
AMERICAN ELEC PWR INC     COM              025537101       150     4,063 SH             X    1 6        491   3,572
AMERICAN EXPRESS CO       COM              025816109     6,757   126,944 SH     X            1      122,473   2,222     2,249
AMERICAN EXPRESS CO       COM              025816109     1,406    26,421 SH             X    1 6      8,100  18,221       100
AMERICAN INTL GROUP       COM              026874107    18,234   313,831 SH     X            1      292,191   9,880    11,760
AMERICAN INTL GROUP       COM              026874107     2,675    46,039 SH             X    1 6      9,537  36,202       300
AMERICAN PWR CNVRSN       COM              029066107       284    12,048 SH     X            1       11,942     106
AMERICAN PWR CNVRSN       COM              029066107         9       385 SH             X    1                  385
AMERICAN STD COS INC      COM              029712106       501    11,945 SH     X            1       11,879      66
AMERICAN STD COS INC      COM              029712106        19       448 SH             X    1                  448
AMERICAN TECHNLGY CORP    COM NEW          030145205        58    10,000 SH             X    1               10,000
AMERUS GROUP CO           COM              03072M108       263     5,475 SH     X            1        5,475
AMERUS GROUP CO           COM              03072M108         8       163 SH             X    1                  163
AMERISOURCEBERGEN CORP    COM              03073E105    19,092   276,089 SH     X            1      272,698             3,391
AMERISOURCEBERGEN CORP    COM              03073E105       164     2,378 SH             X    1 6              2,348        30
AMES NATL CORP            COM              031001100     2,117    19,145 SH     X            1       19,145
AMGEN INC                 COM              031162100    17,770   293,915 SH     X            1      284,898   3,169     5,848
AMGEN INC                 COM              031162100     2,700    44,661 SH             X    1          660  43,751       250
AMSOUTH BANCORPORATION    COM              032165102     2,652   102,004 SH     X            1      101,814               190
AMSOUTH BANCORPORATION    COM              032165102        30     1,141 SH             X    1 6              1,141
AMYLIN PHARMACEUTICALS    COM              032346108     4,523   216,086 SH     X            1      215,787               299
ANADARKO PETE CORP        COM              032511107     8,371   101,900 SH     X            1      100,710     675       515
ANADARKO PETE CORP        COM              032511107     1,279    15,565 SH             X    1 6        250  15,315
ANALOG DEVICES INC        COM              032654105     6,742   180,694 SH     X            1      175,498      56     5,140
ANALOG DEVICES INC        COM              032654105       438    11,727 SH             X    1 6             10,727     1,000
ANCHOR BANCORP WIS INC    COM              032839102     3,310   109,393 SH     X            1      109,393
ANCHOR BANCORP WIS INC    COM              032839102       829    27,380 SH             X    1               27,380
ANGLOGOLD ASHANTI LTD     SPONSORED ADR    035128206        49     1,378 SH     X            1        1,378
ANGLOGOLD ASHANTI LTD     SPONSORED ADR    035128206       170     4,765 SH             X    1                4,765
ANHEUSER BUSCH COS INC    COM              035229103     3,443    75,250 SH     X            1       71,861      98     3,291
ANHEUSER BUSCH COS INC    COM              035229103     1,934    42,268 SH             X    1       26,682  15,586
AON CORP                  COM              037389103       188     7,516 SH     X            1        7,491                25
AON CORP                  COM              037389103        81     3,250 SH             X    1                3,250
APACHE CORP               COM              037411105     2,583    39,989 SH     X            1       39,857      32       100
APACHE CORP               COM              037411105       207     3,212 SH             X    1                2,962       250
APARTMENT INVT & MGMT     CL A             03748R101     1,372    33,519 SH     X            1       33,344               175
APARTMENT INVT & MGMT     CL A             03748R101        28       693 SH             X    1 6                693
APOLLO GROUP INC          CL A             037604105       633     8,091 SH     X            1        8,054      37
APOLLO GROUP INC          CL A             037604105        12       154 SH             X    1                  154
APPLE COMPUTER INC        COM              037833100     9,761   265,175 SH     X            1      263,498             1,677
APPLE COMPUTER INC        COM              037833100        75     2,024 SH             X    1           70   1,954
APRIA HEALTHCARE GROUP    COM              037933108    13,971   403,314 SH     X            1      403,314
APPLIED MATLS INC         COM              038222105     6,208   383,681 SH     X            1      363,504   3,255    16,922
APPLIED MATLS INC         COM              038222105       639    39,495 SH             X    1 6      2,275  37,220
ARCH COAL INC             COM              039380100     7,107   130,480 SH     X            1      130,480
ARCHER DANIELS MIDLAND    COM              039483102     6,464   302,321 SH     X            1      302,321
ARCHER DANIELS MIDLAND    COM              039483102        52     2,431 SH             X    1                2,431
ARM HLDGS PLC             SPONSORED ADR    042068106       124    20,200 SH     X            1       20,200
ARRIS GROUP INC           COM              04269Q100     1,677   192,480 SH     X            1      192,480
ARVINMERITOR INC          COM              043353101       508    28,547 SH     X            1       28,547
ARVINMERITOR INC          COM              043353101         1        49 SH             X    1                   49
ASHLAND INC               COM              044204105     1,044    14,530 SH     X            1       14,479      51
ASHLAND INC               COM              044204105         3        37 SH             X    1                   37
ASSOCIATED BANC CORP      COM              045487105     8,387   249,761 SH     X            1      223,997   4,272    21,492
ASSOCIATED BANC CORP      COM              045487105     3,544   105,529 SH             X    1        2,166 103,363
AUTODESK INC              COM              052769106     6,930   201,796 SH     X            1      201,796
AUTODESK INC              COM              052769106        34       994 SH             X    1                  994
AUTOLIV INC               COM              052800109     1,343    30,653 SH     X            1       30,653
AUTOLIV INC               COM              052800109        27       613 SH             X    1          613
AUTOMATIC DATA PRCSNG     COM              053015103       803    19,137 SH     X            1       19,082      55
AUTOMATIC DATA PRCSNG     COM              053015103       485    11,564 SH             X    1               11,564
AUTOZONE INC              COM              053332102       429     4,640 SH     X            1        4,618      22
AUTOZONE INC              COM              053332102        29       311 SH             X    1                  311
AVAYA INC                 COM              053499109       268    32,200 SH     X            1       32,200
AVAYA INC                 COM              053499109         8       916 SH             X    1           21     895
AVERY DENNISON CORP       COM              053611109       110     2,083 SH     X            1        2,083
AVERY DENNISON CORP       COM              053611109       110     2,070 SH             X    1                2,070
AVON PRODS INC            COM              054303102       331     8,735 SH     X            1        8,702      33
AVON PRODS INC            COM              054303102        29       767 SH             X    1                  767
BB&T CORP                 COM              054937107     9,869   246,898 SH     X            1      245,909      51       938
BB&T CORP                 COM              054937107        78     1,952 SH             X    1 6              1,952
BISYS GROUP INC           COM              055472104    10,950   732,935 SH     X            1      732,935
BISYS GROUP INC           COM              055472104         3       195 SH             X    1                  195
BP PLC                    SPONSORED ADR    055622104    11,080   177,625 SH     X            1      160,294   9,421     7,910
BP PLC                    SPONSORED ADR    055622104     5,216    83,618 SH             X    1 6      9,880  70,948     2,790
BMC SOFTWARE INC          COM              055921100     8,703   484,827 SH     X            1      484,827
BMC SOFTWARE INC          COM              055921100        16       895 SH             X    1                  895
BADGER METER INC          COM              056525108    25,056   606,690 SH     X            1       59,214           547,476
BADGER METER INC          COM              056525108       504    12,200 SH             X    1          800  11,400
BAKER HUGHES INC          COM              057224107     1,139    22,260 SH     X            1       22,255                 5
BAKER HUGHES INC          COM              057224107        17       325 SH             X    1                  325
BANCO SANTANDER CENT H    ADR              05964H105       135    11,630 SH     X            1       11,630
BANK OF AMERICA CORP      COM              060505104    45,607   999,945 SH     X            1      987,582   4,586     7,777
BANK OF AMERICA CORP      COM              060505104     3,392    74,376 SH             X    1 6      4,522  69,854
BANK MUTUAL CORP NEW      COM              063750103       237    21,398 SH     X            1       21,398





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
BANK MUTUAL CORP NEW      COM              063750103       195    17,668 SH             X    1               17,668
BANK NEW YORK INC         COM              064057102     1,950    67,748 SH     X            1       65,411   2,307        30
BANK NEW YORK INC         COM              064057102       433    15,040 SH             X    1        2,050   7,240     5,750
BANTA CORP                COM              066821109       230     5,061 SH     X            1        5,061
BANTA CORP                COM              066821109        45     1,000 SH             X    1                1,000
BARD C R INC              COM              067383109       717    10,779 SH     X            1       10,725      54
BARD C R INC              COM              067383109     1,468    22,065 SH             X    1       16,400   5,665
BARRICK GOLD CORP         COM              067901108       489    19,530 SH             X    1               19,530
BAUSCH & LOMB INC         COM              071707103    12,525   150,899 SH     X            1      150,899
BAUSCH & LOMB INC         COM              071707103         9       110 SH             X    1                  110
BAXTER INTL INC           COM              071813109     7,774   209,548 SH     X            1      206,968   1,000     1,580
BAXTER INTL INC           COM              071813109       594    15,998 SH             X    1        1,912  14,086
BE AEROSPACE INC          COM              073302101     2,277   145,662 SH     X            1      145,662
BEAR STEARNS COS INC      COM              073902108       348     3,351 SH     X            1        3,351
BEAR STEARNS COS INC      COM              073902108        13       125 SH             X    1                  125
BECTON DICKINSON & CO     COM              075887109       386     7,361 SH     X            1        7,321      40
BECTON DICKINSON & CO     COM              075887109         6       108 SH             X    1                  108
BED BATH & BEYOND INC     COM              075896100       509    12,188 SH     X            1       12,148      40
BED BATH & BEYOND INC     COM              075896100       286     6,854 SH             X    1                6,854
BELLSOUTH CORP            COM              079860102    13,655   513,912 SH     X            1      500,647  10,212     3,053
BELLSOUTH CORP            COM              079860102     1,733    65,224 SH             X    1 6     19,002  43,818     2,404
BEMIS INC                 COM              081437105       210     7,899 SH     X            1        7,899
BEMIS INC                 COM              081437105         8       320 SH             X    1                  320
BERKLEY W R CORP          COM              084423102       948    26,556 SH     X            1       26,556
BERKLEY W R CORP          COM              084423102        11       310 SH             X    1                  310
BERKSHIRE HATHAWAY INC    CL A             084670108     1,002        12 SH     X            1           12
BERKSHIRE HATHAWAY INC    CL A             084670108     1,169        14 SH             X    1                   12         2
BERKSHIRE HATHAWAY INC    CL B             084670207     2,497       897 SH     X            1          844      45         8
BERKSHIRE HATHAWAY INC    CL B             084670207     1,152       414 SH             X    1                  374        40
BEST BUY INC              COM              086516101     9,577   139,713 SH     X            1      135,511      37     4,165
BEST BUY INC              COM              086516101     1,820    26,551 SH             X    1 6             26,176       375
BIG LOTS INC              COM              089302103       185    14,000 SH     X            1       14,000
BIOMET INC                COM              090613100       674    19,466 SH     X            1       16,633      93     2,740
BIOMET INC                COM              090613100        75     2,158 SH             X    1                2,158
BIOGEN IDEC INC           COM              09062X103        52     1,514 SH     X            1        1,514
BIOGEN IDEC INC           COM              09062X103       210     6,082 SH             X    1                6,082
BLACK & DECKER CORP       COM              091797100       654     7,274 SH     X            1        6,751      23       500
BLACK & DECKER CORP       COM              091797100        21       233 SH             X    1                  233
BLACKROCK FLA INSD MUN    COM              09247H106       184    11,954 SH     X            1       11,954
BLOCK H & R INC           COM              093671105       549     9,408 SH     X            1        9,351      57
BLOCK H & R INC           COM              093671105        91     1,551 SH             X    1          800     751
BOEING CO                 COM              097023105     9,827   148,896 SH     X            1      139,332   1,724     7,840
BOEING CO                 COM              097023105       839    12,718 SH             X    1 6      1,700  10,684       334
BORG WARNER INC           COM              099724106       520     9,682 SH     X            1        9,682
BORG WARNER INC           COM              099724106        11       210 SH             X    1                  210
BOSTON SCIENTIFIC CORP    COM              101137107       762    28,207 SH     X            1       24,069      74     4,064
BOSTON SCIENTIFIC CORP    COM              101137107        32     1,195 SH             X    1                1,195
BOWATER INC               COM              102183100     9,411   290,725 SH     X            1      290,725
BRADY CORP                CL A             104674106       107     3,454 SH     X            1        3,454
BRADY CORP                CL A             104674106     1,606    51,800 SH             X    1               51,800
BRIGGS & STRATTON CORP    COM              109043109       195     5,624 SH     X            1        5,624
BRIGGS & STRATTON CORP    COM              109043109       235     6,800 SH             X    1                6,800
BRISTOL MYERS SQUIBB      COM              110122108    15,300   612,477 SH     X            1      598,097   9,277     5,103
BRISTOL MYERS SQUIBB      COM              110122108     1,704    68,229 SH             X    1        6,252  58,377     3,600
BROADCOM CORP             CL A             111320107     1,201    33,808 SH     X            1       33,808
BROADCOM CORP             CL A             111320107         3        74 SH             X    1                   74
BROWN FORMAN CORP         CL B             115637209       253     4,180 SH     X            1        4,180
BROWN FORMAN CORP         CL B             115637209         5        90 SH             X    1                   90
BRUNSWICK CORP            COM              117043109     6,522   150,563 SH     X            1      150,563
BRUNSWICK CORP            COM              117043109        14       317 SH             X    1                  317
BURLINGTN NRTN SNTA FE    COM              12189T104     3,883    82,475 SH     X            1       80,989     886       600
BURLINGTN NRTN SNTA FE    COM              12189T104       569    12,085 SH             X    1        1,062   7,023     4,000
BURLINGTON RES INC        COM              122014103    12,435   225,108 SH     X            1      224,372      40       696
BURLINGTON RES INC        COM              122014103       585    10,599 SH             X    1        1,279   8,320     1,000
CB RICHARD ELLIS GROUP    CL A             12497T101     3,194    72,831 SH     X            1       72,610               221
CIGNA CORP                COM              125509109       905     8,458 SH     X            1        8,458
CIGNA CORP                COM              125509109        59       551 SH             X    1                  551
CSX CORP                  COM              126408103     7,674   179,889 SH     X            1      179,889
CSX CORP                  COM              126408103        33       768 SH             X    1                  768
CVS CORP                  COM              126650100    10,649   366,322 SH     X            1      366,322
CVS CORP                  COM              126650100       146     5,016 SH             X    1                5,016
CV THERAPEUTICS INC       COM              126667104     1,746    77,865 SH     X            1       77,642               223
CAMECO CORP               COM              13321L108       255     5,700 SH     X            1        5,700
CAMECO CORP               COM              13321L108        40       885 SH             X    1                  885
CAMPBELL SOUP CO          COM              134429109       471    15,295 SH     X            1       15,226      69
CAMPBELL SOUP CO          COM              134429109        31       998 SH             X    1                  998
CANADIAN NAT RES LTD      COM              136385101       333     9,153 SH     X            1        5,203             3,950
CAPITAL ONE FINL CORP     COM              14040H105     1,233    15,412 SH     X            1       15,287               125
CAPITAL ONE FINL CORP     COM              14040H105        12       156 SH             X    1                  156
CAPSTONE TURBINE CORP     COM              14067D102        19    15,000 SH     X            1       15,000
CARDINAL HEALTH INC       COM              14149Y108     2,380    41,342 SH     X            1       41,303      39
CARDINAL HEALTH INC       COM              14149Y108       331     5,744 SH             X    1           21   5,723
CAREMARK RX INC           COM              141705103     4,032    90,555 SH     X            1       90,374      56       125
CAREMARK RX INC           COM              141705103       106     2,372 SH             X    1                2,022       350
CARLISLE COS INC          COM              142339100     1,681    24,495 SH     X            1       24,495
CARMAX INC                COM              143130102       946    35,480 SH     X            1       35,480
CARNIVAL CORP             PAIRED CTF       143658300     1,631    29,891 SH     X            1       29,833      58
CARNIVAL CORP             PAIRED CTF       143658300       427     7,833 SH             X    1                7,833
CASH SYSTEMS INC          COM              14756B102       987   119,577 SH     X            1      119,577
CATERPILLAR INC DEL       COM              149123101    13,169   138,172 SH     X            1      137,048     202       922





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
CATERPILLAR INC DEL       COM              149123101     2,580    27,074 SH             X    1 6      8,000  18,974       100
CELGENE CORP              COM              151020104     1,452    35,667 SH     X            1       35,667
CELGENE CORP              COM              151020104         7       160 SH             X    1                  160
CENDANT CORP              COM              151313103     1,474    65,897 SH     X            1       65,832      65
CENDANT CORP              COM              151313103        19       870 SH             X    1                  870
CENTENE CORP DEL          COM              15135B101     4,023   119,812 SH     X            1      119,639               173
CENTENE CORP DEL          COM              15135B101         6       184 SH             X    1                  184
CENTERPOINT ENERGY INC    COM              15189T107       297    22,508 SH     X            1       22,351     157
CENTERPOINT ENERGY INC    COM              15189T107         8       619 SH             X    1          430     189
CENTEX CORP               COM              152312104       443     6,269 SH     X            1        6,243      26
CENTEX CORP               COM              152312104        12       171 SH             X    1                  171
CENTRAL EUROPEAN DIST     COM              153435102     1,748    46,820 SH     X            1       46,820
CENTURY ALUM CO           COM              156431108       277    13,574 SH     X            1        9,620             3,954
CEPHALON INC              COM              156708109       908    22,811 SH     X            1       22,811
CHARLES & COLVARD LTD     COM              159765106     1,916    78,033 SH     X            1       78,033
CHECKPOINT SYS INC        COM              162825103       285    16,108 SH     X            1       16,108
CHEMICAL FINL CORP        COM              163731102       354    10,686 SH             X    1        4,481   6,205
CHESAPEAKE ENERGY CORP    COM              165167107     3,124   137,033 SH     X            1      137,033
CHESAPEAKE ENERGY CORP    COM              165167107        91     4,000 SH             X    1                4,000
CHEVRON CORP NEW          COM              166764100    45,546   814,477 SH     X            1      802,843   7,750     3,884
CHEVRON CORP NEW          COM              166764100     4,602    82,301 SH             X    1 6      8,878  70,705     2,718
CHICAGO BRIDGE & IRON     N Y REGISTRY SH  167250109     1,761    77,013 SH     X            1       77,013
CHICAGO BRIDGE & IRON     N Y REGISTRY SH  167250109         5       200 SH             X    1                  200
CHICOS FAS INC            COM              168615102     1,069    31,184 SH     X            1       31,184
CHICOS FAS INC            COM              168615102         3        90 SH             X    1                   90
CHILDRENS PL STORES       COM              168905107     4,104    87,930 SH     X            1       87,930
CHILDRENS PL STORES       COM              168905107         7       144 SH             X    1                  144
CHUBB CORP                COM              171232101    16,976   198,300 SH     X            1      194,411   2,081     1,808
CHUBB CORP                COM              171232101       680     7,948 SH             X    1 6              7,948
CHUNGHWA TELECOM CO       SPONSORED ADR    17133Q205       240    11,203 SH             X    1               11,203
CINCINNATI FINL CORP      COM              172062101       200     5,059 SH     X            1        5,015      44
CINCINNATI FINL CORP      COM              172062101        10       263 SH             X    1                  263
CINERGY CORP              COM              172474108    12,849   286,677 SH     X            1      286,488      42       147
CINERGY CORP              COM              172474108        55     1,224 SH             X    1 6              1,224
CISCO SYS INC             COM              17275R102    13,197   691,666 SH     X            1      682,450   5,649     3,567
CISCO SYS INC             COM              17275R102     1,830    95,890 SH             X    1 6      3,614  91,776       500
CINTAS CORP               COM              172908105       326     8,441 SH     X            1        8,441
CINTAS CORP               COM              172908105       121     3,132 SH             X    1                2,857       275
CITIGROUP INC             COM              172967101    65,468 1,416,135 SH     X            1    1,386,437   6,733    22,965
CITIGROUP INC             COM              172967101     4,838   104,654 SH             X    1 6      7,197  93,882     3,575
CITIZENS COMMUNICATNS     COM              17453B101    16,408 1,220,861 SH     X            1    1,220,370     146       345
CITIZENS COMMUNICATNS     COM              17453B101        33     2,438 SH             X    1 6              2,438
CITRIX SYS INC            COM              177376100       435    20,083 SH     X            1       19,946     137
CITRIX SYS INC            COM              177376100         9       399 SH             X    1                  399
CLARCOR INC               COM              179895107        25       852 SH     X            1          852
CLARCOR INC               COM              179895107       410    14,000 SH             X    1               14,000
CLEAR CHANNEL CMMNCTNS    COM              184502102       592    19,140 SH     X            1       15,059      57     4,024
CLEAR CHANNEL CMMNCTNS    COM              184502102        13       423 SH             X    1                  423
CLOROX CO DEL             COM              189054109     1,532    27,497 SH     X            1       27,497
CLOROX CO DEL             COM              189054109        76     1,365 SH             X    1          400     965
COACH INC                 COM              189754104     2,540    75,654 SH     X            1       75,654
COACH INC                 COM              189754104        13       392 SH             X    1                  392
COCA COLA CO              COM              191216100    16,654   398,906 SH     X            1      375,702  11,228    11,976
COCA COLA CO              COM              191216100     4,075    97,597 SH             X    1 6     19,041  77,306     1,250
COCA COLA ENTERPRISES     COM              191219104    11,141   506,192 SH     X            1      506,192
COCA COLA ENTERPRISES     COM              191219104         2        77 SH             X    1                   77
COGNIZANT TCHNLGY SOL     CL A             192446102     3,646    77,368 SH     X            1       77,368
COGNIZANT TCHNLGY SOL     CL A             192446102        14       295 SH             X    1                  295
COLGATE PALMOLIVE CO      COM              194162103     8,901   178,336 SH     X            1      169,388   4,352     4,596
COLGATE PALMOLIVE CO      COM              194162103     1,849    37,053 SH             X    1 6      1,600  33,953     1,500
COMCAST CORP NEW          CL A             20030N101     9,226   300,809 SH     X            1      298,988     211     1,610
COMCAST CORP NEW          CL A             20030N101       307    10,024 SH             X    1 6         97   9,927
COMCAST CORP NEW          CL A SPL         20030N200        59     1,979 SH     X            1        1,979
COMCAST CORP NEW          CL A SPL         20030N200       357    11,935 SH             X    1               11,935
COMERICA INC              COM              200340107     2,881    49,845 SH     X            1       49,710               135
COMERICA INC              COM              200340107       174     3,006 SH             X    1 6              3,006
COMMERCE BANCSHARES       COM              200525103       329     6,519 SH     X            1        6,519
COMMERCE BANCSHARES       COM              200525103        27       532 SH             X    1                  532
COMMERCE GROUP INC        COM              200641108       229     3,690 SH             X    1                3,690
COMMUNITY HEALTH SYS      COM              203668108     4,300   113,793 SH     X            1      113,793
COMMUNITY HEALTH SYS      COM              203668108         7       180 SH             X    1                  180
COMPUTER ASSOC INTL       COM              204912109       131     4,749 SH     X            1        4,738                11
COMPUTER ASSOC INTL       COM              204912109       121     4,407 SH             X    1                4,407
COMPUTER SCIENCES CORP    COM              205363104    12,445   284,782 SH     X            1      284,782
COMPUTER SCIENCES CORP    COM              205363104         8       175 SH             X    1                  175
COMVERSE TECHNOLOGY       COM PAR $0.10    205862402     2,683   113,561 SH     X            1      113,561
COMVERSE TECHNOLOGY       COM PAR $0.10    205862402        95     4,000 SH             X    1                4,000
CONAGRA FOODS INC         COM              205887102     2,929   126,461 SH     X            1      125,386             1,075
CONAGRA FOODS INC         COM              205887102        79     3,419 SH             X    1 6              3,419
CONOCOPHILLIPS            COM              20825C104    18,448   320,897 SH     X            1      320,771     126
CONOCOPHILLIPS            COM              20825C104       353     6,144 SH             X    1          400   5,544       200
CONSOLIDATED EDISON       COM              209115104     1,854    39,574 SH     X            1       38,506     600       468
CONSOLIDATED EDISON       COM              209115104       113     2,405 SH             X    1 6              2,405
CONSTELLATION ENERGY      COM              210371100    14,548   252,179 SH     X            1      252,179
CONSTELLATION ENERGY      COM              210371100        15       256 SH             X    1                  256
CONTANGO OIL & GAS CO     COM NEW          21075N204     1,868   203,087 SH     X            1      202,457               630
CONVERGYS CORP            COM              212485106     8,898   625,708 SH     X            1      625,673                35
CORNING INC               COM              219350105     3,075   185,009 SH     X            1      184,865     144
CORNING INC               COM              219350105        22     1,340 SH             X    1                1,340
COSI INC                  COM              22122P101     1,220   176,875 SH     X            1      176,875





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
COSTCO WHSL CORP NEW      COM              22160K105       523    11,700 SH     X            1       11,558      42       100
COSTCO WHSL CORP NEW      COM              22160K105       282     6,314 SH             X    1                6,314
COSTAR GROUP INC          COM              22160N109       681    15,613 SH     X            1       15,613
COUNTRYWIDE FINANCIAL     COM              222372104     2,927    75,811 SH     X            1       75,754      57
COUNTRYWIDE FINANCIAL     COM              222372104       421    10,892 SH             X    1               10,892
COVANCE INC               COM              222816100     1,838    40,955 SH     X            1       40,955
COVANCE INC               COM              222816100        15       324 SH             X    1                  324
CREE INC                  COM              225447101     1,542    60,556 SH     X            1       60,526                30
CREE INC                  COM              225447101        15       600 SH             X    1                  600
CUMMINS INC               COM              231021106     4,329    58,018 SH     X            1       58,018
CUMMINS INC               COM              231021106        10       139 SH             X    1                  139
CUTERA INC                COM              232109108     2,166   124,853 SH     X            1      124,475               378
DNP SELECT INCOME FD      COM              23325P104     1,361   117,781 SH     X            1      117,781
DNP SELECT INCOME FD      COM              23325P104        34     3,000 SH         X                         3,000
D R HORTON INC            COM              23331A109     2,782    73,969 SH     X            1       73,969
DTE ENERGY CO             COM              233331107     4,013    85,806 SH     X            1       85,663               143
DTE ENERGY CO             COM              233331107        60     1,290 SH             X    1 6              1,290
DANA CORP                 COM              235811106     1,134    75,517 SH     X            1       75,127               390
DANA CORP                 COM              235811106        24     1,594 SH             X    1 6              1,594
DANAHER CORP DEL          COM              235851102       464     8,873 SH     X            1        8,839      34
DANAHER CORP DEL          COM              235851102        13       246 SH             X    1                  246
DAVE & BUSTERS INC        COM              23833N104     1,151    62,426 SH     X            1       62,426
DEAN FOODS CO NEW         COM              242370104       241     6,848 SH     X            1        6,848
DEAN FOODS CO NEW         COM              242370104         3        80 SH             X    1                   80
DEERE & CO                COM              244199105       408     6,237 SH     X            1        6,211      26
DEERE & CO                COM              244199105       222     3,393 SH             X    1        1,200     121     2,072
DEL MONTE FOODS CO        COM              24522P103    11,521 1,069,732 SH     X            1    1,069,732
DELL INC                  COM              24702R101    14,901   377,612 SH     X            1      365,112   3,840     8,660
DELL INC                  COM              24702R101     2,371    60,077 SH             X    1 6        635  58,917       525
DENBURY RES INC           COM NEW          247916208     3,432    86,298 SH     X            1       86,298
DELUXE CORP               COM              248019101     2,482    61,145 SH     X            1       61,145
DENTSPLY INTL INC NEW     COM              249030107       158     2,917 SH     X            1        2,917
DENTSPLY INTL INC NEW     COM              249030107        43       800 SH             X    1          800
DESARROLLADORA HOMEX      SPONSORED ADR    25030W100     1,712    62,426 SH     X            1       62,426
DEVON ENERGY CORP NEW     COM              25179M103     1,578    31,142 SH     X            1       31,142
DEVON ENERGY CORP NEW     COM              25179M103        91     1,803 SH             X    1                1,803
DEXCOM INC                COM              252131107       903    72,831 SH     X            1       72,831
DIEBOLD INC               COM              253651103        52     1,154 SH     X            1        1,154
DIEBOLD INC               COM              253651103       280     6,200 SH             X    1                6,200
DISNEY WALT CO            COM DISNEY       254687106    19,066   757,191 SH     X            1      727,051  16,303    13,837
DISNEY WALT CO            COM DISNEY       254687106     1,368    54,339 SH             X    1        3,900  50,289       150
DOLLAR GEN CORP           COM              256669102     1,208    59,326 SH     X            1       59,326
DOLLAR GEN CORP           COM              256669102        24     1,163 SH             X    1                1,163
DOMINION RES INC          COM              25746U109     8,964   122,147 SH     X            1      120,934      26     1,187
DOMINION RES INC          COM              25746U109       125     1,701 SH             X    1 6              1,701
DONNELLEY R R & SONS      COM              257867101    18,080   523,901 SH     X            1      522,984     600       317
DONNELLEY R R & SONS      COM              257867101        77     2,243 SH             X    1 6              2,243
DOVER CORP                COM              260003108        35       974 SH     X            1          974
DOVER CORP                COM              260003108       236     6,490 SH             X    1                6,490
DOW CHEM CO               COM              260543103    17,478   392,500 SH     X            1      388,112   2,880     1,508
DOW CHEM CO               COM              260543103       856    19,227 SH             X    1 6      6,172  13,055
DOW JONES & CO INC        COM              260561105       643    18,142 SH     X            1       16,722             1,420
DOW JONES & CO INC        COM              260561105        16       442 SH             X    1                  442
DU PONT E I DE NEMOURS    COM              263534109    13,226   307,521 SH     X            1      305,201     546     1,774
DU PONT E I DE NEMOURS    COM              263534109     1,278    29,704 SH             X    1 6      4,455  25,249
DUKE ENERGY CORP          COM              264399106     9,643   324,336 SH     X            1      323,570      86       680
DUKE ENERGY CORP          COM              264399106       223     7,498 SH             X    1 6        600   6,398       500
DUN & BRADSTREET CORP     COM              26483E100       240     3,896 SH     X            1        3,896
EDP ENERGIAS DE PORTGL    SPONSORED ADR    268353109       207     8,247 SH             X    1                8,247
E-LOAN INC                COM              26861P107     1,651   494,171 SH     X            1      494,171
E M C CORP MASS           COM              268648102       875    63,831 SH     X            1       59,028     203     4,600
E M C CORP MASS           COM              268648102        25     1,798 SH             X    1                1,798
ENSCO INTL INC            COM              26874Q100    21,228   593,793 SH     X            1      585,412   3,350     5,031
ENSCO INTL INC            COM              26874Q100       803    22,463 SH             X    1          700  21,763
ENI S P A                 SPONSORED ADR    26874R108         5        38 SH     X            1           38
ENI S P A                 SPONSORED ADR    26874R108       241     1,882 SH             X    1                1,882
EOG RES INC               COM              26875P101     1,491    26,249 SH     X            1       26,189      60
EOG RES INC               COM              26875P101        69     1,215 SH             X    1                1,215
EASTMAN CHEM CO           COM              277432100     1,326    24,044 SH     X            1       23,929               115
EASTMAN CHEM CO           COM              277432100        37       678 SH             X    1 6                678
EASTMAN KODAK CO          COM              277461109     7,733   288,019 SH     X            1      288,019
EASTMAN KODAK CO          COM              277461109        14       539 SH             X    1          100     439
EATON CORP                COM              278058102       400     6,671 SH     X            1        6,649      22
EATON CORP                COM              278058102       369     6,160 SH             X    1                6,160
EATON VANCE LTD DURTN     COM              27828H105       304    16,770 SH     X            1       16,770
EBAY INC                  COM              278642103     1,155    34,994 SH     X            1       32,605     104     2,285
EBAY INC                  COM              278642103       217     6,559 SH             X    1                6,559
ECOLAB INC                COM              278865100       868    26,819 SH     X            1       26,783      36
ECOLAB INC                COM              278865100       340    10,509 SH             X    1               10,509
EDISON INTL               COM              281020107     2,642    65,163 SH     X            1       64,779     134       250
EDISON INTL               COM              281020107        65     1,603 SH             X    1 6              1,603
EDWARDS LIFESCIENCES      COM              28176E108       866    20,126 SH     X            1       20,126
EDWARDS LIFESCIENCES      COM              28176E108        34       785 SH             X    1                  785
ELECTRONIC ARTS INC       COM              285512109     3,983    70,354 SH     X            1       66,855      54     3,445
ELECTRONIC ARTS INC       COM              285512109       128     2,263 SH             X    1 6              2,013       250
EMAGEON INC               COM              29076V109     1,164    83,236 SH     X            1       82,984               252
EMERSON ELEC CO           COM              291011104     9,568   152,772 SH     X            1      150,073     454     2,245
EMERSON ELEC CO           COM              291011104     2,751    43,923 SH             X    1 6      1,500  42,123       300
ENBRIDGE ENERGY PRTNRS    COM              29250R106       302     5,636 SH     X            1        5,136     500
ENBRIDGE ENERGY PRTNRS    COM              29250R106         5       100 SH             X    1                  100





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
ENCANA CORP               COM              292505104        12       300 SH     X            1          300
ENCANA CORP               COM              292505104       204     5,161 SH             X    1                5,161
ENERGIZER HLDGS INC       COM              29266R108       149     2,396 SH     X            1        2,396
ENERGIZER HLDGS INC       COM              29266R108        81     1,303 SH             X    1          400     303       600
ENGINEERED SUPPORT SYS    COM              292866100       196     5,457 SH     X            1        5,457
ENGINEERED SUPPORT SYS    COM              292866100        56     1,575 SH             X    1                1,575
ENTERGY CORP NEW          COM              29364G103     2,533    33,530 SH     X            1       33,372               158
ENTERGY CORP NEW          COM              29364G103        54       714 SH             X    1 6                714
ENTRUST INC               COM              293848107     1,545   322,563 SH     X            1      322,563
EQUIFAX INC               COM              294429105       513    14,366 SH     X            1       14,277      89
EQUIFAX INC               COM              294429105        17       463 SH             X    1                  463
EQUITY INV FD UNIT        UT 1 EX SR-ATT   294700703       214     2,729 SH     X            1        2,729
EQUITY OFFICE PRPRTS      COM              294741103     3,394   102,538 SH     X            1      102,240               298
EQUITY OFFICE PRPRTS      COM              294741103        80     2,419 SH             X    1 6              2,419
EQUITY RESIDENTIAL        SH BEN INT       29476L107     6,012   163,271 SH     X            1      163,005      61       205
EQUITY RESIDENTIAL        SH BEN INT       29476L107        36       965 SH             X    1 6                965
ERICSSON L M TEL CO       ADR B SEK 10     294821608     5,596   175,162 SH     X            1      167,202             7,960
ERICSSON L M TEL CO       ADR B SEK 10     294821608       425    13,299 SH             X    1 6             13,299
EXELON CORP               COM              30161N101     5,707   111,175 SH     X            1      109,890      60     1,225
EXELON CORP               COM              30161N101       197     3,844 SH             X    1 6        874   2,970
EXPLORATION CO            COM NEW          302133202     1,663   385,033 SH     X            1      383,862             1,171
EXPRESS SCRIPTS INC       COM              302182100       199     3,978 SH     X            1        3,978
EXPRESS SCRIPTS INC       COM              302182100         7       138 SH             X    1                  138
EXXON MOBIL CORP          COM              30231G102    85,731 1,491,756 SH     X            1    1,442,347  18,747    30,662
EXXON MOBIL CORP          COM              30231G102    21,040   366,099 SH             X    1 6     65,601 297,948     2,550
FLIR SYS INC              COM              302445101     2,193    73,503 SH     X            1       73,503
FPL GROUP INC             COM              302571104     3,613    85,904 SH     X            1       80,362   4,852       690
FPL GROUP INC             COM              302571104       608    14,454 SH             X    1 6      3,212  11,242
FAIR ISAAC CORP           COM              303250104     2,438    66,785 SH     X            1       66,785
FAMILY DLR STORES INC     COM              307000109       220     8,416 SH     X            1        8,416
FAMILY DLR STORES INC     COM              307000109         1        53 SH             X    1                   53
FASTENAL CO               COM              311900104       985    16,089 SH     X            1       15,919               170
FASTENAL CO               COM              311900104        61     1,000 SH             X    1                1,000
FEDERAL HOME LN MTG       COM              313400301    15,288   234,371 SH     X            1      218,308   7,018     9,045
FEDERAL HOME LN MTG       COM              313400301     1,531    23,465 SH             X    1 6        975  22,190       300
FEDERAL NATL MTG ASSN     COM              313586109     6,706   114,830 SH     X            1      102,351   5,771     6,708
FEDERAL NATL MTG ASSN     COM              313586109     1,115    19,087 SH             X    1          270  18,717       100
FEDERATED DEPT STORES     COM              31410H101     1,638    22,359 SH     X            1       20,843             1,516
FEDERATED DEPT STORES     COM              31410H101        80     1,085 SH             X    1                1,085
FEDEX CORP                COM              31428X106     5,047    62,297 SH     X            1       62,269      28
FEDEX CORP                COM              31428X106       955    11,784 SH             X    1 6        285  11,499
FIFTH THIRD BANCORP       COM              316773100     1,733    42,082 SH     X            1       42,018      64
FIFTH THIRD BANCORP       COM              316773100       692    16,818 SH             X    1               16,818
FIRST DATA CORP           COM              319963104       950    23,678 SH     X            1       21,600   1,692       386
FIRST DATA CORP           COM              319963104       409    10,191 SH             X    1               10,191
FIRST HORIZON NATL CORP   COM              320517105     1,662    39,389 SH     X            1       39,188      43       158
FIRST HORIZON NATL CORP   COM              320517105       151     3,576 SH             X    1 6              3,576
1ST SOURCE CORP           COM              336901103     1,127    49,140 SH             X    1               49,140
FISERV INC                COM              337738108     7,266   169,420 SH     X            1      169,268               152
FISERV INC                COM              337738108       494    11,526 SH             X    1          300  10,926       300
FIRSTENERGY CORP          COM              337932107     8,105   168,471 SH     X            1      168,208               263
FIRSTENERGY CORP          COM              337932107        60     1,239 SH             X    1 6              1,239
FISHER SCIENTIFIC INTL    COM NEW          338032204     4,460    68,718 SH     X            1       68,718
FISHER SCIENTIFIC INTL    COM NEW          338032204         8       123 SH             X    1                  123
FORD MTR CO DEL           COM PAR $0.01    345370860       622    60,719 SH     X            1       60,719
FORD MTR CO DEL           COM PAR $0.01    345370860       346    33,796 SH             X    1          349  33,447
FOREST LABS INC           COM              345838106       144     3,718 SH     X            1        3,624      94
FOREST LABS INC           COM              345838106       424    10,910 SH             X    1               10,910
FORTUNE BRANDS INC        COM              349631101     5,238    58,983 SH     X            1       57,659     764       560
FORTUNE BRANDS INC        COM              349631101       536     6,034 SH             X    1                6,034
FRANKLIN RES INC          COM              354613101       339     4,410 SH     X            1        4,410
FRANKLIN RES INC          COM              354613101        58       755 SH             X    1                  755
FRANKLIN TEMPLETON LTD    COM              35472T101       136    10,000 SH     X            1       10,000
FREEPORT-MCMORAN COPPER   CL B             35671D857       227     6,066 SH     X            1        6,066
FREEPORT-MCMORAN COPPER   CL B             35671D857        21       548 SH             X    1                  548
FREESCALE SEMICONDUCTOR   CL B             35687M206       447    21,128 SH     X            1       21,013     115
FREESCALE SEMICONDUCTOR   CL B             35687M206        32     1,521 SH             X    1                1,521
FREIGHTCAR AMER INC       COM              357023100     1,236    62,340 SH     X            1       62,340
FREMONT GEN CORP          COM              357288109       955    39,270 SH     X            1       39,270
FUJI PHOTO FILM LTD       ADR              359586302         2        50 SH     X            1           50
FUJI PHOTO FILM LTD       ADR              359586302       227     6,952 SH             X    1                6,952
FURNITURE BRANDS INTL     COM              360921100    11,727   542,682 SH     X            1      542,682
GALLAHER GROUP PLC        SPONSORED ADR    363595109       398     6,706 SH     X            1        6,146               560
GALLAHER GROUP PLC        SPONSORED ADR    363595109       116     1,950 SH             X    1                1,950
GANNETT INC               COM              364730101     7,571   106,440 SH     X            1      101,361   3,429     1,650
GANNETT INC               COM              364730101       860    12,092 SH             X    1 6             12,092
GAP INC DEL               COM              364760108       333    16,850 SH     X            1       16,754      96
GAP INC DEL               COM              364760108       571    28,931 SH             X    1          200   1,731    27,000
GASCO ENERGY INC          COM              367220100     1,771   478,577 SH     X            1      477,128             1,449
GAYLORD ENTMT CO NEW      COM              367905106        46     1,000 SH     X            1        1,000
GAYLORD ENTMT CO NEW      COM              367905106       232     5,000 SH             X    1                5,000
GEHL CO                   COM              368483103       623    16,000 SH             X    1               16,000
GENENTECH INC             COM NEW          368710406     2,441    30,401 SH     X            1       30,041     200       160
GENENTECH INC             COM NEW          368710406       624     7,778 SH             X    1                7,778
GENERAL COMMUNICATION     CL A             369385109       219    22,159 SH     X            1       22,159
GENERAL DYNAMICS CORP     COM              369550108     3,905    35,646 SH     X            1       35,646
GENERAL DYNAMICS CORP     COM              369550108        14       124 SH             X    1                  124
GENERAL ELEC CO           COM              369604103    92,298 2,663,713 SH     X            1    2,505,521  95,183    63,009
GENERAL ELEC CO           COM              369604103    17,060   492,344 SH             X    1 6    110,863 368,169    13,312
GENERAL MLS INC           COM              370334104     2,160    46,155 SH     X            1       45,555     600





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
GENERAL MLS INC           COM              370334104       952    20,337 SH             X    1        1,700  10,637     8,000
GENERAL MTRS CORP         COM              370442105     1,090    32,059 SH     X            1       30,580             1,479
GENERAL MTRS CORP         COM              370442105       185     5,451 SH             X    1        2,660   2,791
GENUINE PARTS CO          COM              372460105     3,511    85,443 SH     X            1       84,786     514       143
GENUINE PARTS CO          COM              372460105       133     3,231 SH             X    1 6              3,231
GENZYME CORP              COM              372917104     1,482    24,658 SH     X            1       24,658
GENZYME CORP              COM              372917104        13       212 SH             X    1                  212
GEORGIA PAC CORP          COM              373298108       312     9,804 SH     X            1        9,707      97
GEORGIA PAC CORP          COM              373298108       361    11,365 SH             X    1               11,365
GILEAD SCIENCES INC       COM              375558103     2,018    45,880 SH     X            1       45,823      57
GILEAD SCIENCES INC       COM              375558103        34       771 SH             X    1                  771
GILLETTE CO               COM              375766102    13,971   275,934 SH     X            1      262,548   8,085     5,301
GILLETTE CO               COM              375766102     2,303    45,487 SH             X    1 6      3,255  42,232
GLAXOSMITHKLINE PLC       SPONSORED ADR    37733W105       951    19,598 SH     X            1       18,208   1,365        25
GLAXOSMITHKLINE PLC       SPONSORED ADR    37733W105       875    18,030 SH             X    1          967  17,063
GLENAYRE TECHNOLOGIES     COM              377899109        38    10,000 SH     X            1       10,000
GLOBAL PMTS INC           COM              37940X102     1,854    27,344 SH     X            1       27,344
GLOBAL PMTS INC           COM              37940X102         6        86 SH             X    1                   86
GOLDEN WEST FINL CORP     COM              381317106       481     7,479 SH     X            1        7,451      28
GOLDEN WEST FINL CORP     COM              381317106        67     1,044 SH             X    1                1,044
GOLDMAN SACHS GROUP INC   COM              38141G104    23,388   229,249 SH     X            1      226,745     644     1,860
GOLDMAN SACHS GROUP INC   COM              38141G104     1,465    14,359 SH             X    1 6        160  14,199
GOODRICH CORP             COM              382388106     2,611    63,745 SH     X            1       63,745
GOODRICH CORP             COM              382388106         3        64 SH             X    1                   64
GRAINGER W W INC          COM              384802104     9,221   168,296 SH     X            1      168,296
GRAINGER W W INC          COM              384802104        66     1,200 SH             X    1          200   1,000
GREAT PLAINS ENERGY INC   COM              391164100     1,311    41,105 SH     X            1       41,105
GREAT PLAINS ENERGY INC   COM              391164100        13       400 SH             X    1                  400
GREATER BAY BANCORP       COM              391648102        10       364 SH     X            1          364
GREATER BAY BANCORP       COM              391648102       263    10,000 SH             X    1               10,000
GREENHILL & CO INC        COM              395259104     1,686    41,631 SH     X            1       41,631
GTECH HLDGS CORP          COM              400518106     3,827   130,884 SH     X            1      123,429             7,455
GTECH HLDGS CORP          COM              400518106       205     6,995 SH             X    1                6,995
GUIDANT CORP              COM              401698105     1,383    20,546 SH     X            1       20,520      26
GUIDANT CORP              COM              401698105       219     3,247 SH             X    1                3,247
HCA INC                   COM              404119109     5,581    98,475 SH     X            1       93,299             5,176
HCA INC                   COM              404119109       265     4,671 SH             X    1          125   4,486        60
HSBC HLDGS PLC            SPON ADR NEW     404280406       578     7,257 SH     X            1        6,698     559
HSBC HLDGS PLC            SPON ADR NEW     404280406       614     7,706 SH             X    1                7,706
HAEMONETICS CORP          COM              405024100     2,278    56,043 SH     X            1       56,043
HALLIBURTON CO            COM              406216101     1,611    33,696 SH     X            1       33,507     189
HALLIBURTON CO            COM              406216101       206     4,303 SH             X    1        1,000   3,303
HARLEY DAVIDSON INC       COM              412822108    11,805   238,002 SH     X            1      232,289   3,083     2,630
HARLEY DAVIDSON INC       COM              412822108     2,084    42,018 SH             X    1 6      2,725  39,223        70
HARMAN INTL INDS INC      COM              413086109       848    10,424 SH     X            1       10,424
HARRAHS ENTMT INC         COM              413619107       394     5,462 SH     X            1        4,463               999
HARRAHS ENTMT INC         COM              413619107        20       276 SH             X    1                  276
HARRIS CORP DEL           COM              413875105     1,275    40,844 SH     X            1       40,844
HARRIS CORP DEL           COM              413875105         8       250 SH             X    1                  250
HARTFORD FINL SVCS GRP    COM              416515104     3,068    41,024 SH     X            1       40,624     400
HARTFORD FINL SVCS GRP    COM              416515104       222     2,968 SH             X    1                2,968
HAWAIIAN ELEC INDSTRS     COM              419870100       258     9,617 SH     X            1        9,617
HEALTH MGMT ASSOC INC     CL A             421933102       172     6,584 SH     X            1        6,584
HEALTH MGMT ASSOC INC     CL A             421933102       252     9,629 SH             X    1                9,629
HEALTHEXTRAS INC          COM              422211102       253    12,600 SH     X            1       12,600
HEARTLAND FINL USA INC    COM              42234Q102       234    11,979 SH     X            1       11,979
HEINZ H J CO              COM              423074103     4,393   124,012 SH     X            1      116,229      79     7,704
HEINZ H J CO              COM              423074103       511    14,413 SH             X    1 6             14,413
HERSHEY CO                COM              427866108       901    14,514 SH     X            1       13,381   1,133
HERSHEY CO                COM              427866108       239     3,841 SH             X    1           70   3,771
HEWLETT PACKARD CO        COM              428236103     4,229   179,890 SH     X            1      173,956     284     5,650
HEWLETT PACKARD CO        COM              428236103       851    36,200 SH             X    1       16,800  19,400
HIBERNIA CORP             CL A             428656102       250     7,549 SH     X            1        7,549
HILB ROGAL & HOBBS CO     COM              431294107       228     6,630 SH     X            1        6,630
HILTON HOTELS CORP        COM              432848109     2,163    90,706 SH     X            1       90,587     119
HILTON HOTELS CORP        COM              432848109        37     1,546 SH             X    1          400   1,146
HOME DEPOT INC            COM              437076102    15,311   393,587 SH     X            1      387,924   1,915     3,748
HOME DEPOT INC            COM              437076102     1,145    29,437 SH             X    1          400  25,662     3,375
HONEYWELL INTL INC        COM              438516106     1,185    32,350 SH     X            1       31,116      79     1,155
HONEYWELL INTL INC        COM              438516106       437    11,934 SH             X    1        1,400  10,334       200
HOSPIRA INC               COM              441060100       678    17,372 SH     X            1       17,290      82
HOSPIRA INC               COM              441060100        59     1,519 SH             X    1                1,229       290
HOUSTON EXPL CO           COM              442120101       371     7,000 SH     X            1        7,000
HOUSTON EXPL CO           COM              442120101        14       263 SH             X    1                  263
HUBBELL INC               CL B             443510201     5,726   129,830 SH     X            1      128,728   1,102
HUDSON HIGHLAND GROUP     COM              443792106     1,702   109,151 SH     X            1      109,151
HUDSON UNITED BANCORP     COM              444165104       273     7,562 SH     X            1        7,562
HUMANA INC                COM              444859102       413    10,403 SH     X            1       10,403
HUMANA INC                COM              444859102        32       806 SH             X    1                  806
HUNTINGTON BANCSHARES     COM              446150104       320    13,265 SH     X            1       13,185      80
HUNTINGTON BANCSHARES     COM              446150104         8       343 SH             X    1                  343
HUTCHINSON TECHNOLOGY     COM              448407106        41     1,074 SH     X            1        1,074
HUTCHINSON TECHNOLOGY     COM              448407106       250     6,500 SH             X    1                6,500
I-FLOW CORP               COM NEW          449520303     2,597   156,066 SH     X            1      155,593               473
IMS HEALTH INC            COM              449934108       428    17,277 SH     X            1       17,277
IMS HEALTH INC            COM              449934108        88     3,568 SH             X    1                3,568
ITT EDUCATIONAL SRVCS     COM              45068B109       293     5,493 SH     X            1        5,493
ITT INDS INC IND          COM              450911102       500     5,120 SH     X            1        5,098      22
ITT INDS INC IND          COM              450911102        50       511 SH             X    1                  511
IDENTIX INC               COM              451906101     1,518   301,736 SH     X            1      300,822               914





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
ILLINOIS TOOL WKS INC     COM              452308109     3,512    44,081 SH     X            1       43,980      26        75
ILLINOIS TOOL WKS INC     COM              452308109     2,229    27,979 SH             X    1        3,100  24,729       150
IMATION CORP              COM              45245A107    12,137   312,881 SH     X            1      312,781               100
IMATION CORP              COM              45245A107         4       100 SH             X    1                  100
IMAX CORP                 COM              45245E109     4,138   416,255 SH     X            1      414,995             1,260
INDUS INTL INC            COM              45578L100       197    80,000 SH     X            1       80,000
INFOSPACE INC             COM NEW          45678T201     3,388   102,893 SH     X            1      102,893
ING GROUP N V             SPONSORED ADR    456837103       130     4,629 SH     X            1        4,629
ING GROUP N V             SPONSORED ADR    456837103       390    13,911 SH             X    1               13,911
INTEL CORP                COM              458140100    25,967   997,966 SH     X            1      938,087  23,549    36,330
INTEL CORP                COM              458140100     5,609   215,567 SH             X    1 6      7,280 176,462    31,825
INTRNTNL BUSINESS MACH    COM              459200101    21,594   291,027 SH     X            1      270,994   5,547    14,486
INTRNTNL BUSINESS MACH    COM              459200101     4,341    58,507 SH             X    1 6      9,008  48,824       675
INTRNTNL GAME TECH        COM              459902102       581    20,648 SH     X            1       18,028      60     2,560
INTRNTNL GAME TECH        COM              459902102         7       231 SH             X    1                  231
INTL PAPER CO             COM              460146103       611    20,221 SH     X            1       19,390     831
INTL PAPER CO             COM              460146103       161     5,333 SH             X    1        1,859   3,474
INTERPUBLIC GROUP COS     COM              460690100     9,485   778,705 SH     X            1      778,705
INVITROGEN CORP           COM              46185R100     3,406    40,889 SH     X            1       40,889
ISHARES INC               MSCI JAPAN       464286848       635    62,656 SH     X            1       62,656
ISHARES TR                DJ SEL DIV INX   464287168       466     7,550 SH     X            1        7,550
ISHARES TR                DJ SEL DIV INX   464287168       192     3,110 SH             X    1                3,110
ISHARES TR                US TIPS BD FD    464287176       397     3,702 SH     X            1        3,702
ISHARES TR                S&P 500 INDEX    464287200    15,117   126,916 SH     X            1      119,646   2,750     4,520
ISHARES TR                S&P 500 INDEX    464287200       714     5,993 SH             X    1          224   3,812     1,957
ISHARES TR                S&P500/BAR GRW   464287309     1,289    22,820 SH     X            1       22,820
ISHARES TR                S&P500/BAR GRW   464287309        10       170 SH             X    1                  170
ISHARES TR                S&P500/BAR VAL   464287408     1,223    19,619 SH     X            1       19,619
ISHARES TR                S&P500/BAR VAL   464287408        68     1,097 SH             X    1                  676       421
ISHARES TR                MSCI EAFE IDX    464287465    15,437   294,649 SH     X            1      294,649
ISHARES TR                MSCI EAFE IDX    464287465     1,626    31,040 SH             X    1        2,700  27,650       690
ISHARES TR                S&P MIDCAP 400   464287507     9,796   143,012 SH     X            1      139,172     640     3,200
ISHARES TR                S&P MIDCAP 400   464287507       581     8,481 SH             X    1        1,476   7,005
ISHARES TR                RUSSELL1000VAL   464287598     2,481    37,197 SH     X            1       37,197
ISHARES TR                S&P MIDCP GROW   464287606       678     9,760 SH     X            1        9,760
ISHARES TR                RUSSELL1000GRW   464287614     2,593    54,030 SH     X            1       54,030
ISHARES TR                RUSSELL 1000     464287622       398     6,181 SH     X            1        6,181
ISHARES TR                RUSSELL 1000     464287622         7       108 SH             X    1                  108
ISHARES TR                RUSL 2000 VALU   464287630       432     6,721 SH     X            1        6,721
ISHARES TR                RUSL 2000 VALU   464287630        13       204 SH             X    1                  204
ISHARES TR                RUSL 2000 GROW   464287648       565     8,720 SH     X            1        8,720
ISHARES TR                RUSSELL 2000     464287655     8,758   137,492 SH     X            1      137,492
ISHARES TR                RUSSELL 2000     464287655     1,084    17,014 SH             X    1        1,524  14,952       538
ISHARES TR                S&P MIDCP VALU   464287705     3,893    58,306 SH     X            1       58,306
ISHARES TR                S&P MIDCP VALU   464287705       469     7,032 SH             X    1        1,144   5,888
ISHARES TR                DJ US TECH SEC   464287721       654    14,281 SH     X            1       14,281
ISHARES TR                DJ US TECH SEC   464287721        27       590 SH             X    1                  590
ISHARES TR                DJ US REAL EST   464287739       254     4,000 SH             X    1                4,000
ISHARES TR                DJ US INDUSTRL   464287754       233     4,341 SH     X            1        4,341
ISHARES TR                DJ US HEALTHCR   464287762     1,376    22,519 SH     X            1       22,519
ISHARES TR                DJ US HEALTHCR   464287762        43       702 SH             X    1                  702
ISHARES TR                DJ US FINL SEC   464287788       237     2,499 SH     X            1        2,499
ISHARES TR                DJ US FINL SEC   464287788        21       220 SH             X    1                  220
ISHARES TR                DJ US ENERGY     464287796       267     3,466 SH     X            1        3,466
ISHARES TR                S&P SMLCAP 600   464287804     2,176    39,558 SH     X            1       39,558
ISHARES TR                S&P SMLCAP 600   464287804       144     2,625 SH             X    1                2,625
ISHARES TR                S&P EURO PLUS    464287861       174     2,334 SH     X            1        2,334
ISHARES TR                S&P EURO PLUS    464287861        39       519 SH             X    1                            519
ISHARES TR                S&P SMLCP VALU   464287879       436     7,080 SH     X            1        7,080
IVAX CORP                 COM              465823102     2,003    93,143 SH     X            1       93,143
JPMORGAN & CHASE & CO     COM              46625H100    31,836   901,350 SH     X            1      889,446   6,468     5,436
JPMORGAN & CHASE & CO     COM              46625H100     3,912   110,756 SH             X    1 6      1,925 108,831
J2 GLOBAL COMMUNICATNS    COM NEW          46626E205     3,054    88,683 SH     X            1       88,573               110
JABIL CIRCUIT INC         COM              466313103     2,419    78,729 SH     X            1       78,729
JABIL CIRCUIT INC         COM              466313103         7       223 SH             X    1                  223
JACOBS ENGR GROUP INC     COM              469814107     2,881    51,201 SH     X            1       51,201
JARDEN CORP               COM              471109108     5,263    97,610 SH     X            1       97,610
JEFFERSON PILOT CORP      COM              475070108       340     6,734 SH     X            1        6,734
JEFFERSON PILOT CORP      COM              475070108        68     1,352 SH             X    1        1,056     296
JOHNSON & JOHNSON         COM              478160104    37,962   584,029 SH     X            1      558,571  12,955    12,503
JOHNSON & JOHNSON         COM              478160104     7,748   119,194 SH             X    1 6      9,075  89,994    20,125
JOHNSON CTLS INC          COM              478366107    11,139   197,745 SH     X            1      193,987   3,758
JOHNSON CTLS INC          COM              478366107     1,241    22,032 SH             X    1        1,024  20,508       500
JONES APPAREL GROUP       COM              480074103    10,351   333,478 SH     X            1      333,430      48
JONES APPAREL GROUP       COM              480074103         0        10 SH             X    1                   10
JOS A BANK CLOTHIERS      COM              480838101     2,100    48,505 SH     X            1       48,363               142
JOS A BANK CLOTHIERS      COM              480838101        22       501 SH             X    1                  501
JOY GLOBAL INC            COM              481165108     1,747    52,022 SH     X            1       51,864               158
JUPITERMEDIA CORP         COM              48207D101     1,158    67,628 SH     X            1       67,628
KLA-TENCOR CORP           COM              482480100       311     7,115 SH     X            1        4,975             2,140
KT CORP                   SPONSORED ADR    48268K101         2        70 SH     X            1           70
KT CORP                   SPONSORED ADR    48268K101       317    14,759 SH             X    1               14,759
KAYNE ANDERSON MLP        COM              486606106     4,988   186,468 SH     X            1      186,468
KB HOME                   COM              48666K109       476     6,247 SH     X            1        6,203      44
KB HOME                   COM              48666K109        13       177 SH             X    1                  177
KELLOGG CO                COM              487836108     1,568    35,276 SH     X            1       35,227      49
KELLOGG CO                COM              487836108     5,892   132,593 SH             X    1        3,250 129,343
KENNAMETAL INC            COM              489170100     1,929    42,063 SH     X            1       42,063
KENNAMETAL INC            COM              489170100       135     2,943 SH             X    1                2,843       100
KERR MCGEE CORP           COM              492386107     7,021    92,006 SH     X            1       91,919                87





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
KERR MCGEE CORP           COM              492386107       215     2,820 SH             X    1 6              2,820
KEYCORP NEW               COM              493267108     3,809   114,911 SH     X            1      114,213     400       298
KEYCORP NEW               COM              493267108        61     1,841 SH             X    1 6              1,841
KEYSPAN CORP              COM              49337W100     1,772    43,544 SH     X            1       43,306      61       177
KEYSPAN CORP              COM              49337W100        64     1,577 SH             X    1 6              1,577
KIMBERLY CLARK CORP       COM              494368103    29,564   472,337 SH     X            1      446,963  23,091     2,283
KIMBERLY CLARK CORP       COM              494368103     5,860    93,625 SH             X    1 6     31,892  61,033       700
KINDER MORGAN INC KANS    COM              49455P101     3,260    39,179 SH     X            1       39,087                92
KINDER MORGAN INC KANS    COM              49455P101        30       358 SH             X    1 6                358
KINDER MORGAN MNGMNT      SHS              49455U100     5,581   121,318 SH     X            1      121,318
KINDR MRGN ENRGY PRTNR    UT LTD PARTNER   494550106       795    15,604 SH     X            1       15,604
KINDR MRGN ENRGY PRTNR    UT LTD PARTNER   494550106       317     6,226 SH             X    1                6,226
KINETIC CONCEPTS INC      COM NEW          49460W208     1,827    30,453 SH     X            1       30,453
KIRIN BREWERY LTD         SPONSORED ADR    497350306       232    23,927 SH             X    1               23,927
KOHLS CORP                COM              500255104    18,892   337,899 SH     X            1      313,837  12,902    11,160
KOHLS CORP                COM              500255104     3,097    55,392 SH             X    1 6      5,740  48,362     1,290
KROGER CO                 COM              501044101    10,514   552,476 SH     X            1      552,476
KROGER CO                 COM              501044101         2        80 SH             X    1                   80
LHC GROUP INC             COM              50187A107     1,703    93,670 SH     X            1       93,670
L-3 COMMUNICATNS HLDGS    COM              502424104     1,045    13,643 SH     X            1       13,623                20
L-3 COMMUNICATNS HLDGS    COM              502424104        22       290 SH             X    1                  290
LAM RESEARCH CORP         COM              512807108     2,109    72,862 SH     X            1       72,862
LAUDER ESTEE COS INC      CL A             518439104     4,950   126,496 SH     X            1      120,928   1,618     3,950
LAUDER ESTEE COS INC      CL A             518439104       430    10,988 SH             X    1        1,020   9,968
LAUREATE EDUCATION INC    COM              518613104       925    19,332 SH     X            1       19,332
LEE ENTERPRISES INC       COM              523768109     2,208    55,074 SH     X            1       55,074
LEGG MASON INC            COM              524901105       221     2,119 SH     X            1        2,119
LEGG MASON INC            COM              524901105       132     1,267 SH             X    1                1,267
LEHMAN BROS HLDGS INC     COM              524908100     1,504    15,149 SH     X            1       15,093      25        31
LEHMAN BROS HLDGS INC     COM              524908100        34       343 SH             X    1          160     183
LEXMARK INTL NEW          CL A             529771107     6,163    95,061 SH     X            1       92,328     283     2,450
LEXMARK INTL NEW          CL A             529771107       829    12,784 SH             X    1 6             12,784
LIBERTY MEDIA CORP NEW    COM SER A        530718105        52     5,077 SH     X            1        5,077
LIBERTY MEDIA CORP NEW    COM SER A        530718105       398    39,054 SH             X    1               39,054
LIFECELL CORP             COM              531927101       822    51,961 SH     X            1       51,961
LIFE TIME FITNESS INC     COM              53217R207     2,560    78,019 SH     X            1       77,784               235
LILLY ELI & CO            COM              532457108     9,874   177,245 SH     X            1      173,567   1,006     2,672
LILLY ELI & CO            COM              532457108     1,879    33,724 SH             X    1        6,880  26,694       150
LIMITED BRANDS INC        COM              532716107     1,233    57,564 SH     X            1       57,505      59
LIMITED BRANDS INC        COM              532716107         6       294 SH             X    1                  294
LINCOLN NATL CORP IND     COM              534187109     4,469    95,249 SH     X            1       94,921               328
LINCOLN NATL CORP IND     COM              534187109       527    11,232 SH             X    1 6             11,232
LINEAR TECHNOLOGY CORP    COM              535678106       366     9,968 SH     X            1        9,938      30
LINEAR TECHNOLOGY CORP    COM              535678106        11       308 SH             X    1                  308
LIZ CLAIBORNE INC         COM              539320101    11,938   300,245 SH     X            1      300,245
LIZ CLAIBORNE INC         COM              539320101       318     8,002 SH             X    1                8,002
LOCKHEED MARTIN CORP      COM              539830109       742    11,439 SH     X            1       10,535      52       852
LOCKHEED MARTIN CORP      COM              539830109       345     5,321 SH             X    1           50   3,923     1,348
LONGVIEW FIBRE CO         COM              543213102       555    27,002 SH     X            1       23,669   2,533       800
LONGVIEW FIBRE CO         COM              543213102         4       179 SH             X    1                  179
LOUISIANA PAC CORP        COM              546347105       273    11,096 SH     X            1       11,096
LOUISIANA PAC CORP        COM              546347105         9       357 SH             X    1                  357
LOWES COS INC             COM              548661107    12,374   212,541 SH     X            1      208,361     670     3,510
LOWES COS INC             COM              548661107     1,194    20,503 SH             X    1 6      1,050  19,453
LUCENT TECHNOLOGIES       COM              549463107       103    35,261 SH     X            1       33,513             1,748
LUCENT TECHNOLOGIES       COM              549463107       150    51,532 SH             X    1               51,532
LYONDELL CHEMICAL CO      COM              552078107     3,226   122,122 SH     X            1      122,122
LYONDELL CHEMICAL CO      COM              552078107         4       140 SH             X    1                  140
MAF BANCORP INC           COM              55261R108       155     3,642 SH     X            1        3,642
MAF BANCORP INC           COM              55261R108       101     2,370 SH             X    1                2,370
MBIA INC                  COM              55262C100       284     4,784 SH     X            1        4,747      37
MBIA INC                  COM              55262C100       302     5,086 SH             X    1                5,086
MBNA CORP                 COM              55262L100     1,857    70,990 SH     X            1       70,154     118       718
MBNA CORP                 COM              55262L100       782    29,884 SH             X    1               29,884
M D C HLDGS INC           COM              552676108       996    12,107 SH     X            1       12,107
M D C HLDGS INC           COM              552676108        15       180 SH             X    1                  180
MDU RES GROUP INC         COM              552690109     3,139   111,441 SH     X            1       73,031  38,410
MDU RES GROUP INC         COM              552690109       211     7,478 SH             X    1          594   6,884
MGE ENERGY INC            COM              55277P104     2,466    67,786 SH     X            1       64,105             3,681
MGE ENERGY INC            COM              55277P104       192     5,271 SH             X    1                5,271
MGIC INVT CORP WIS        COM              552848103    12,233   187,558 SH     X            1      187,043     495        20
MGIC INVT CORP WIS        COM              552848103       627     9,621 SH             X    1          250   9,371
MGI PHARMA INC            COM              552880106       867    39,842 SH     X            1       39,842
MADISON CLAYMORE CVRD     COM              556582104       202    13,000 SH     X            1       13,000
MANITOWOC INC             COM              563571108     1,267    30,881 SH     X            1       30,881
MANPOWER INC              COM              56418H100    14,451   363,281 SH     X            1      358,171     400     4,710
MANPOWER INC              COM              56418H100       312     7,847 SH             X    1 6              7,847
MARATHON OIL CORP         COM              565849106     4,811    90,146 SH     X            1       89,647      64       435
MARATHON OIL CORP         COM              565849106       225     4,212 SH             X    1 6              4,212
MARCUS CORP               COM              566330106        10       486 SH     X            1          486
MARCUS CORP               COM              566330106       432    20,340 SH             X    1               20,340
MARSHALL & ILSLEY CORP    COM              571834100   187,424 4,216,517 SH     X            1    2,256,033  46,468 1,914,016
MARSHALL & ILSLEY CORP    COM              571834100    74,055 1,666,018 SH             X    1 6     94,532 808,660   762,826
MARRIOTT INTL INC NEW     CL A             571903202     1,879    27,548 SH     X            1       27,548
MARRIOTT INTL INC NEW     CL A             571903202        71     1,048 SH             X    1                1,048
MASCO CORP                COM              574599106     1,016    31,985 SH     X            1       31,985
MASCO CORP                COM              574599106         5       170 SH             X    1           31     139
MATRIA HEALTHCARE INC     COM NEW          576817209     2,180    67,628 SH     X            1       67,423               205
MATSUSHITA ELEC INDL      ADR              576879209         2       148 SH     X            1          148
MATSUSHITA ELEC INDL      ADR              576879209       243    15,990 SH             X    1               15,990





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
MATTEL INC                COM              577081102    10,721   585,852 SH     X            1      585,852
MAXIM INTEGRATED PRODS    COM              57772K101       215     5,632 SH     X            1        5,476      31       125
MAXIM INTEGRATED PRODS    COM              57772K101        15       403 SH             X    1                  153       250
MCAFEE INC                COM              579064106     1,989    75,985 SH     X            1       75,985
MCCORMICK & CO INC        COM NON VTG      579780206       324     9,913 SH     X            1        9,852      61
MCCORMICK & CO INC        COM NON VTG      579780206         9       275 SH             X    1                  275
MCDONALDS CORP            COM              580135101     3,259   117,432 SH     X            1      117,270     117        45
MCDONALDS CORP            COM              580135101     1,584    57,064 SH             X    1       30,600  26,464
MCGRAW HILL COS INC       COM              580645109     4,266    96,404 SH     X            1       83,330  12,924       150
MCGRAW HILL COS INC       COM              580645109       367     8,290 SH             X    1                7,990       300
MEADWESTVACO CORP         COM              583334107       985    35,116 SH     X            1       35,116
MEADWESTVACO CORP         COM              583334107       558    19,907 SH             X    1               19,907
MEDCO HEALTH SOLUTIONS    COM              58405U102     1,984    37,175 SH     X            1       34,080      83     3,012
MEDCO HEALTH SOLUTIONS    COM              58405U102       201     3,773 SH             X    1                3,773
MEDIMMUNE INC             COM              584699102     4,251   159,096 SH     X            1      151,166             7,930
MEDIMMUNE INC             COM              584699102       463    17,318 SH             X    1          140  17,178
MEDTRONIC INC             COM              585055106    12,478   240,943 SH     X            1      232,333     102     8,508
MEDTRONIC INC             COM              585055106     1,249    24,123 SH             X    1 6      1,300  22,423       400
MELLON FINL CORP          COM              58551A108       183     6,395 SH     X            1        6,395
MELLON FINL CORP          COM              58551A108        35     1,212 SH             X    1          520     692
MERCANTILE BANKSHARES     COM              587405101        36       708 SH     X            1          708
MERCANTILE BANKSHARES     COM              587405101       515    10,000 SH             X    1               10,000
MERCK & CO INC            COM              589331107    27,849   904,194 SH     X            1      879,526  16,659     8,009
MERCK & CO INC            COM              589331107     3,459   112,299 SH             X    1 6     32,337  79,262       700
MEREDITH CORP             COM              589433101       353     7,189 SH     X            1        7,167      22
MEREDITH CORP             COM              589433101        16       317 SH             X    1                  317
MERRILL LYNCH & CO INC    COM              590188108     6,015   109,348 SH     X            1      108,613      80       655
MERRILL LYNCH & CO INC    COM              590188108        94     1,704 SH             X    1                1,704
METLIFE INC               COM              59156R108     7,767   172,825 SH     X            1      172,760      65
METLIFE INC               COM              59156R108        78     1,732 SH             X    1                1,732
MICHAELS STORES INC       COM              594087108     2,613    63,154 SH     X            1       63,154
MICHAELS STORES INC       COM              594087108         9       215 SH             X    1                  215
MICROSOFT CORP            COM              594918104    36,614 1,473,997 SH     X            1    1,375,114  43,598    55,285
MICROSOFT CORP            COM              594918104     6,344   255,413 SH             X    1 6     19,060 235,453       900
MICROSEMI CORP            COM              595137100     2,348   124,877 SH     X            1      124,877
MIDCAP SPDR TR            UNIT SER 1       595635103     7,207    57,543 SH     X            1       57,443               100
MIDCAP SPDR TR            UNIT SER 1       595635103       721     5,757 SH             X    1                5,757
MIKOHN GAMING CORP        COM              59862K108     1,532   104,044 SH     X            1      104,044
MODINE MFG CO             COM              607828100    23,743   729,195 SH     X            1      120,809           608,386
MODINE MFG CO             COM              607828100       620    19,050 SH             X    1               19,050
MOLSON COORS BREWING      CL B             60871R209    12,670   204,360 SH     X            1      200,909             3,451
MOLSON COORS BREWING      CL B             60871R209       435     7,022 SH             X    1 6              7,002        20
MONSANTO CO NEW           COM              61166W101     2,895    46,047 SH     X            1       46,047
MONSANTO CO NEW           COM              61166W101        62       985 SH             X    1                  985
MOODYS CORP               COM              615369105       792    17,623 SH     X            1       17,563      60
MOODYS CORP               COM              615369105       146     3,237 SH             X    1                3,237
MORGAN STANLEY            COM NEW          617446448    11,424   217,718 SH     X            1      212,203   2,570     2,945
MORGAN STANLEY            COM NEW          617446448     1,687    32,157 SH             X    1 6        450  30,857       850
MOTIVE INC                COM              61980V107     2,841   286,120 SH     X            1      285,254               866
MOTOROLA INC              COM              620076109     3,343   183,096 SH     X            1      174,414     212     8,470
MOTOROLA INC              COM              620076109       390    21,366 SH             X    1        7,500  13,866
MURPHY OIL CORP           COM              626717102     3,989    76,380 SH     X            1       73,208             3,172
MURPHY OIL CORP           COM              626717102        84     1,600 SH             X    1 6              1,600
NCR CORP NEW              COM              62886E108       188     5,349 SH     X            1        5,349
NCR CORP NEW              COM              62886E108        23       664 SH             X    1                  664
NII HLDGS INC             CL B NEW         62913F201     2,596    40,601 SH     X            1       40,601
NII HLDGS INC             CL B NEW         62913F201        11       165 SH             X    1                  165
NVR INC                   COM              62944T105     1,051     1,298 SH     X            1        1,298
NASDAQ 100 TR             UNIT SER 1       631100104     1,051    28,573 SH     X            1       28,273               300
NASDAQ 100 TR             UNIT SER 1       631100104       124     3,380 SH             X    1                3,380
NATIONAL CITY CORP        COM              635405103     9,690   283,987 SH     X            1      283,399      88       500
NATIONAL CITY CORP        COM              635405103        89     2,623 SH             X    1 6              2,623
NATIONAL SEMICONDUCTOR    COM              637640103     6,646   301,669 SH     X            1      292,361     128     9,180
NATIONAL SEMICONDUCTOR    COM              637640103       346    15,708 SH             X    1               15,708
NATUS MEDICAL INC DEL     COM              639050103     1,346   119,650 SH     X            1      119,650
NETWORK APPLIANCE INC     COM              64120L104     1,599    56,576 SH     X            1       56,576
NETWORK APPLIANCE INC     COM              64120L104        10       364 SH             X    1                  364
NEW YORK CMNTY BANCORP    COM              649445103     2,566   141,636 SH     X            1      141,636
NEWELL RUBBERMAID INC     COM              651229106       312    13,077 SH     X            1       10,754   2,273        50
NEWMONT MINING CORP       COM              651639106       362     9,282 SH     X            1        9,250      32
NEWMONT MINING CORP       COM              651639106        77     1,965 SH             X    1                1,965
NEWS CORP                 CL A             65248E104       827    51,108 SH     X            1       51,108
NEWS CORP                 CL A             65248E104        19     1,169 SH             X    1                1,169
NEXTEL COMMUNICATIONS     CL A             65332V103     1,207    37,362 SH     X            1       37,157     205
NEXTEL COMMUNICATIONS     CL A             65332V103        65     2,003 SH             X    1           75   1,928
NICHOLAS-APPLEGATE CV     COM              65370F101       308    20,000 SH     X            1       20,000
NIKE INC                  CL B             654106103     5,985    69,107 SH     X            1       66,443      24     2,640
NIKE INC                  CL B             654106103       261     3,015 SH             X    1 6              3,015
NIPPON TELEG & TEL CORP   SPONSORED ADR    654624105         2       110 SH     X            1          110
NIPPON TELEG & TEL CORP   SPONSORED ADR    654624105       241    11,242 SH             X    1               11,242
NISOURCE INC              COM              65473P105       244     9,857 SH     X            1        9,857
NISOURCE INC              COM              65473P105        29     1,172 SH             X    1          200     972
NOKIA CORP                SPONSORED ADR    654902204       610    36,671 SH     X            1       28,691             7,980
NOKIA CORP                SPONSORED ADR    654902204       415    24,945 SH             X    1               20,625     4,320
NOBLE ENERGY INC          COM              655044105    12,091   159,823 SH     X            1      159,823
NOBLE ENERGY INC          COM              655044105       108     1,425 SH             X    1          300   1,125
NORDSTROM INC             COM              655664100     4,844    71,274 SH     X            1       71,247      27
NORDSTROM INC             COM              655664100        33       484 SH             X    1                  484
NORFOLK SOUTHERN CORP     COM              655844108     1,439    46,475 SH     X            1       46,414      61
NORFOLK SOUTHERN CORP     COM              655844108        27       875 SH             X    1                  875





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
NORTH FORK BANCORP        COM              659424105     2,120    75,468 SH     X            1       75,059     100       309
NORTH FORK BANCORP        COM              659424105       555    19,748 SH             X    1 6             19,748
NORTHERN TR CORP          COM              665859104     6,405   140,484 SH     X            1      135,674             4,810
NORTHERN TR CORP          COM              665859104       646    14,172 SH             X    1 6             14,172
NORTHROP GRUMMAN CORP     COM              666807102    17,414   315,181 SH     X            1      315,145      36
NORTHROP GRUMMAN CORP     COM              666807102       450     8,147 SH             X    1                8,147
NOVATEL WIRELESS INC      COM NEW          66987M604     1,103    88,470 SH     X            1       88,470
NUCOR CORP                COM              670346105     7,877   172,658 SH     X            1      172,636      22
NUCOR CORP                COM              670346105        14       310 SH             X    1                  310
NUVEEN INSD QUALITY MUN   COM              67062N103       163    10,203 SH     X            1       10,203
NVIDIA CORP               COM              67066G104     2,952   110,475 SH     X            1      110,375     100
NVIDIA CORP               COM              67066G104        11       395 SH             X    1                  395
NUVASIVE INC              COM              670704105     1,643    98,873 SH     X            1       98,873
OCCIDENTAL PETE CORP      COM              674599105     2,421    31,476 SH     X            1       31,412      64
OCCIDENTAL PETE CORP      COM              674599105       400     5,195 SH             X    1        1,900   3,295
OLD NATL BANCORP IND      COM              680033107       206     9,607 SH     X            1        9,607
OLD REP INTL CORP         COM              680223104        96     3,815 SH     X            1        3,815
OLD REP INTL CORP         COM              680223104     7,669   303,252 SH             X    1              303,252
OMNICARE INC              COM              681904108    13,219   311,537 SH     X            1      311,537
OMNICOM GROUP INC         COM              681919106       309     3,864 SH     X            1        3,850      14
OMNICOM GROUP INC         COM              681919106         9       112 SH             X    1                  112
ONLINE RES CORP           COM              68273G101     1,353   119,633 SH     X            1      119,633
ORACLE CORP               COM              68389X105     3,725   282,227 SH     X            1      265,852   1,230    15,145
ORACLE CORP               COM              68389X105       216    16,359 SH             X    1          200  16,159
ORASURE TECHNOLOGIES      COM              68554V108     2,025   202,905 SH     X            1      202,905
OSHKOSH TRUCK CORP        COM              688239201     1,868    23,858 SH     X            1       23,831                27
OSHKOSH TRUCK CORP        COM              688239201     2,139    27,330 SH             X    1               27,330
OUTBACK STEAKHOUSE INC    COM              689899102       328     7,244 SH     X            1        7,244
OUTBACK STEAKHOUSE INC    COM              689899102        52     1,150 SH             X    1                1,150
PG&E CORP                 COM              69331C108       410    10,918 SH     X            1       10,918
PG&E CORP                 COM              69331C108        47     1,261 SH             X    1                1,261
PICO HLDGS INC            COM NEW          693366205     1,548    52,022 SH     X            1       52,022
PNC FINL SVCS GROUP INC   COM              693475105     9,343   171,551 SH     X            1      169,086             2,465
PNC FINL SVCS GROUP INC   COM              693475105        73     1,340 SH             X    1 6              1,340
PPG INDS INC              COM              693506107     2,543    40,522 SH     X            1       40,522
PPG INDS INC              COM              693506107       256     4,079 SH             X    1        4,000      79
PPL CORP                  COM              69351T106     1,689    28,451 SH     X            1       28,306               145
PPL CORP                  COM              69351T106        70     1,185 SH             X    1 6              1,185
PACCAR INC                COM              693718108       261     3,840 SH     X            1        3,818      22
PACCAR INC                COM              693718108         6        81 SH             X    1                   81
PACKAGING CORP AMER       COM              695156109     8,865   421,152 SH     X            1      421,152
PARAMETRIC TECHNOLOGY     COM              699173100       115    17,984 SH     X            1       17,984
PARAMETRIC TECHNOLOGY     COM              699173100         3       485 SH             X    1                  485
PARKER HANNIFIN CORP      COM              701094104    21,058   339,598 SH     X            1      333,705   2,228     3,665
PARKER HANNIFIN CORP      COM              701094104       665    10,727 SH             X    1 6        515  10,212
PATTERSON COMPANIES INC   COM              703395103       425     9,419 SH     X            1        9,419
PATTERSON COMPANIES INC   COM              703395103         7       160 SH             X    1                  160
PATTERSON UTI ENERGY      COM              703481101     3,993   143,476 SH     X            1      143,476
PAYCHEX INC               COM              704326107       455    13,990 SH     X            1       13,940      50
PAYCHEX INC               COM              704326107         7       230 SH             X    1                  230
PENNEY J C INC            COM              708160106     8,793   167,234 SH     X            1      162,497     248     4,489
PENNEY J C INC            COM              708160106       845    16,063 SH             X    1 6        770  15,293
PENTAIR INC               COM              709631105     2,657    62,066 SH     X            1       61,966               100
PENTAIR INC               COM              709631105        73     1,712 SH             X    1                1,712
PEOPLES ENERGY CORP       COM              711030106     1,293    29,758 SH     X            1       29,608               150
PEOPLES ENERGY CORP       COM              711030106        27       626 SH             X    1 6                626
PEOPLESUPPORT INC         COM              712714302     1,090   119,534 SH     X            1      119,534
PEPSICO INC               COM              713448108    18,075   335,162 SH     X            1      318,329  10,339     6,494
PEPSICO INC               COM              713448108     3,450    63,965 SH             X    1 6      9,495  51,320     3,150
PERKINELMER INC           COM              714046109     1,489    78,779 SH     X            1       78,720      59
PERKINELMER INC           COM              714046109        12       630 SH             X    1                  630
PFIZER INC                COM              717081103    26,353   955,516 SH     X            1      895,673  27,120    32,723
PFIZER INC                COM              717081103     5,131   186,026 SH             X    1 6     23,615 148,436    13,975
PHELPS DODGE CORP         COM              717265102     2,923    31,595 SH     X            1       31,572      23
PHELPS DODGE CORP         COM              717265102        14       153 SH             X    1           21     132
PIER 1 IMPORTS INC        COM              720279108     8,994   633,838 SH     X            1      633,838
PINNACLE WEST CAP CORP    COM              723484101       765    17,209 SH     X            1       16,909     300
PINNACLE WEST CAP CORP    COM              723484101        25       573 SH             X    1                  573
PIONEER DRILLING CO       COM              723655106     2,844   186,342 SH     X            1      186,342
PITNEY BOWES INC          COM              724479100       364     8,347 SH     X            1        8,107     240
PITNEY BOWES INC          COM              724479100        89     2,048 SH             X    1                2,048
PLACER DOME INC           COM              725906101       207    13,462 SH             X    1               13,462
PLUM CREEK TIMBER CO      COM              729251108    11,420   314,597 SH     X            1      314,021      65       511
PLUM CREEK TIMBER CO      COM              729251108       892    24,565 SH             X    1 6             24,565
POWELL INDS INC           COM              739128106       532    28,200 SH             X    1               28,200
POWERWAVE TECHNOLOGIES    COM              739363109     1,437   140,569 SH     X            1      140,569
PRAXAIR INC               COM              74005P104       808    17,343 SH     X            1       15,138      80     2,125
PRAXAIR INC               COM              74005P104       162     3,473 SH             X    1                3,223       250
PRECISION CASTPARTS       COM              740189105     2,824    36,255 SH     X            1       36,255
PRECISION CASTPARTS       COM              740189105         6        75 SH             X    1                   75
PRICE T ROWE GROUP INC    COM              74144T108       305     4,870 SH     X            1        4,837      33
PRICE T ROWE GROUP INC    COM              74144T108        12       188 SH             X    1                  188
PRINCIPAL FINANCL GRP     COM              74251V102       539    12,871 SH     X            1       12,529     207       135
PRINCIPAL FINANCL GRP     COM              74251V102         6       147 SH             X    1                  147
PROCTER & GAMBLE CO       COM              742718109    27,550   522,284 SH     X            1      505,353   4,362    12,569
PROCTER & GAMBLE CO       COM              742718109     3,419    64,819 SH             X    1 6     13,882  50,537       400
PROGRESS ENERGY INC       COM              743263105     5,359   118,448 SH     X            1      117,934      64       450
PROGRESS ENERGY INC       COM              743263105        86     1,897 SH             X    1 6              1,897
PROGRESSIVE CORP OHIO     COM              743315103       761     7,697 SH     X            1        7,658      39
PROGRESSIVE CORP OHIO     COM              743315103        79       795 SH             X    1                  795





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
PROLOGIS                  SH BEN INT       743410102     1,292    32,113 SH     X            1       31,953               160
PROLOGIS                  SH BEN INT       743410102        27       679 SH             X    1 6                679
PROQUEST COMPANY          COM              74346P102    10,759   328,133 SH     X            1      328,133
PROTECTIVE LIFE CORP      COM              743674103    10,902   258,209 SH     X            1      258,209
PROTECTIVE LIFE CORP      COM              743674103        14       330 SH             X    1                  330
PROVIDIAN FINL CORP       COM              74406A102       589    33,411 SH     X            1       33,230     181
PROVIDIAN FINL CORP       COM              74406A102        14       776 SH             X    1                  776
PRUDENTIAL FINL INC       COM              744320102     4,448    67,737 SH     X            1       67,683      54
PRUDENTIAL FINL INC       COM              744320102        69     1,057 SH             X    1                1,057
PSYCHIATRIC SOLUTIONS     COM              74439H108     2,534    52,022 SH     X            1       52,022
PUBLIC SVC ENTRPRS GRP    COM              744573106     2,246    36,928 SH     X            1       36,741               187
PUBLIC SVC ENTRPRS GRP    COM              744573106        59       978 SH             X    1 6                978
PULTE HOMES INC           COM              745867101     2,170    25,755 SH     X            1       25,727      28
PULTE HOMES INC           COM              745867101        13       154 SH             X    1                  154
QSOUND LABS INC           COM NEW          74728C307       596   155,240 SH     X            1      155,240
QUALCOMM INC              COM              747525103     2,511    76,054 SH     X            1       75,912     142
QUALCOMM INC              COM              747525103       458    13,873 SH             X    1               13,873
QUEST DIAGNOSTICS INC     COM              74834L100       299     5,622 SH     X            1        5,622
QUEST DIAGNOSTICS INC     COM              74834L100        44       824 SH             X    1                  824
QUESTAR CORP              COM              748356102       195     2,958 SH     X            1        2,958
QUESTAR CORP              COM              748356102        53       800 SH             X    1                  800
RACKABLE SYS INC          COM              750077109     1,608   135,161 SH     X            1      135,161
RADIAN GROUP INC          COM              750236101       910    19,271 SH     X            1       19,271
RADIAN GROUP INC          COM              750236101        61     1,296 SH             X    1                1,296
RANGE RES CORP            COM              75281A109     1,130    42,000 SH     X            1       42,000
RAYONIER INC              COM              754907103     4,727    89,130 SH     X            1       89,130
RAYONIER INC              COM              754907103        29       552 SH             X    1                  552
RAYTHEON CO               COM NEW          755111507       295     7,538 SH     X            1        7,508                30
RAYTHEON CO               COM NEW          755111507       169     4,316 SH             X    1        1,950   2,366
REEBOK INTL LTD           COM              758110100       607    14,520 SH     X            1       14,489      31
REEBOK INTL LTD           COM              758110100        24       568 SH             X    1                  568
REGAL BELOIT CORP         COM              758750103    17,151   588,172 SH     X            1      588,172
REGAL BELOIT CORP         COM              758750103       255     8,760 SH             X    1                8,760
REGIONS FINANCIAL CORP    COM              7591EP100     2,412    71,206 SH     X            1       70,901               305
REGIONS FINANCIAL CORP    COM              7591EP100        55     1,621 SH             X    1 6              1,621
REPUBLIC SVCS INC         COM              760759100    12,249   340,162 SH     X            1      340,162
REPUBLIC SVCS INC         COM              760759100       103     2,860 SH             X    1                2,860
RESMED INC                COM              761152107     4,845    73,418 SH     X            1       71,152             2,266
RESPIRONICS INC           COM              761230101     2,676    74,112 SH     X            1       74,112
REYNOLDS AMERICAN INC     COM              761713106     1,336    16,952 SH     X            1       16,841               111
REYNOLDS AMERICAN INC     COM              761713106        15       196 SH             X    1                  196
RIO TINTO PLC             SPONSORED ADR    767204100       122     1,000 SH     X            1        1,000
RIO TINTO PLC             SPONSORED ADR    767204100       120       982 SH             X    1                  982
ROCKWELL AUTOMATION INC   COM              773903109     1,635    33,569 SH     X            1       33,456      38        75
ROCKWELL AUTOMATION INC   COM              773903109       244     4,999 SH             X    1          300   1,499     3,200
ROCKWELL COLLINS INC      COM              774341101     1,431    30,003 SH     X            1       29,933      70
ROCKWELL COLLINS INC      COM              774341101       119     2,490 SH             X    1          300   2,190
ROGERS CORP               COM              775133101       252     6,209 SH     X            1        6,209
ROYAL DUTCH PETE CO       NY REG EUR .56   780257804     5,962    91,872 SH     X            1       86,827   4,645       400
ROYAL DUTCH PETE CO       NY REG EUR .56   780257804     1,379    21,251 SH             X    1 6      2,652  18,599
RYLAND GROUP INC          COM              783764103     1,961    25,850 SH     X            1       25,850
SBC COMMUNICATIONS INC    COM              78387G103    26,321 1,108,261 SH     X            1    1,092,076   8,660     7,525
SBC COMMUNICATIONS INC    COM              78387G103     3,750   157,888 SH             X    1 6     10,706 139,982     7,200
SCP POOL CORP             COM              784028102     2,041    58,153 SH     X            1       58,153
SEI INVESTMENTS CO        COM              784117103       948    25,387 SH     X            1       25,387
SEI INVESTMENTS CO        COM              784117103        10       280 SH             X    1                  280
SFBC INTL INC             COM              784121105     3,023    78,265 SH     X            1       78,029               236
SFBC INTL INC             COM              784121105         8       206 SH             X    1                  206
SLM CORP                  COM              78442P106       490     9,644 SH     X            1        9,597      47
SLM CORP                  COM              78442P106        10       194 SH             X    1                  194
SPDR TR                   UNIT SER 1       78462F103     9,634    80,834 SH     X            1       79,599     450       785
SPDR TR                   UNIT SER 1       78462F103     1,966    16,499 SH             X    1               16,499
SRA INTL INC              CL A             78464R105     1,624    46,783 SH     X            1       46,783
SVB FINL GROUP            COM              78486Q101     1,744    36,408 SH     X            1       36,408
SAFECO CORP               COM              786429100    10,590   194,881 SH     X            1      194,834      47
SAFECO CORP               COM              786429100        12       229 SH             X    1                  229
ST JOE CO                 COM              790148100       514     6,300 SH     X            1        6,300
ST JUDE MED INC           COM              790849103     4,324    99,159 SH     X            1       94,675      88     4,396
ST JUDE MED INC           COM              790849103       404     9,258 SH             X    1                9,258
ST PAUL TRAVELERS INC     COM              792860108     9,686   245,032 SH     X            1      244,995      37
ST PAUL TRAVELERS INC     COM              792860108        20       508 SH             X    1                  508
SAKS INC                  COM              79377W108       247    13,000 SH     X            1       13,000
SALESFORCE COM INC        COM              79466L302     2,524   123,224 SH     X            1      123,224
SALOMON BROS GLBL HIGH    COM              79550G102       263    20,000 SH     X            1       20,000
SAP AKTIENGESELLSCHAFT    SPONSORED ADR    803054204       179     4,135 SH     X            1        4,135
SAP AKTIENGESELLSCHAFT    SPONSORED ADR    803054204        52     1,200 SH             X    1                1,200
SARA LEE CORP             COM              803111103     4,478   226,037 SH     X            1      213,559  10,270     2,208
SARA LEE CORP             COM              803111103       576    29,083 SH             X    1 6      5,600  19,183     4,300
SASOL LTD                 SPONSORED ADR    803866300     3,015   111,743 SH     X            1      111,743
SCHERING PLOUGH CORP      COM              806605101     1,247    65,433 SH     X            1       65,149     134       150
SCHERING PLOUGH CORP      COM              806605101       444    23,269 SH             X    1        8,100  12,369     2,800
SCHLUMBERGER LTD          COM              806857108     3,645    47,999 SH     X            1       46,927     253       819
SCHLUMBERGER LTD          COM              806857108       886    11,661 SH             X    1 6        800  10,761       100
SCHOLASTIC CORP           COM              807066105     8,042   208,621 SH     X            1      208,621
SCIENTIFIC ATLANTA INC    COM              808655104       276     8,299 SH     X            1        8,299
SCIENTIFIC ATLANTA INC    COM              808655104         7       215 SH             X    1                  215
SCIENTIFIC GAMES CORP     CL A             80874P109     1,505    55,869 SH     X            1       55,869
SEARS HLDGS CORP          COM              812350106       506     3,374 SH     X            1        3,374
SEARS HLDGS CORP          COM              812350106        87       581 SH             X    1                  581
SELECT SECTOR SPDR TR     SBI INT-ENERGY   81369Y506       577    12,980 SH     X            1       12,980





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
SELECT SECTOR SPDR TR     SBI INT-TECH     81369Y803       232    11,645 SH     X            1       11,645
SELECT SECTOR SPDR TR     SBI INT-UTILS    81369Y886       215     6,825 SH     X            1        6,475     350
SELECT SECTOR SPDR TR     SBI INT-UTILS    81369Y886        46     1,461 SH             X    1                1,461
SECURE COMPUTING CORP     COM              813705100     1,528   140,459 SH     X            1      140,459
SEMPRA ENERGY             COM              816851109     1,570    38,004 SH     X            1       37,563               441
SEMPRA ENERGY             COM              816851109        68     1,635 SH             X    1 6              1,635
SENSIENT TECHNOLOGIES     COM              81725T100       258    12,538 SH     X            1       12,538
SENSIENT TECHNOLOGIES     COM              81725T100        40     1,930 SH             X    1                1,930
SEPRACOR INC              COM              817315104     2,787    46,450 SH     X            1       46,450
7-ELEVEN INC              COM NEW          817826209       862    28,500 SH     X            1       28,500
7-ELEVEN INC              COM NEW          817826209         9       310 SH             X    1                  310
SHELL TRANS & TRADING     ADR NY SHS NEW   822703609        65     1,125 SH     X            1        1,125
SHELL TRANS & TRADING     ADR NY SHS NEW   822703609       292     5,028 SH             X    1                5,028
SHERWIN WILLIAMS CO       COM              824348106       815    17,308 SH     X            1       17,308
SHERWIN WILLIAMS CO       COM              824348106        15       328 SH             X    1                  328
SIEMENS A G               SPONSORED ADR    826197501       139     1,916 SH     X            1        1,916
SIEMENS A G               SPONSORED ADR    826197501       163     2,250 SH             X    1                2,250
SIGMA ALDRICH CORP        COM              826552101       978    17,448 SH     X            1       15,006   2,442
SIGMA ALDRICH CORP        COM              826552101        30       542 SH             X    1                  542
SILICON LABORATORIES      COM              826919102     1,645    62,780 SH     X            1       62,780
SIMON PPTY GROUP INC      COM              828806109     4,250    58,622 SH     X            1       58,226               396
SIMON PPTY GROUP INC      COM              828806109        63       870 SH             X    1 6                870
SIRIUS SATELLITE RADIO    COM              82966U103        65    10,000 SH     X            1       10,000
SIRIUS SATELLITE RADIO    COM              82966U103         6     1,000 SH             X    1                1,000
SIRF TECHNOLOGY HLDGS     COM              82967H101     1,564    88,438 SH     X            1       88,438
SKYWORKS SOLUTIONS INC    COM              83088M102        97    13,200 SH     X            1       13,200
SMITH A O                 COM              831865209       106     3,958 SH     X            1        3,958
SMITH A O                 COM              831865209       214     8,000 SH             X    1                8,000
SMITHFIELD FOODS INC      COM              832248108     6,696   245,536 SH     X            1      245,536
SMUCKER J M CO            COM NEW          832696405        52     1,115 SH     X            1        1,115
SMUCKER J M CO            COM NEW          832696405       308     6,559 SH             X    1            1   6,558
SNAP ON INC               COM              833034101    19,179   559,149 SH     X            1      558,959               190
SNAP ON INC               COM              833034101       310     9,050 SH             X    1 6      7,800   1,250
SONOSITE INC              COM              83568G104     1,457    46,953 SH     X            1       46,820               133
SOUTHERN CO               COM              842587107     9,563   275,815 SH     X            1      272,081   1,279     2,455
SOUTHERN CO               COM              842587107       560    16,158 SH             X    1 6      4,702   6,686     4,770
SOUTHWESTERN ENERGY CO    COM              845467109       502    10,685 SH     X            1       10,685
SOVEREIGN BANCORP INC     COM              845905108       673    30,105 SH     X            1       30,105
SPRINT CORP               COM FON          852061100    10,763   428,967 SH     X            1      428,837     130
SPRINT CORP               COM FON          852061100       219     8,711 SH             X    1                8,711
STAPLES INC               COM              855030102       559    26,252 SH     X            1       26,065               187
STAPLES INC               COM              855030102        70     3,297 SH             X    1                2,622       675
STARBUCKS CORP            COM              855244109     1,439    27,853 SH     X            1       27,811      42
STARBUCKS CORP            COM              855244109        77     1,490 SH             X    1                1,490
STARWOOD HTLS & RSRTS     PAIRED CTF       85590A203     2,991    51,063 SH     X            1       51,063
STARWOOD HTLS & RSRTS     PAIRED CTF       85590A203        51       865 SH             X    1                  865
STATE STR CORP            COM              857477103       996    20,636 SH     X            1       20,516               120
STATE STR CORP            COM              857477103        17       352 SH             X    1                  202       150
STORA ENSO CORP           SPON ADR REP R   86210M106       951    74,840 SH     X            1       74,840
STORA ENSO CORP           SPON ADR REP R   86210M106        16     1,245 SH             X    1                1,245
STRYKER CORP              COM              863667101       535    11,257 SH     X            1       11,221      36
STRYKER CORP              COM              863667101       529    11,130 SH             X    1               11,130
SUN MICROSYSTEMS INC      COM              866810104        23     6,091 SH     X            1        6,091
SUN MICROSYSTEMS INC      COM              866810104        31     8,400 SH             X    1          700   7,700
SUNGARD DATA SYS INC      COM              867363103     9,351   265,890 SH     X            1      265,773     117
SUNGARD DATA SYS INC      COM              867363103         3        75 SH             X    1                   75
SUNOCO INC                COM              86764P109     1,496    13,162 SH     X            1       13,162
SUNOCO INC                COM              86764P109        31       272 SH             X    1                  272
SUNTRUST BKS INC          COM              867914103     4,277    59,206 SH     X            1       58,928      26       252
SUNTRUST BKS INC          COM              867914103        84     1,169 SH             X    1 6              1,169
SUPERVALU INC             COM              868536103     6,172   189,272 SH     X            1      189,272
SUPERVALU INC             COM              868536103        18       545 SH             X    1                  545
SURMODICS INC             COM              868873100       301     6,950 SH     X            1          450             6,500
SWIFT TRANSN CO           COM              870756103    10,607   455,423 SH     X            1      455,423
SWISSCOM AG               SPONSORED ADR    871013108       239     7,312 SH             X    1                7,312
SYMANTEC CORP             COM              871503108       465    21,395 SH     X            1       21,323      72
SYMANTEC CORP             COM              871503108        14       635 SH             X    1                  635
SYMMETRY MED INC          COM              871546206     2,082    88,438 SH     X            1       88,438
SYNOPSYS INC              COM              871607107     8,288   497,163 SH     X            1      497,103                60
SYNOPSYS INC              COM              871607107         2       135 SH             X    1                  135
SYNOVUS FINL CORP         COM              87161C105     1,137    39,661 SH     X            1       39,550     111
SYNOVUS FINL CORP         COM              87161C105         6       211 SH             X    1                  211
SYSCO CORP                COM              871829107       898    24,818 SH     X            1       17,666     102     7,050
SYSCO CORP                COM              871829107       218     6,024 SH             X    1                5,524       500
TCF FINL CORP             COM              872275102       948    36,647 SH     X            1       36,422               225
TCF FINL CORP             COM              872275102        46     1,760 SH             X    1                1,760
TEPPCO PARTNERS L P       UT LTD PARTNER   872384102       173     4,185 SH     X            1        4,185
TEPPCO PARTNERS L P       UT LTD PARTNER   872384102        41     1,000 SH             X    1                1,000
TJX COS INC NEW           COM              872540109       339    13,917 SH     X            1       13,803     114
TJX COS INC NEW           COM              872540109        34     1,377 SH             X    1          800     577
TXU CORP                  COM              873168108     2,850    34,304 SH     X            1       34,144               160
TXU CORP                  COM              873168108        72       862 SH             X    1 6                862
TAIWAN SEMICONDCTR MFG    SPONSORED ADR    874039100         2       241 SH     X            1          115               126
TAIWAN SEMICONDCTR MFG    SPONSORED ADR    874039100       202    22,107 SH             X    1               22,107
TARGET CORP               COM              87612E106     4,793    88,084 SH     X            1       85,962      82     2,040
TARGET CORP               COM              87612E106     2,059    37,843 SH             X    1       23,200  14,368       275
TELECOM ITALIA S P A      SPON ADR SVGS    87927Y201       221     8,598 SH             X    1                8,598
TEMPUR PEDIC INTL INC     COM              88023U101     2,504   112,913 SH     X            1      112,756               157
TEVA PHARMACEUTICL INDS   ADR              881624209     1,525    48,974 SH     X            1       48,774               200
TEVA PHARMACEUTICL INDS   ADR              881624209        23       750 SH             X    1                  100       650





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
TEXAS INSTRS INC          COM              882508104     1,952    69,524 SH     X            1       61,502   2,002     6,020
TEXAS INSTRS INC          COM              882508104       672    23,930 SH             X    1        2,000  21,930
TEXTRON INC               COM              883203101     3,004    39,605 SH     X            1       39,605
TEXTRON INC               COM              883203101         9       114 SH             X    1                  114
THERMO ELECTRON CORP      COM              883556102       248     9,228 SH     X            1        9,171      57
THERMO ELECTRON CORP      COM              883556102         9       326 SH             X    1                  326
THIRD WAVE TECHNOLOGIES   COM              88428W108         6     1,500 SH     X            1        1,500
THIRD WAVE TECHNOLOGIES   COM              88428W108       149    38,000 SH             X    1               38,000
3M CO                     COM              88579Y101    23,150   320,200 SH     X            1      313,945   3,505     2,750
3M CO                     COM              88579Y101     4,697    64,959 SH             X    1 6      7,835  56,324       800
TIFFANY & CO NEW          COM              886547108       427    13,028 SH     X            1        8,575      50     4,403
TIFFANY & CO NEW          COM              886547108         1        24 SH             X    1                   24
TIME WARNER INC           COM              887317105    10,559   631,899 SH     X            1      616,879   5,215     9,805
TIME WARNER INC           COM              887317105       793    47,441 SH             X    1 6        125  47,208       108
TORCHMARK CORP            COM              891027104       424     8,124 SH     X            1        8,085      39
TORCHMARK CORP            COM              891027104        13       257 SH             X    1                  257
TOREADOR RES CORP         COM              891050106     3,284   135,213 SH     X            1      134,807               406
TOWER GROUP INC           COM              891777104     1,382    88,438 SH     X            1       88,438
TOWER GROUP INC           COM              891777104        12       760 SH             X    1                  760
TRAMMELL CROW CO          COM              89288R106     1,639    67,628 SH     X            1       67,423               205
TRANSCANADA CORP          COM              89353D107       304    11,500 SH     X            1       11,500
TRIAD HOSPITALS INC       COM              89579K109     5,155    94,339 SH     X            1       94,339
TRIAD HOSPITALS INC       COM              89579K109        10       180 SH             X    1                  180
TRIBUNE CO NEW            COM              896047107     7,603   216,124 SH     X            1      216,124
TRIBUNE CO NEW            COM              896047107       278     7,904 SH             X    1                7,904
TUPPERWARE CORP           COM              899896104       193     8,247 SH     X            1        8,247
TUPPERWARE CORP           COM              899896104       773    33,073 SH             X    1               18,568    14,505
TYCO INTL LTD NEW         COM              902124106     3,865   132,368 SH     X            1      132,137     186        45
TYCO INTL LTD NEW         COM              902124106       628    21,503 SH             X    1               21,503
UST INC                   COM              902911106     3,865    84,653 SH     X            1       84,487      27       139
UST INC                   COM              902911106       111     2,426 SH             X    1        2,000     426
US BANCORP DEL            COM NEW          902973304    17,693   605,909 SH     X            1      585,212   2,781    17,916
US BANCORP DEL            COM NEW          902973304     3,066   104,988 SH             X    1 6     26,074  78,914
UNION PAC CORP            COM              907818108       659    10,164 SH     X            1        7,348   1,816     1,000
UNION PAC CORP            COM              907818108       186     2,872 SH             X    1          725   1,481       666
UNITED PARCEL SERVICE     CL B             911312106     7,690   111,197 SH     X            1      108,880     217     2,100
UNITED PARCEL SERVICE     CL B             911312106     2,075    30,004 SH             X    1                6,159    23,845
UNITED TECHNOLOGIES       COM              913017109     5,197   101,202 SH     X            1       98,744   1,286     1,172
UNITED TECHNOLOGIES       COM              913017109     1,000    19,468 SH             X    1          800  15,068     3,600
UNITED UTILS PLC          SPONSORED ADR    91311Q105       255    10,662 SH             X    1               10,662
UNITEDHEALTH GROUP INC    COM              91324P102     2,603    49,927 SH     X            1       49,741     116        70
UNITEDHEALTH GROUP INC    COM              91324P102       162     3,102 SH             X    1                3,102
UNIVERSAL HLTH SVCS INC   CL B             913903100     9,923   159,592 SH     X            1      159,592
UNIVERSAL HLTH SVCS INC   CL B             913903100         8       130 SH             X    1                  130
UNIVISION COMMUNICATNS    CL A             914906102       436    15,810 SH     X            1       15,660               150
UNIVISION COMMUNICATNS    CL A             914906102        28     1,000 SH             X    1                1,000
URBAN OUTFITTERS INC      COM              917047102       979    17,264 SH     X            1       17,264
URBAN OUTFITTERS INC      COM              917047102        11       195 SH             X    1                  195
V F CORP                  COM              918204108     1,195    20,881 SH     X            1       20,881
V F CORP                  COM              918204108         4        63 SH             X    1                   63
VALERO ENERGY CORP NEW    COM              91913Y100     1,501    18,975 SH     X            1       18,953      22
VALERO ENERGY CORP NEW    COM              91913Y100       208     2,632 SH             X    1                2,632
VAN KAMPEN TR INVT GRD    COM              920929106       264    17,615 SH     X            1       17,615
VAN KAMPEN TR INVT GRD    COM              920929106       120     8,000 SH         X        1                8,000
VAN KAMPEN MUN OPPRTNTY   COM              920935103       309    20,740 SH     X            1       20,740
VAN KAMPEN MUN OPPRTNTY   COM              920935103       119     8,000 SH         X        1                8,000
VAN KAMPEN MUN OPPRTNTY   COM              920944105       151    11,095 SH     X            1       11,095
VASCO DATA SEC INTL INC   COM              92230Y104     1,463   150,813 SH     X            1      150,813
VERISIGN INC              COM              92343E102     3,212   111,697 SH     X            1      111,697
VERISIGN INC              COM              92343E102         9       305 SH             X    1                  305
VERIZON COMMUNICATIONS    COM              92343V104    34,659 1,003,149 SH     X            1      986,054   6,545    10,550
VERIZON COMMUNICATIONS    COM              92343V104     2,655    76,856 SH             X    1 6      9,495  64,214     3,147
VIACOM INC                CL B             925524308     1,299    40,580 SH     X            1       38,834     448     1,298
VIACOM INC                CL B             925524308       501    15,652 SH             X    1          868  14,034       750
VODAFONE GROUP PLC NEW    SPONSORED ADR    92857W100       373    15,318 SH     X            1       15,318
VODAFONE GROUP PLC NEW    SPONSORED ADR    92857W100        41     1,695 SH             X    1          400   1,125       170
WPS RESOURCES CORP        COM              92931B106     3,138    55,794 SH     X            1       54,785     700       309
WPS RESOURCES CORP        COM              92931B106       326     5,800 SH             X    1        1,700   3,700       400
WACHOVIA CORP 2ND NEW     COM              929903102    14,855   299,487 SH     X            1      298,229     147     1,111
WACHOVIA CORP 2ND NEW     COM              929903102       517    10,419 SH             X    1 6             10,419
WACOAL CORP               ADR              930004205       223     3,515 SH             X    1                3,515
WAL MART STORES INC       COM              931142103    24,634   511,082 SH     X            1      480,627  18,462    11,993
WAL MART STORES INC       COM              931142103     3,444    71,456 SH             X    1 6      5,975  62,981     2,500
WALGREEN CO               COM              931422109    21,344   464,109 SH     X            1      435,377   5,068    23,664
WALGREEN CO               COM              931422109     6,944   150,990 SH             X    1 6     37,840 112,800       350
WASHINGTON MUT INC        COM              939322103     7,705   189,368 SH     X            1      187,696      91     1,581
WASHINGTON MUT INC        COM              939322103       126     3,085 SH             X    1 6              3,085
WASTE CONNECTIONS INC     COM              941053100     1,194    32,017 SH     X            1       32,017
WASTE MGMT INC DEL        COM              94106L109        82     2,879 SH     X            1        2,824                55
WASTE MGMT INC DEL        COM              94106L109       336    11,845 SH             X    1          400  11,445
WATERS CORP               COM              941848103       273     7,342 SH     X            1        7,342
WATERS CORP               COM              941848103         7       192 SH             X    1                  192
WATSON WYATT & CO HLDGS   CL A             942712100    10,932   426,524 SH     X            1      426,524
WATSON WYATT & CO HLDGS   CL A             942712100         3       105 SH             X    1                  105
WAUSAU PAPER CORP         COM              943315101     2,277   190,065 SH     X            1      190,065
WAUSAU PAPER CORP         COM              943315101     3,178   265,304 SH             X    1      225,493  39,711       100
WEBSIDESTORY INC          COM              947685103       763    52,031 SH     X            1       52,031
WEINGARTEN RLTY INVS      SH BEN INT       948741103       123     3,145 SH     X            1        3,145
WEINGARTEN RLTY INVS      SH BEN INT       948741103       608    15,499 SH             X    1               15,499
WELLCARE HEALTH PLANS     COM              94946T106     2,402    67,642 SH     X            1       67,436               206





                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
WELLPOINT INC             COM              94973V107     6,716    96,442 SH     X            1       96,288      54       100
WELLPOINT INC             COM              94973V107        44       632 SH             X    1                  632
WELLS FARGO & CO NEW      COM              949746101    36,728   596,430 SH     X            1      584,200   2,563     9,667
WELLS FARGO & CO NEW      COM              949746101     3,729    60,557 SH             X    1 6      3,844  55,513     1,200
WESCO INTL INC            COM              95082P105     1,306    41,616 SH     X            1       41,490               126
WESTELL TECHNOLOGIES      CL A             957541105     1,649   275,718 SH     X            1      274,883               835
WESTERN DIGITAL CORP      COM              958102105     1,998   148,846 SH     X            1      148,846
WESTERN DIGITAL CORP      COM              958102105         6       430 SH             X    1                  430
WEYERHAEUSER CO           COM              962166104    10,619   166,840 SH     X            1      162,746   2,964     1,130
WEYERHAEUSER CO           COM              962166104     1,822    28,620 SH             X    1 6      8,985  19,605        30
WHIRLPOOL CORP            COM              963320106       331     4,723 SH     X            1          723             4,000
WHIRLPOOL CORP            COM              963320106       496     7,071 SH             X    1        3,990   3,081
WHITEHALL JEWELLERS INC   COM              965063100       137    20,000 SH     X            1       20,000
WHOLE FOODS MKT INC       COM              966837106     2,565    21,699 SH     X            1       21,699
WILLIAMS COS INC DEL      COM              969457100       358    18,841 SH     X            1       18,657     129        55
WILLIAMS COS INC DEL      COM              969457100       108     5,699 SH             X    1                5,699
WILLIAMS SONOMA INC       COM              969904101       934    23,608 SH     X            1       23,608
WILSONS LEATHER EXPRTS    COM              972463103     2,763   416,175 SH     X            1      416,175
WIND RIVER SYSTEMS INC    COM              973149107     3,621   230,937 SH     X            1      230,937
WIND RIVER SYSTEMS INC    COM              973149107        35     2,250 SH             X    1                2,250
WISCONSIN ENERGY CORP     COM              976657106     4,404   112,912 SH     X            1      111,360   1,552
WISCONSIN ENERGY CORP     COM              976657106     1,400    35,889 SH             X    1        4,941  28,257     2,691
WITNESS SYS INC           COM              977424100     2,181   119,621 SH     X            1      119,261               360
WRIGLEY WM JR CO          COM              982526105       549     7,972 SH     X            1        7,927      30        15
WRIGLEY WM JR CO          COM              982526105     1,892    27,488 SH             X    1        1,100  15,588    10,800
WYETH                     COM              983024100     9,403   211,297 SH     X            1      209,221   2,021        55
WYETH                     COM              983024100     2,414    54,248 SH             X    1        6,575  47,673
XTO ENERGY INC            COM              98385X106     1,164    34,253 SH     X            1       34,253
XTO ENERGY INC            COM              98385X106       392    11,539 SH             X    1               11,539
XCEL ENERGY INC           COM              98389B100    11,041   565,600 SH     X            1      562,297             3,303
XCEL ENERGY INC           COM              98389B100       132     6,784 SH             X    1 6        400   6,384
XEROX CORP                COM              984121103    10,993   797,177 SH     X            1      797,057               120
XEROX CORP                COM              984121103         1        41 SH             X    1                   41
YAHOO INC                 COM              984332106     5,657   163,267 SH     X            1      160,544     123     2,600
YAHOO INC                 COM              984332106        76     2,184 SH             X    1                2,184
YORK INTL CORP NEW        COM              986670107     3,482    91,638 SH     X            1       91,638
YORK INTL CORP NEW        COM              986670107         3        90 SH             X    1                   90
YUM BRANDS INC            COM              988498101       593    11,377 SH     X            1       11,323      54
YUM BRANDS INC            COM              988498101       175     3,365 SH             X    1          600   2,765
ZIMMER HLDGS INC          COM              98956P102     4,444    58,344 SH     X            1       58,239      55        50
ZIMMER HLDGS INC          COM              98956P102       673     8,835 SH             X    1            5   8,830
ZIONS BANCORPORATION      COM              989701107       248     3,373 SH     X            1        3,373
ZIONS BANCORPORATION      COM              989701107        25       340 SH             X    1                  340
ZOLTEK COS INC            COM              98975W104       389    34,600 SH             X    1               34,600
                                                    -----------
FINAL TOTALS                                         3,916,242
                                                    ===========





                                                    M&I INVESTMENT MANAGEMENT CORP.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                       ASSETS AS OF 06/30/2005

 - - - - COLUMN 1 - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - COLUMN 5 COLUMN 6 - COLUMN 7 - - - - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------
                                                                             INVESTMENT DISCR          VOTING AUTHORITY
                              TITLE                  MARKET                --------------------   --------------------------
                                OF                    VALUE   SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE    SHARED    NONE
     NAME OF ISSUER           CLASS         CUSIP   (X$1000)  PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)      (B)      (C)
----------------------------------------------------------------------------------------------------------------------------
                                                                             
COOPER INDS LTD           CL A             G24182100       351     5,500 SH     X            5        5,500
ABBOTT LABS               COM              002824100       446     9,110 SH     X            5        9,110
ALTRIA GROUP INC          COM              02209S103       330     5,110 SH     X            5        5,110
ASSOCIATED BANC CORP      COM              045487105       322     9,600 SH     X            5        9,600
BB&T CORP                 COM              054937107       359     8,994 SH     X            5        8,994
BANK OF AMERICA CORP      COM              060505104       837    18,362 SH     X            5       18,362
BELLSOUTH CORP            COM              079860102       363    13,650 SH     X            5       13,650
CHEVRON CORP NEW          COM              166764100       713    12,752 SH     X            5       12,752
CITIGROUP INC             COM              172967101       828    17,918 SH     X            5       17,918
DEVELOPERS DVRSFD RLTY    COM              251591103       409     8,905 SH     X            5        8,905
DOMINION RES INC          COM              25746U109       376     5,120 SH     X            5        5,120
DOW CHEM CO               COM              260543103       506    11,390 SH     X            5       11,390
EASTMAN CHEM CO           COM              277432100       464     8,429 SH     X            5        8,429
ENTERPRISE PRODS PRTNRS   COM              293792107       325    12,124 SH     X            5       12,124
EXELON CORP               COM              30161N101       274     5,341 SH     X            5        5,341
EXXON MOBIL CORP          COM              30231G102       657    11,430 SH     X            5       11,430
GENERAL ELEC CO           COM              369604103       773    22,310 SH     X            5       22,310
GENERAL GROWTH PPTYS      COM              370021107       468    11,390 SH     X            5       11,390
ISTAR FINL INC            COM              45031U101       363     8,740 SH     X            5        8,740
INLAND REAL ESTATE CORP   COM NEW          457461200       306    19,000 SH     X            5       19,000
ISHARES TR                RUSSELL MCP GR   464287481     3,222    37,620 SH     X            5       37,620
ISHARES TR                RUSL 2000 GROW   464287648     3,864    59,600 SH     X            5       59,600
JPMORGAN & CHASE & CO     COM              46625H100       725    20,533 SH     X            5       20,533
JOURNAL COMMUNICATIONS    CL A             481130102       323    19,234 SH     X            5       19,234
KERR MCGEE CORP           COM              492386107       468     6,132 SH     X            5        6,132
LOWES COS INC             COM              548661107       206     3,540 SH     X            5        3,540
MERCK & CO INC            COM              589331107       720    23,396 SH     X            5       23,396
MICROSOFT CORP            COM              594918104       251    10,101 SH     X            5       10,101
PPG INDS INC              COM              693506107       276     4,400 SH     X            5        4,400
PPL CORP                  COM              69351T106       410     6,911 SH     X            5        6,911
PITNEY BOWES INC          COM              724479100       283     6,500 SH     X            5        6,500
PUBLIC SVC ENTERPRISE     COM              744573106       220     3,613 SH     X            5        3,613
RPM INTL INC              COM              749685103       303    16,600 SH     X            5       16,600
SBC COMMUNICATIONS INC    COM              78387G103       578    24,349 SH     X            5       24,349
ST PAUL TRAVELERS INC     COM              792860108       281     7,100 SH     X            5        7,100
SIMON PPTY GROUP INC      COM              828806109       420     5,793 SH     X            5        5,793
STANLEY WKS               COM              854616109       337     7,400 SH     X            5        7,400
TEPPCO PARTNERS L P       UT LTD PARTNER   872384102       313     7,545 SH     X            5        7,545
US BANCORP DEL            COM NEW          902973304       478    16,367 SH     X            5       16,367
VALERO L P                COM UT LTD PRT   91913W104       353     5,865 SH     X            5        5,865
VERIZON COMMUNICATIONS    COM              92343V104       654    18,923 SH     X            5       18,923
VORNADO RLTY TR           SH BEN INT       929042109       456     5,670 SH     X            5        5,670
WACHOVIA CORP 2ND NEW     COM              929903102       569    11,468 SH     X            5       11,468
WASHINGTON MUT INC        COM              939322103       363     8,933 SH     X            5        8,933
WELLS FARGO & CO NEW      COM              949746101       779    12,644 SH     X            5       12,644
                                                     ----------
FINAL TOTALS                                            26,322
                                                     ==========