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

                             Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   06/30/2007

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:      Jeffrey O. Himstreet
Title:     Vice President
Phone:     414-765-7809

Signature, Place, and Date of Signing:


    /s/Jeffrey O. Himstreet             Milwaukee, WI         8/10/07
_________________________________      ________________     __________

      [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:               1,901

Form 13F Information Table Value Total:             $ 5,737,632
                                                    (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.

    10          N/A             North Star Trust Company




REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
ACE LTD                   ORD         G0070K103     11,134   178,084SH         X                 01      178,084
ACE LTD                   ORD         G0070K103         10       157SH                      X    01                  157
ASSURED GUARANTY LTD      COM         G0585R106      5,304   179,433SH         X                 01      178,986               447
ACCENTURE LTD BERMUDA     CL A        G1150G111      2,218    51,722SH         X                 01       47,522             4,200
ACCENTURE LTD BERMUDA     CL A        G1150G111        217     5,050SH                      X    01          675   4,375
COOPER INDS LTD           CL A        G24182100        542     9,488SH         X                 01        9,400                88
COOPER INDS LTD           CL A        G24182100         26       464SH                      X    01                  464
FRONTLINE LTD             SHS         G3682E127        414     9,030SH         X                 01        9,030
GARMIN LTD                ORD         G37260109        918    12,413SH         X                 01       10,102             2,311
GARMIN LTD                ORD         G37260109        375     5,069SH                      X    01                3,551     1,518
GLOBALSANTAFE CORP        SHS         G3930E101     10,811   149,637SH         X                 01      145,797   2,960       880
GLOBALSANTAFE CORP        SHS         G3930E101      1,839    25,456SH                      X    01        4,875  20,581
INGERSOLL-RAND COMPANY    CL A        G4776G101        803    14,653SH         X                 01       14,605      48
INGERSOLL-RAND COMPANY    CL A        G4776G101         92     1,677SH                      X    01                1,677
MARVELL TECHNOLOGY GRP    ORD         G5876H105      1,734    95,210SH         X                 01       95,210
MARVELL TECHNOLOGY GRP    ORD         G5876H105         54     2,962SH                      X    01          150   2,812
MAX CAPITAL GROUP LTD     SHS         G6052F103        260     9,200SH         X                 01        9,200
MAX CAPITAL GROUP LTD     SHS         G6052F103         10       343SH                      X    01                  343
NABORS INDUSTRIES LTD     SHS         G6359F103        405    12,133SH         X                 01       12,043      90
NABORS INDUSTRIES LTD     SHS         G6359F103         12       369SH                      X    01                  369
NOBLE CORPORATION         SHS         G65422100      5,580    57,224SH         X                 01       56,315               909
NOBLE CORPORATION         SHS         G65422100         76       779SH                      X    01                  308       471
ORIENT-EXPRESS HOTELS     CL A        G67743107        465     8,700SH         X                 01        8,700
PARTNERRE LTD             COM         G6852T105     13,484   173,991SH         X                 01      173,991
RENAISSANCERE HOLDINGS    COM         G7496G103      1,566    25,257SH         X                 01       24,707     550
RENAISSANCERE HOLDINGS    COM         G7496G103        338     5,460SH                      X    01                5,460
SEAGATE TECHNOLOGY        SHS         G7945J104      1,289    59,230SH         X                 01       59,230
SHIP FINANCE INTERNATNL   SHS         G81075106      1,118    37,663SH         X                 01       35,133   2,530
SHIP FINANCE INTERNATNL   SHS         G81075106         69     2,325SH                      X    01        1,025   1,300
SINA CORP                 ORD         G81477104      5,316   126,995SH         X                 01      126,665               330
UTI WORLDWIDE INC         ORD         G87210103        321    12,000SH         X                 01       12,000
TRANSOCEAN INC            ORD         G90078109      7,803    73,629SH         X                 01       72,994      49       586
TRANSOCEAN INC            ORD         G90078109        298     2,810SH                      X    01        1,000   1,496       314
GOLAR LNG LTD BERMUDA     SHS         G9456A100      2,361   141,740SH         X                 01      141,159               581
WEATHERFORD INTERNTNL     COM         G95089101        618    11,182SH         X                 01       11,182
WEATHERFORD INTERNTNL     COM         G95089101        151     2,735SH                      X    01                2,735
WILLIS GROUP HOLDINGS     SHS         G96655108      2,956    67,097SH         X                 01       64,097             3,000
XL CAP LTD                CL A        G98255105     25,268   299,779SH         X                 01      296,780   1,670     1,329
XL CAP LTD                CL A        G98255105      1,601    18,991SH                      X    01               18,991
ALCON INC                 COM SHS     H01301102      1,634    12,109SH         X                 01       11,679     430
ALCON INC                 COM SHS     H01301102        145     1,075SH                      X    01        1,075
LOGITECH INTL S A         SHS         H50430232        495    18,753SH         X                 01       14,397             4,356
LOGITECH INTL S A         SHS         H50430232         98     3,714SH                      X    01                1,314     2,400
UBS AG                    SHS NEW     H89231338      8,131   135,486SH         X                 01      133,334      80     2,072
UBS AG                    SHS NEW     H89231338        938    15,639SH                      X    01               15,639
MILLICOM INTL CELLULAR    SHS NEW     L6388F110      3,704    40,423SH         X                 01       40,423
GILAT SATELLITE NETWRKS   SHS NEW     M51474118      2,263   234,961SH         X                 01      234,006               955
QUINTANA MARITIME LTD     SHS         Y7169G109        353    22,300SH         X                 01       22,300
AAR CORP                  COM         000361105      3,225    97,710SH         X                 01       97,395               315
ABB LTD                   SPON ADR    000375204      3,707   164,031SH         X                 01      154,215             9,816
ABB LTD                   SPON ADR    000375204        122     5,386SH                      X    01                2,021     3,365
ACCO BRANDS CORP          COM         00081T108        619    26,839SH         X                 01       26,839
ACCO BRANDS CORP          COM         00081T108          2        76SH                      X    01           76
ABN AMRO HLDG NV          SPON ADR    000937102        240     5,237SH         X                 01        5,237
ABN AMRO HLDG NV          SPON ADR    000937102          5       117SH                      X    01                  117
AFC ENTERPRISES INC       COM         00104Q107        226    13,050SH         X                 01       13,050
AFLAC INC                 COM         001055102      8,459   164,580SH         X                 01      162,036      87     2,457
AFLAC INC                 COM         001055102        667    12,969SH                      X    01        2,150  10,819
AES CORP                  COM         00130H105        887    40,531SH         X                 01       40,016     251       264
AES CORP                  COM         00130H105        108     4,951SH                      X    01        1,543   3,408
AMR CORP                  COM         001765106        292    11,077SH         X                 01       11,077
AMR CORP                  COM         001765106          6       220SH                      X    01                  220
AT&T INC                  COM         00206R102     50,091 1,207,008SH         X                 01    1,195,524   7,422     4,062
AT&T INC                  COM         00206R102      8,430   203,136SH                      X    01       24,384 173,036     5,716
AVI BIOPHARMA INC         COM         002346104        238    85,000SH         X                 01       85,000
ABBOTT LABS               COM         002824100     25,897   483,601SH         X                 01      452,299  20,172    11,130
ABBOTT LABS               COM         002824100      7,082   132,247SH                      X    01       18,690  94,985    18,572
ACACIA RESH CORP          COM         003881307      3,733   230,981SH         X                 01      230,032               949
ACTIVISION INC NEW        COM NEW     004930202      1,680    89,970SH         X                 01       89,970
ACTUANT CORP              CL A NEW    00508X203        208     3,300SH         X                 01        3,300
ACTUANT CORP              CL A NEW    00508X203        101     1,600SH                      X    01                1,600
ACUITY BRANDS INC         COM         00508Y102        370     6,134SH         X                 01        5,559               575
ADOBE SYS INC             COM         00724F101      3,359    83,662SH         X                 01       83,411     130       121
ADOBE SYS INC             COM         00724F101         19       461SH                      X    01                  461
ADVANTAGE ENERGY INC FD   TR UNIT     00762L101        338    24,010SH         X                 01       24,010
ADVISORY BRD CO           COM         00762W107      3,839    69,102SH         X                 01       68,819               283
AEROPOSTALE               COM         007865108      1,683    40,375SH         X                 01       40,375
AEROPOSTALE               COM         007865108         20       470SH                      X    01                  470
AEGON N V                 ORDAMERREG  007924103        373    19,002SH         X                 01       16,784             2,218
AEGON N V                 ORDAMERREG  007924103        296    15,045SH                      X    01               15,045
AETNA INC NEW             COM         00817Y108        704    14,242SH         X                 01       13,516      80       646
AETNA INC NEW             COM         00817Y108        500    10,127SH                      X    01               10,127
AFFILIATED MANAGERS GRP   COM         008252108     10,255    79,642SH         X                 01       79,546                96
AGRIUM INC                COM         008916108        393     8,980SH         X                 01        8,980
AIR PRODS & CHEMS INC     COM         009158106      3,766    46,856SH         X                 01       42,756   1,100     3,000
AIR PRODS & CHEMS INC     COM         009158106      1,388    17,271SH                      X    01       10,000   7,271
AIRGAS INC                COM         009363102        409     8,542SH         X                 01        8,542
AKAMAI TECHNOLOGIES INC   COM         00971T101      4,503    92,577SH         X                 01       92,247     330







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
AKAMAI TECHNOLOGIES INC   COM         00971T101         86     1,777SH                      X    01          375   1,402
AKZO NOBEL NV             SPON ADR    010199305        307     3,579SH         X                 01        3,327               252
AKZO NOBEL NV             SPON ADR    010199305        133     1,545SH                      X    01                1,545
ALBANY INTL CORP          CL A        012348108        279     6,904SH         X                 01        6,904
ALCOA INC                 COM         013817101      5,268   129,978SH         X                 01      126,773   2,814       391
ALCOA INC                 COM         013817101      1,970    48,598SH                      X    01       21,575  27,023
ALCATEL-LUCENT            SPON ADR    013904305        838    59,866SH         X                 01       57,420             2,446
ALCATEL-LUCENT            SPON ADR    013904305        688    49,121SH                      X    01               49,121
ALEXION PHARMACEUTICALS   COM         015351109      3,803    84,405SH         X                 01       84,209               196
ALLEGHENY ENERGY INC      COM         017361106        926    17,906SH         X                 01       17,797     109
ALLEGHENY ENERGY INC      COM         017361106         28       543SH                      X    01                  543
ALLEGHENY TECHNOLOGIES    COM         01741R102      1,081    10,310SH         X                 01       10,265                45
ALLEGHENY TECHNOLOGIES    COM         01741R102         28       266SH                      X    01                  266
ALLERGAN INC              COM         018490102      4,075    70,696SH         X                 01       68,370             2,326
ALLERGAN INC              COM         018490102        102     1,778SH                      X    01                  648     1,130
ALLETE INC                COM NEW     018522300        422     8,964SH         X                 01        8,964
ALLETE INC                COM NEW     018522300         23       486SH                      X    01                  486
ALLIANCE RES PARTNR LP    UT LP       01877R108        210     5,000SH                      X    01                5,000
ALLIANT ENERGY CORP       COM         018802108      2,665    68,586SH         X                 01       67,598     988
ALLIANT ENERGY CORP       COM         018802108        319     8,211SH                      X    01        1,076   6,935       200
ALLIANT TECHSYSTEMS INC   COM         018804104     13,323   134,370SH         X                 01      134,370
ALLIANZ SE                SP ADR      018805101        149     6,408SH         X                 01        4,002             2,406
ALLIANZ SE                SP ADR      018805101        124     5,325SH                      X    01                5,325
ALLIANCEBERNSTN INC FD    COM         01881E101         84    10,215SH         X                 01       10,215
ALLIANCEBERNSTN INC FD    COM         01881E101         20     2,403SH                 X         01        1,200   1,203
ALLIANCEBERNSTEIN HLDG    UNIT LP     01881G106         31       357SH         X                 01          357
ALLIANCEBERNSTEIN HLDG    UNIT LP     01881G106        540     6,200SH                      X    01                6,200
ALLIED CAP CORP NEW       COM         01903Q108        301     9,733SH         X                 01        9,733
ALLIED CAP CORP NEW       COM         01903Q108         66     2,125SH                      X    01        1,625     500
ALLIED IRISH BKS P L C    SPON ADR    019228402        324     5,900SH         X                 01        5,900
ALLIED IRISH BKS P L C    SPON ADR    019228402        131     2,390SH                      X    01                2,390
ALLIED WASTE INDS INC     COM         019589308        266    19,782SH         X                 01       19,782
ALLSTATE CORP             COM         020002101     11,567   188,048SH         X                 01      187,929      65        54
ALLSTATE CORP             COM         020002101        679    11,033SH                      X    01          662  10,371
ALLTEL CORP               COM         020039103      8,511   125,989SH         X                 01      125,959                30
ALLTEL CORP               COM         020039103        147     2,173SH                      X    01                2,173
ALTERA CORP               COM         021441100        561    25,354SH         X                 01       25,188               166
ALTERA CORP               COM         021441100         17       785SH                      X    01                  785
ALTRIA GROUP INC          COM         02209S103     41,736   595,042SH         X                 01      583,634   7,243     4,165
ALTRIA GROUP INC          COM         02209S103     16,622   236,977SH                      X    01       11,810 212,567    12,600
ALUMINA LTD               SPON ADR    022205108        478    17,992SH                      X    01               17,992
AMBAC FINL GROUP INC      COM         023139108     15,360   176,170SH         X                 01      176,134      36
AMBAC FINL GROUP INC      COM         023139108         61       702SH                      X    01                  702
AMEREN CORP               COM         023608102      8,477   172,964SH         X                 01      171,249     325     1,390
AMEREN CORP               COM         023608102        304     6,193SH                      X    01          200   5,993
AMERICA MOVIL SAB DE CV   SPONADR LSH 02364W105      3,169    51,166SH         X                 01       48,083             3,083
AMERICA MOVIL SAB DE CV   SPONADR LSH 02364W105        416     6,725SH                      X    01           76   5,249     1,400
AMCORE FINL INC           COM         023912108        138     4,759SH         X                 01        4,759
AMCORE FINL INC           COM         023912108        443    15,297SH                      X    01       15,297
AMERICAN CAPITAL STRTGS   COM         024937104      1,361    32,001SH         X                 01       31,081     920
AMERICAN CAPITAL STRTGS   COM         024937104         91     2,140SH                      X    01        2,140
AMERICAN EAGLE OUTFTTRS   COM         02553E106      1,233    48,035SH         X                 01       48,035
AMERICAN EAGLE OUTFTTRS   COM         02553E106         20       797SH                      X    01                  797
AMERICAN ELEC PWR INC     COM         025537101      4,448    98,758SH         X                 01       97,558      65     1,135
AMERICAN ELEC PWR INC     COM         025537101        174     3,866SH                      X    01          582   2,389       895
AMERICAN EXPRESS CO       COM         025816109     10,914   178,384SH         X                 01      173,790   2,522     2,072
AMERICAN EXPRESS CO       COM         025816109      2,442    39,922SH                      X    01       24,825  14,997       100
AMERICAN INTL GROUP INC   COM         026874107     29,230   417,388SH         X                 01      398,399   8,751    10,238
AMERICAN INTL GROUP INC   COM         026874107      3,401    48,565SH                      X    01        8,807  39,612       146
AMERICAN STD COS INC      COM         029712106        812    13,768SH         X                 01       13,630      66        72
AMERICAN STD COS INC      COM         029712106         16       279SH                      X    01                  279
AMERICAN STS WTR CO       COM         029899101        494    13,900SH         X                 01       12,750     150     1,000
AMERICAN TOWER CORP       CL A        029912201      3,055    72,749SH         X                 01       72,749
AMERICAN TOWER CORP       CL A        029912201        126     3,000SH                      X    01                3,000
AMERICAN TECHNOLGY CORP   COM NEW     030145205         38    10,000SH                      X    01               10,000
AMERISAFE INC             COM         03071H100      3,201   163,078SH         X                 01      162,408               670
AMERON INTL INC           COM         030710107      3,112    34,502SH         X                 01       34,360               142
AMERISOURCEBERGEN CORP    COM         03073E105     14,562   294,361SH         X                 01      294,306                55
AMERISOURCEBERGEN CORP    COM         03073E105         34       680SH                      X    01                  680
AMERIPRISE FINL INC       COM         03076C106      4,829    75,969SH         X                 01       75,915                54
AMERIPRISE FINL INC       COM         03076C106        258     4,062SH                      X    01          345   3,717
AMETEK INC NEW            COM         031100100        222     5,588SH         X                 01        5,588
AMETEK INC NEW            COM         031100100         35       870SH                      X    01                  870
AMGEN INC                 COM         031162100     11,779   213,048SH         X                 01      206,835   3,879     2,334
AMGEN INC                 COM         031162100        955    17,267SH                      X    01          900  16,255       112
AMPHENOL CORP NEW         CL A        032095101      1,912    53,630SH         X                 01       53,630
AMPHENOL CORP NEW         CL A        032095101         47     1,306SH                      X    01                1,306
ANADARKO PETE CORP        COM         032511107      1,454    27,976SH         X                 01       26,484      60     1,432
ANADARKO PETE CORP        COM         032511107        432     8,305SH                      X    01                7,410       895
ANADIGICS INC             COM         032515108      2,404   174,324SH         X                 01      173,608               716
ANALOG DEVICES INC        COM         032654105      2,622    69,657SH         X                 01       68,657     750       250
ANALOG DEVICES INC        COM         032654105        238     6,328SH                      X    01                5,328     1,000
ANCHOR BANCORP WIS INC    COM         032839102        288    11,011SH         X                 01       11,011
ANCHOR BANCORP WIS INC    COM         032839102        599    22,880SH                      X    01               22,880
ANDREW CORP               COM         034425108      1,162    80,460SH         X                 01       80,460
ANDREW CORP               COM         034425108          1       100SH                      X    01                  100
ANGLOGOLD ASHANTI LTD     SPONS ADR   035128206          8       200SH         X                 01          200
ANGLOGOLD ASHANTI LTD     SPONS ADR   035128206        467    12,354SH                      X    01               12,354







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
ANHEUSER BUSCH COS INC    COM         035229103      6,617   126,853SH         X                 01      121,014   4,013     1,826
ANHEUSER BUSCH COS INC    COM         035229103      4,730    90,675SH                      X    01       28,332  62,343
ANSYS INC                 COM         03662Q105      4,220   159,230SH         X                 01      158,855               375
ANTHRACITE CAP INC        COM         037023108        185    15,850SH         X                 01       15,850
AON CORP                  COM         037389103        538    12,630SH         X                 01       12,630
AON CORP                  COM         037389103        151     3,540SH                      X    01                3,540
APACHE CORP               COM         037411105     15,410   188,874SH         X                 01      186,336     557     1,981
APACHE CORP               COM         037411105      1,217    14,910SH                      X    01        1,300  13,045       565
APARTMENT INVT&MGMT CO    CL A        03748R101      4,769    94,585SH         X                 01       93,960     150       475
APARTMENT INVT&MGMT CO    CL A        03748R101        101     2,004SH                      X    01                2,004
APOGEE ENTERPRISES INC    COM         037598109      4,840   173,982SH         X                 01      173,271               711
APOGEE ENTERPRISES INC    COM         037598109        127     4,548SH                      X    01                4,548
APOLLO GROUP INC          CL A        037604105        311     5,318SH         X                 01        5,318
APOLLO GROUP INC          CL A        037604105          9       153SH                      X    01                  153
APOLLO INVT CORP          COM         03761U106        202     9,365SH         X                 01        9,365
APOLLO INVT CORP          COM         03761U106         24     1,112SH                      X    01                1,112
APPLE INC                 COM         037833100     16,369   134,130SH         X                 01      131,501     190     2,439
APPLE INC                 COM         037833100        769     6,298SH                      X    01        1,372   4,436       490
APRIA HEALTHCARE GRP      COM         037933108        245     8,513SH         X                 01        8,513
APPLERA CORP              COM         038020103        920    30,139SH         X                 01       29,939     200
APPLERA CORP              COM         038020103          3       100SH                      X    01                  100
APPLIED MATLS INC         COM         038222105     13,892   699,137SH         X                 01      688,108   4,397     6,632
APPLIED MATLS INC         COM         038222105        751    37,819SH                      X    01        1,675  36,144
AQUILA INC                COM         03840P102        114    27,836SH         X                 01       15,156            12,680
ARCELOR MITTAL            NY REG CLA  03937E101        665    10,662SH         X                 01       10,662
ARCHER DANIELS MIDLAND    COM         039483102      4,488   135,635SH         X                 01      135,435     200
ARCHER DANIELS MIDLAND    COM         039483102        244     7,379SH                      X    01          100   6,143     1,136
ARCHSTONE SMITH TR        COM         039583109      5,163    87,345SH         X                 01       86,900      75       370
ARCHSTONE SMITH TR        COM         039583109         46       780SH                      X    01                  780
ARENA RESOURCES INC       COM         040049108      4,305    74,077SH         X                 01       73,773               304
ARROW ELECTRS INC         COM         042735100      8,729   227,131SH         X                 01      226,106             1,025
ARUBA NETWORKS INC        COM         043176106      2,957   147,127SH         X                 01      146,523               604
ARVINMERITOR INC          COM         043353101        257    11,575SH         X                 01       11,575
ASHLAND INC NEW           COM         044209104        260     4,071SH         X                 01        4,046                25
ASHLAND INC NEW           COM         044209104         63       985SH                      X    01                  985
ASSOCIATED BANC CORP      COM         045487105      7,233   221,203SH         X                 01      197,054   4,657    19,492
ASSOCIATED BANC CORP      COM         045487105      2,068    63,243SH                      X    01        4,878  57,957       408
ASTRAZENECA PLC           SPONS ADR   046353108         98     1,831SH         X                 01        1,831
ASTRAZENECA PLC           SPONS ADR   046353108        108     2,020SH                      X    01           50   1,970
AUTODESK INC              COM         052769106      4,228    89,815SH         X                 01       89,815
AUTODESK INC              COM         052769106         28       592SH                      X    01                  592
AUTOLIV INC               COM         052800109     10,278   180,730SH         X                 01      180,730
AUTOLIV INC               COM         052800109        124     2,175SH                      X    01          613   1,256       306
AUTOMATIC DATA PROCESSG   COM         053015103      1,591    32,834SH         X                 01       32,734      55        45
AUTOMATIC DATA PROCESSG   COM         053015103      1,325    27,327SH                      X    01          600  26,727
AUTONATION INC            COM         05329W102        279    12,419SH         X                 01       12,281     138
AUTONATION INC            COM         05329W102          9       386SH                      X    01                  386
AUTOZONE INC              COM         053332102        930     6,809SH         X                 01        6,760      22        27
AUTOZONE INC              COM         053332102         36       267SH                      X    01                  267
AVALONBAY CMNTYS INC      COM         053484101        662     5,570SH         X                 01        5,570
AVAYA INC                 COM         053499109        625    37,120SH         X                 01       36,931               189
AVAYA INC                 COM         053499109         14       814SH                      X    01           21     793
AVERY DENNISON CORP       COM         053611109      2,635    39,630SH         X                 01       39,410      40       180
AVERY DENNISON CORP       COM         053611109        308     4,640SH                      X    01                4,640
AVNET INC                 COM         053807103      1,074    27,095SH         X                 01       27,095
AVNET INC                 COM         053807103         22       567SH                      X    01                  567
AVON PRODS INC            COM         054303102        624    16,972SH         X                 01       16,963       9
AVON PRODS INC            COM         054303102          2        41SH                      X    01                   41
BB&T CORP                 COM         054937107      8,661   212,905SH         X                 01      210,868     301     1,736
BB&T CORP                 COM         054937107        117     2,885SH                      X    01                2,885
B & G FOODS INC NEW       UNIT        05508R205         40     2,000SH         X                 01        2,000
B & G FOODS INC NEW       UNIT        05508R205        304    15,000SH                      X    01               15,000
BJS WHOLESALE CLUB INC    COM         05548J106     11,167   309,946SH         X                 01      309,946
BJ SVCS CO                COM         055482103      2,140    75,238SH         X                 01       75,163                75
BJ SVCS CO                COM         055482103         11       393SH                      X    01                  393
BP PLC                    SPONS ADR   055622104     14,363   199,095SH         X                 01      186,652   7,493     4,950
BP PLC                    SPONS ADR   055622104      7,564   104,847SH                      X    01       17,625  80,589     6,633
BPZ ENERGY INC            COM         055639108      3,768   675,354SH         X                 01      672,561             2,793
BMC SOFTWARE INC          COM         055921100      1,418    46,783SH         X                 01       44,234     200     2,349
BMC SOFTWARE INC          COM         055921100         74     2,427SH                      X    01                1,102     1,325
BADGER METER INC          COM         056525108     27,135   960,193SH         X                 01       90,452           869,741
BADGER METER INC          COM         056525108        531    18,800SH                      X    01        2,200  16,600
BAKER HUGHES INC          COM         057224107      2,922    34,734SH         X                 01       34,734
BAKER HUGHES INC          COM         057224107         34       400SH                      X    01                  400
BALDOR ELEC CO            COM         057741100        299     6,076SH         X                 01        6,076
BALL CORP                 COM         058498106      2,283    42,935SH         X                 01       42,893                42
BALL CORP                 COM         058498106         53       992SH                      X    01          870     122
BANK OF AMERICA CORP      COM         060505104     43,358   886,850SH         X                 01      871,014   7,628     8,208
BANK OF AMERICA CORP      COM         060505104      5,940   121,507SH                      X    01       18,916 101,326     1,265
BANK MUTUAL CORP NEW      COM         063750103        300    26,021SH         X                 01       26,021
BANK MUTUAL CORP NEW      COM         063750103        201    17,390SH                      X    01               17,390
BANK NEW YORK INC COM                 064057102      3,524    85,048SH         X                 01       79,572   1,067     4,409
BANK NEW YORK INC COM                 064057102        457    11,036SH                      X    01          200   6,336     4,500
BANKUNITED FINL CORP      CL A        06652B103        206    10,262SH         X                 01       10,262
BANKUNITED FINL CORP      CL A        06652B103         13       670SH                      X    01                  670
BARCLAYS BK PLC           DJAIGCMTY36 06738C778        516    10,158SH         X                 01       10,158
BARCLAYS PLC              ADR         06738E204        342     6,138SH         X                 01        6,138
BARCLAYS PLC              ADR         06738E204          8       150SH                      X    01                  150







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
BARD C R INC              COM         067383109      2,872    34,760SH         X                 01       34,679      54        27
BARD C R INC              COM         067383109      1,813    21,940SH                      X    01       16,400   5,540
BARRICK GOLD CORP         COM         067901108         61     2,085SH         X                 01        2,085
BARRICK GOLD CORP         COM         067901108      1,243    42,750SH                      X    01               42,750
BAXTER INTL INC           COM         071813109     16,210   287,709SH         X                 01      287,660                49
BAXTER INTL INC           COM         071813109      1,320    23,434SH                      X    01       13,222  10,212
BE AEROSPACE INC          COM         073302101      5,220   126,392SH         X                 01      125,884               508
BE AEROSPACE INC          COM         073302101         23       555SH                      X    01          234     321
BEAR STEARNS COS INC      COM         073902108      8,264    59,030SH         X                 01       58,850               180
BEAR STEARNS COS INC      COM         073902108        159     1,138SH                      X    01                  918       220
BECTON DICKINSON & CO     COM         075887109      1,719    23,068SH         X                 01       21,643      40     1,385
BECTON DICKINSON & CO     COM         075887109         14       193SH                      X    01                  193
BED BATH & BEYOND INC     COM         075896100        242     6,713SH         X                 01        6,673      40
BED BATH & BEYOND INC     COM         075896100          4        99SH                      X    01                   99
BELDEN INC                COM         077454106        632    11,417SH         X                 01       11,417
BEMIS INC                 COM         081437105        567    17,098SH         X                 01       15,248             1,850
BEMIS INC                 COM         081437105          8       245SH                      X    01                  245
BERKLEY W R CORP          COM         084423102      2,419    74,341SH         X                 01       74,341
BERKLEY W R CORP          COM         084423102         32       980SH                      X    01                  980
BERKSHIRE HATHAWAY INC    CL A        084670108        328         3SH         X                 01            3
BERKSHIRE HATHAWAY INC    CL A        084670108      1,861        17SH                      X    01                   15         2
BERKSHIRE HATHAWAY INC    CL B        084670207      4,002     1,110SH         X                 01        1,020      15        75
BERKSHIRE HATHAWAY INC    CL B        084670207      1,597       443SH                      X    01            3     400        40
BEST BUY INC              COM         086516101      6,551   140,359SH         X                 01      136,045     935     3,379
BEST BUY INC              COM         086516101      1,453    31,135SH                      X    01       14,012  17,123
BHP BILLITON LTD          SPON ADR    088606108        168     2,806SH         X                 01        2,143               663
BHP BILLITON LTD          SPON ADR    088606108        735    12,300SH                      X    01          900  11,400
BIG LOTS INC              COM         089302103        897    30,500SH         X                 01       30,500
BIG LOTS INC              COM         089302103          5       155SH                      X    01                  155
BIO-REFERENCE LABS INC    COM         09057G602      1,525    55,745SH         X                 01       55,516               229
BIO RAD LABS INC          CL A        090572207        304     4,025SH         X                 01        3,725               300
BIOMARIN PHARMACEUTICAL   COM         09061G101      4,090   227,998SH         X                 01      227,468               530
BIOMET INC                COM         090613100        216     4,731SH         X                 01        4,621     110
BIOMET INC                COM         090613100         94     2,046SH                      X    01                2,046
BIOGEN IDEC INC           COM         09062X103      2,487    46,492SH         X                 01       46,452                40
BIOGEN IDEC INC           COM         09062X103         49       920SH                      X    01                  920
BIOVAIL CORP              COM         09067J109      9,669   380,374SH         X                 01      380,374
BLACK & DECKER CORP       COM         091797100        799     9,052SH         X                 01        8,997      23        32
BLACK & DECKER CORP       COM         091797100          6        73SH                      X    01                   73
BLACKROCK INC             COM         09247X101        331     2,114SH         X                 01        2,114
BLACKROCK INC             COM         09247X101          7        45SH                      X    01           45
BLOCK H & R INC           COM         093671105      6,734   288,131SH         X                 01      287,989     114        28
BLOCK H & R INC           COM         093671105        124     5,315SH                      X    01        1,600   3,715
BLUE COAT SYSTEMS INC     COM NEW     09534T508      3,122    63,055SH         X                 01       62,796               259
BOEING CO                 COM         097023105     26,322   273,731SH         X                 01      265,318   2,839     5,574
BOEING CO                 COM         097023105      2,348    24,416SH                      X    01          450  23,682       284
BORG WARNER INC           COM         099724106        987    11,467SH         X                 01       11,467
BOSTON PROPERTIES INC     COM         101121101      1,915    18,746SH         X                 01       18,716                30
BOSTON PROPERTIES INC     COM         101121101         26       254SH                      X    01                  254
BOSTON SCIENTIFIC CORP    COM         101137107        259    16,874SH         X                 01       16,874
BOSTON SCIENTIFIC CORP    COM         101137107         50     3,239SH                      X    01          621   2,618
BRADY CORP                CL A        104674106        112     3,012SH         X                 01        2,412     600
BRADY CORP                CL A        104674106      1,833    49,341SH                      X    01          111  48,830       400
BRIGGS & STRATTON CORP    COM         109043109      1,731    54,835SH         X                 01       54,835
BRIGGS & STRATTON CORP    COM         109043109        465    14,720SH                      X    01        2,300   8,420     4,000
BRINKER INTL INC          COM         109641100      1,690    57,737SH         X                 01       57,737
BRINKS CO                 COM         109696104        279     4,511SH         X                 01        4,511
BRISTOL MYERS SQUIBB CO   COM         110122108     20,730   656,844SH         X                 01      648,061   4,289     4,494
BRISTOL MYERS SQUIBB CO   COM         110122108      2,638    83,601SH                      X    01       15,393  62,176     6,032
BRITISH SKY BROADCASTNG   SPON ADR    111013108        320     6,205SH         X                 01        6,205
BRITISH SKY BROADCASTNG   SPON ADR    111013108          5       100SH                      X    01                  100
BROADCOM CORP             CL A        111320107      2,072    70,841SH         X                 01       70,721               120
BROADCOM CORP             CL A        111320107          8       278SH                      X    01                  278
BROOKFIELD ASSET MGMT     CL A VT SH  112585104        181     4,545SH         X                 01        4,545
BROOKFIELD ASSET MGMT     CL A VT SH  112585104        131     3,291SH                      X    01                3,291
BROWN FORMAN CORP         CL B        115637209        280     3,831SH         X                 01        3,800                31
BROWN FORMAN CORP         CL B        115637209          4        61SH                      X    01                   61
BRUNSWICK CORP            COM         117043109      1,184    36,294SH         X                 01       36,203                91
BRUNSWICK CORP            COM         117043109         14       419SH                      X    01                  419
BURLINGTN NRTHN SNTA FE   COM         12189T104      3,507    41,195SH         X                 01       40,890      86       219
BURLINGTN NRTHN SNTA FE   COM         12189T104        874    10,271SH                      X    01        1,062   4,888     4,321
CBS CORP NEW              CL B        124857202      7,398   222,022SH         X                 01      221,461      80       481
CBS CORP NEW              CL B        124857202        131     3,931SH                      X    01          258   3,298       375
CB RICHARD ELLIS GROUP    CL A        12497T101      2,308    63,230SH         X                 01       63,230
CB RICHARD ELLIS GROUP    CL A        12497T101        223     6,115SH                      X    01                6,115
C H ROBINSON WORLDWIDE    COM NEW     12541W209        815    15,527SH         X                 01       15,527
C H ROBINSON WORLDWIDE    COM NEW     12541W209         47       900SH                      X    01          300     600
CIGNA CORP                COM         125509109      1,421    27,205SH         X                 01       27,205
CIGNA CORP                COM         125509109        280     5,359SH                      X    01        2,250   3,109
CIT GROUP INC             COM         125581108     12,041   219,612SH         X                 01      218,952               660
CIT GROUP INC             COM         125581108        103     1,880SH                      X    01          660     485       735
CMS ENERGY CORP           COM         125896100      9,530   554,081SH         X                 01      554,081
CMS ENERGY CORP           COM         125896100          1        45SH                      X    01                   45
CSX CORP                  COM         126408103        900    19,955SH         X                 01       19,955
CSX CORP                  COM         126408103        267     5,926SH                      X    01                5,926
CTC MEDIA INC             COM         12642X106      6,091   224,423SH         X                 01      223,896               527
CVS CAREMARK CORP         COM         126650100      7,239   198,603SH         X                 01      198,480               123
CVS CAREMARK CORP         COM         126650100        346     9,493SH                      X    01        2,754   6,739







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
CA INC                    COM         12673P105        263    10,167SH         X                 01       10,167
CA INC                    COM         12673P105        178     6,873SH                      X    01                6,873
CABELAS INC               COM         126804301      4,358   196,909SH         X                 01      196,418               491
CADENCE DESIGN SYSTEM     COM         127387108      8,586   390,991SH         X                 01      390,991
CALAMOS STRATEGIC TOTAL   COM SH BEN I128125101        153    10,116SH         X                 01       10,116
CALGON CARBON CORP        COM         129603106        513    44,200SH         X                 01       44,200
CALGON CARBON CORP        COM         129603106          2       200SH                      X    01                  200
CAMECO CORP               COM         13321L108      3,966    78,169SH         X                 01       78,169
CAMECO CORP               COM         13321L108        604    11,900SH                      X    01               11,900
CAMPBELL SOUP CO          COM         134429109      1,861    47,955SH         X                 01       47,653     219        83
CAMPBELL SOUP CO          COM         134429109        151     3,902SH                      X    01                2,302     1,600
CANON INC                 ADR         138006309        779    13,282SH         X                 01       10,891             2,391
CANON INC                 ADR         138006309          5        90SH                      X    01                   90
CAPITAL ONE FINL CORP     COM         14040H105        454     5,786SH         X                 01        5,669               117
CAPITAL ONE FINL CORP     COM         14040H105        772     9,840SH                      X    01                9,840
CAPSTONE TURBINE CORP     COM         14067D102         16    15,000SH                      X    01       15,000
CARDINAL HEALTH INC       COM         14149Y108      7,763   109,889SH         X                 01      108,067      39     1,783
CARDINAL HEALTH INC       COM         14149Y108        827    11,702SH                      X    01           21  11,681
CARNIVAL CORP             PAIRED CTF  143658300        467     9,568SH         X                 01        9,490      58        20
CARNIVAL CORP             PAIRED CTF  143658300        379     7,775SH                      X    01           50   7,725
CATERPILLAR INC DEL       COM         149123101      6,859    87,596SH         X                 01       85,068     662     1,866
CATERPILLAR INC DEL       COM         149123101      3,790    48,408SH                      X    01       32,935  14,353     1,120
CBEYOND INC               COM         149847105      2,779    72,152SH         X                 01       71,856               296
CELGENE CORP              COM         151020104      4,360    76,053SH         X                 01       76,053
CELGENE CORP              COM         151020104        154     2,694SH                      X    01                2,694
CEMEX SAB DE CV           SPON ADR    151290889        622    16,843SH         X                 01       14,319             2,524
CEMEX SAB DE CV           SPON ADR    151290889         78     2,113SH                      X    01                  738     1,375
CENTERPOINT ENERGY INC    COM         15189T107      4,515   259,505SH         X                 01      252,220   2,867     4,418
CENTERPOINT ENERGY INC    COM         15189T107         41     2,369SH                      X    01          430   1,939
CENTERPLATE INC           UNIT        15200E204         35     2,000SH         X                 01        2,000
CENTERPLATE INC           UNIT        15200E204        326    18,500SH                      X    01               18,500
CENTRAL EUROPEAN DIST     COM         153435102      5,497   158,777SH         X                 01      158,130               647
CENTRAL FD CDA LTD        CL A        153501101         91    10,000SH         X                 01       10,000
CENTRAL FD CDA LTD        CL A        153501101          2       200SH                 X         01                  200
CEPHEID                   COM         15670R107      3,198   219,040SH         X                 01      218,143               897
CENVEO INC                COM         15670S105        260    11,200SH         X                 01       11,200
CENTURYTEL INC            COM         156700106        185     3,776SH         X                 01        3,776
CENTURYTEL INC            COM         156700106         60     1,215SH                      X    01                1,215
CEPHALON INC              COM         156708109      3,162    39,336SH         X                 01       39,336
CERNER CORP               COM         156782104      2,038    36,732SH         X                 01       36,732
CHARLES RIV LABS INTL     COM         159864107         69     1,336SH         X                 01        1,336
CHARLES RIV LABS INTL     COM         159864107        239     4,630SH                      X    01                4,630
CHECKPOINT SYS INC        COM         162825103        401    15,878SH         X                 01       15,878
CHESAPEAKE ENERGY CORP    COM         165167107      3,480   100,571SH         X                 01      100,571
CHESAPEAKE ENERGY CORP    COM         165167107        148     4,290SH                      X    01                4,290
CHEVRON CORP NEW          COM         166764100     74,467   883,984SH         X                 01      867,680   9,500     6,804
CHEVRON CORP NEW          COM         166764100      7,370    87,487SH                      X    01       17,286  64,371     5,830
CHICAGO BRDGE & IRON CO   N Y REG SH  167250109      1,893    50,160SH         X                 01       50,160
CHICAGO MERCANTILE HLDG   CL A        167760107      3,594     6,725SH         X                 01        6,725
CHICAGO MERCANTILE HLDG   CL A        167760107        183       342SH                      X    01            5     337
CHICOS FAS INC            COM         168615102      7,072   290,559SH         X                 01      290,559
CHICOS FAS INC            COM         168615102          7       300SH                      X    01                  200       100
CHUBB CORP                COM         171232101      9,869   182,287SH         X                 01      181,453     800        34
CHUBB CORP                COM         171232101        357     6,601SH                      X    01                6,601
CHUNGHWA TELECOM CO LTD   SPON ADR    17133Q205        815    43,208SH                      X    01               43,208
CINCINNATI FINL CORP      COM         172062101      5,877   135,408SH         X                 01      134,519     204       685
CINCINNATI FINL CORP      COM         172062101         82     1,893SH                      X    01                1,893
CIRCOR INTL INC           COM         17273K109        222     5,500SH         X                 01        5,500
CISCO SYS INC             COM         17275R102     37,667 1,352,478SH         X                 01    1,326,484  12,446    13,548
CISCO SYS INC             COM         17275R102      4,980   178,824SH                      X    01       42,440 135,406       978
CITADEL BROADCSTNG CORP   COM         17285T106        221    34,208SH         X                 01       34,162      27        19
CITADEL BROADCSTNG CORP   COM         17285T106         25     3,866SH                      X    01          266   3,600
CINTAS CORP               COM         172908105        952    24,151SH         X                 01       19,701     750     3,700
CINTAS CORP               COM         172908105         18       450SH                      X    01                  450
CITIGROUP INC             COM         172967101     61,742 1,203,787SH         X                 01    1,173,191  10,946    19,650
CITIGROUP INC             COM         172967101      6,658   129,809SH                      X    01       14,622 103,417    11,770
CITIZENS COMMUNICATIONS COCOM         17453B101     16,409 1,074,581SH         X                 01    1,068,786   1,090     4,705
CITIZENS COMMUNICATIONS COCOM         17453B101        183    11,985SH                      X    01               11,985
CITRIX SYS INC            COM         177376100        593    17,617SH         X                 01       17,480     137
CITRIX SYS INC            COM         177376100         17       501SH                      X    01                  501
CITY NATL CORP            COM         178566105      5,647    74,210SH         X                 01       74,210
CLARCOR INC               COM         179895107         52     1,383SH         X                 01        1,383
CLARCOR INC               COM         179895107        524    14,000SH                      X    01               14,000
CLEAR CHANNEL COMM        COM         184502102      8,320   219,993SH         X                 01      219,993
CLEAR CHANNEL COMM        COM         184502102         92     2,426SH                      X    01          415   2,011
CLOROX CO DEL             COM         189054109      1,021    16,445SH         X                 01       16,428                17
CLOROX CO DEL             COM         189054109         65     1,053SH                      X    01                1,053
COACH INC                 COM         189754104      8,406   177,388SH         X                 01      176,004             1,384
COACH INC                 COM         189754104      1,201    25,346SH                      X    01       12,500  12,846
COCA COLA CO              COM         191216100     28,876   552,008SH         X                 01      514,987  24,716    12,305
COCA COLA CO              COM         191216100      5,048    96,493SH                      X    01       21,275  68,258     6,960
COCA COLA ENTERPRISES     COM         191219104      9,390   391,255SH         X                 01      391,005     250
COCA COLA ENTERPRISES     COM         191219104         15       631SH                      X    01          500     131
COEUR D ALENE MINES CRP   COM         192108108         39    11,000SH         X                 01       11,000
COGENT COMM GROUP INC     COM NEW     19239V302        209     7,000SH         X                 01        7,000
COGNIZANT TECHNOLGY SOL   CL A        192446102      2,686    35,812SH         X                 01       34,874               938
COGNIZANT TECHNOLGY SOL   CL A        192446102        173     2,301SH                      X    01        1,125     661       515
COLGATE PALMOLIVE CO      COM         194162103     18,564   286,260SH         X                 01      279,196   5,172     1,892







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
COLGATE PALMOLIVE CO      COM         194162103      2,688    41,444SH                      X    01        2,485  36,459     2,500
COMCAST CORP NEW          CL A        20030N101     19,382   689,266SH         X                 01      681,005   2,478     5,783
COMCAST CORP NEW          CL A        20030N101        986    35,078SH                      X    01        6,231  28,097       750
COMCAST CORP NEW          CL A SPL    20030N200        172     6,164SH         X                 01        6,164
COMCAST CORP NEW          CL A SPL    20030N200        628    22,445SH                      X    01               19,895     2,550
COMERICA INC              COM         200340107      6,245   105,003SH         X                 01      104,083     170       750
COMERICA INC              COM         200340107        302     5,080SH                      X    01        2,000   3,080
COMMERCE BANCORP INC NJ   COM         200519106        280     7,565SH         X                 01        7,565
COMMERCE BANCSHARES INC   COM         200525103      3,461    76,406SH         X                 01       76,244               162
COMMERCE BANCSHARES INC   COM         200525103      1,168    25,789SH                      X    01               25,789
COMMERCE GROUP INC MASS   COM         200641108         39     1,124SH         X                 01        1,124
COMMERCE GROUP INC MASS   COM         200641108        195     5,610SH                      X    01                5,610
COMPASS BANCSHARES INC    COM         20449H109        820    11,885SH         X                 01       11,825                60
COMPASS BANCSHARES INC    COM         20449H109          6        86SH                      X    01                   86
COMPUTER SCIENCES CORP    COM         205363104      1,759    29,740SH         X                 01       29,010               730
COMPUTER SCIENCES CORP    COM         205363104         83     1,398SH                      X    01                  638       760
COMPUWARE CORP            COM         205638109        476    40,128SH         X                 01       40,128
COMPUWARE CORP            COM         205638109          1        85SH                      X    01                   85
CONAGRA FOODS INC         COM         205887102     11,284   420,102SH         X                 01      417,337      95     2,670
CONAGRA FOODS INC         COM         205887102         58     2,166SH                      X    01          500   1,666
CONOCOPHILLIPS            COM         20825C104     28,796   366,833SH         X                 01      363,163     314     3,356
CONOCOPHILLIPS            COM         20825C104      2,953    37,616SH                      X    01       17,452  18,922     1,242
CONSECO INC               COM NEW     208464883        288    13,779SH         X                 01       13,779
CONSOL ENERGY INC         COM         20854P109        205     4,450SH         X                 01        4,450
CONSOLIDATED COMM HLDGS   COM         209034107        219     9,700SH                      X    01                9,700
CONSOLIDATED EDISON INC   COM         209115104      9,303   206,179SH         X                 01      202,491     990     2,698
CONSOLIDATED EDISON INC   COM         209115104        277     6,129SH                      X    01                6,129
CONSOLIDTD GRAPHICS INC   COM         209341106        319     4,607SH         X                 01        4,607
CONSTELLATION BRNDS INC   CL A        21036P108        230     9,471SH         X                 01        7,481             1,990
CONSTELLATION BRNDS INC   CL A        21036P108         77     3,175SH                      X    01                1,370     1,805
CONSTELLATION ENRGY GRP   COM         210371100      4,720    54,148SH         X                 01       53,702               446
CONSTELLATION ENRGY GRP   COM         210371100         47       539SH                      X    01                  539
CONTANGO OIL & GAS CO     COM NEW     21075N204      5,406   148,955SH         X                 01      148,345               610
CONTINENTAL AIRLS INC     CL B        210795308      3,207    94,678SH         X                 01       94,678
CONVERGYS CORP            COM         212485106      1,181    48,706SH         X                 01       48,706
CONVERGYS CORP            COM         212485106         17       719SH                      X    01                  719
CORN PRODS INTL INC       COM         219023108        370     8,135SH         X                 01        8,135
CORNING INC               COM         219350105      2,089    81,779SH         X                 01       80,318     734       727
CORNING INC               COM         219350105         97     3,815SH                      X    01                3,815
COSTCO WHSL CORP NEW      COM         22160K105      1,068    18,249SH         X                 01       17,772      42       435
COSTCO WHSL CORP NEW      COM         22160K105        396     6,775SH                      X    01                6,775
COUNTRYWIDE FIN CORP      COM         222372104      1,552    42,687SH         X                 01       42,563      57        67
COUNTRYWIDE FIN CORP      COM         222372104        265     7,279SH                      X    01                7,279
COVANCE INC               COM         222816100      2,203    32,136SH         X                 01       32,136
COVENTRY HLTH CARE INC    COM         222862104        447     7,746SH         X                 01        7,746
COVENTRY HLTH CARE INC    COM         222862104          3        45SH                      X    01                   45
COX RADIO INC             CL A        224051102        159    11,194SH         X                 01       11,194
CREDIT SUISSE GROUP       SPON ADR    225401108        271     3,822SH         X                 01        3,822
CREDIT SUISSE GROUP       SPON ADR    225401108          6        80SH                      X    01                   80
CROWN CASTLE INTL CORP    COM         228227104      2,176    59,998SH         X                 01       59,998
CROWN CASTLE INTL CORP    COM         228227104         73     2,000SH                      X    01                2,000
CUMMINS INC               COM         231021106      2,671    26,392SH         X                 01       26,346                46
CUMMINS INC               COM         231021106         25       243SH                      X    01                  243
CYNOSURE INC              CL A        232577205      2,866    78,678SH         X                 01       78,355               323
CYTEC INDS INC            COM         232820100        272     4,261SH         X                 01        4,261
CYTEC INDS INC            COM         232820100         20       311SH                      X    01          129     182
DNP SELECT INCOME FD      COM         23325P104        772    70,974SH         X                 01       70,974
DNP SELECT INCOME FD      COM         23325P104         32     3,000SH                 X         01                3,000
DRS TECHNOLOGIES INC      COM         23330X100        518     9,038SH         X                 01        9,038
DST SYS INC DEL           COM         233326107      2,347    29,629SH         X                 01       29,629
DTE ENERGY CO             COM         233331107      6,040   125,258SH         X                 01      124,058     230       970
DTE ENERGY CO             COM         233331107        146     3,018SH                      X    01                2,768       250
DANAHER CORP DEL          COM         235851102      2,777    36,788SH         X                 01       36,669      34        85
DANAHER CORP DEL          COM         235851102        169     2,241SH                      X    01        2,050     191
DARDEN RESTAURANTS INC    COM         237194105        403     9,157SH         X                 01        9,157
DARDEN RESTAURANTS INC    COM         237194105          9       200SH                      X    01                  200
DAVITA INC                COM         23918K108      5,096    94,576SH         X                 01       94,576
DAVITA INC                COM         23918K108         63     1,165SH                      X    01                1,165
DEAN FOODS CO NEW         COM         242370104        221     6,930SH         X                 01        6,930
DEERE & CO                COM         244199105     12,032    99,649SH         X                 01       98,448     366       835
DEERE & CO                COM         244199105        957     7,927SH                      X    01        2,250   3,705     1,972
DEL MONTE FOODS CO        COM         24522P103      7,787   640,360SH         X                 01      640,360
DEL MONTE FOODS CO        COM         24522P103         34     2,815SH                      X    01                1,442     1,373
DELL INC                  COM         24702R101     12,560   439,926SH         X                 01      429,845   4,715     5,366
DELL INC                  COM         24702R101        857    30,027SH                      X    01          570  28,897       560
DENBURY RES INC           COM NEW     247916208      3,139    83,696SH         X                 01       83,696
DENNYS CORP               COM         24869P104        200    45,000SH         X                 01       45,000
DENTSPLY INTL INC NEW     COM         249030107      9,348   244,318SH         X                 01      244,318
DENTSPLY INTL INC NEW     COM         249030107         77     2,021SH                      X    01        1,600     421
DEUTSCHE TELEKOM AG       SPON ADR    251566105        233    12,650SH         X                 01       12,650
DEUTSCHE TELEKOM AG       SPON ADR    251566105         12       675SH                      X    01                  675
DEVON ENERGY CORP NEW     COM         25179M103      4,801    61,317SH         X                 01       61,279                38
DEVON ENERGY CORP NEW     COM         25179M103        254     3,247SH                      X    01                3,247
DEVRY INC DEL             COM         251893103      5,517   162,177SH         X                 01      161,819               358
DIAGEO P L C              SPON ADR    25243Q205        846    10,157SH         X                 01        8,857             1,300
DIAGEO P L C              SPON ADR    25243Q205        157     1,885SH                      X    01                1,885
DIAMOND OFFSHORE DRILNG   COM         25271C102      1,330    13,094SH         X                 01       13,094
DIAMONDS TR               UNIT SER 1  252787106      2,481    18,487SH         X                 01       18,487







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
DIAMONDS TR               UNIT SER 1  252787106      1,783    13,286SH                      X    01        8,552   4,734
DICKS SPORTNG GOODS INC   COM         253393102      1,681    28,903SH         X                 01       28,903
DICKS SPORTNG GOODS INC   COM         253393102         20       352SH                      X    01                  352
DIGITAL RIV INC           COM         25388B104      2,425    53,599SH         X                 01       53,475               124
DIGITAL RIV INC           COM         25388B104         17       378SH                      X    01          150     228
DILLARDS INC              CL A        254067101        541    15,063SH         X                 01       15,063
DIRECTV GROUP INC         COM         25459L106      2,238    96,836SH         X                 01       93,563             3,273
DIRECTV GROUP INC         COM         25459L106        181     7,832SH                      X    01                6,102     1,730
DISNEY WALT CO            COM         254687106     20,797   609,158SH         X                 01      583,385  16,255     9,518
DISNEY WALT CO            COM         254687106      1,864    54,612SH                      X    01        4,350  50,112       150
DOLLAR GEN CORP COM                   256669102        182     8,306SH         X                 01        8,306
DOLLAR GEN CORP COM                   256669102         19       853SH                      X    01                  853
DOMINION RES INC VA NEW   COM         25746U109      2,467    28,582SH         X                 01       27,811      26       745
DOMINION RES INC VA NEW   COM         25746U109        107     1,240SH                      X    01          750     490
DONNELLEY R R & SONS CO   COM         257867101     13,525   310,852SH         X                 01      309,320     765       767
DONNELLEY R R & SONS CO   COM         257867101         86     1,977SH                      X    01                1,977
DOUBLE-TAKE SFTWARE INC   COM         258598101      2,677   163,156SH         X                 01      162,488               668
DOVER CORP                COM         260003108        226     4,422SH         X                 01        4,422
DOVER CORP                COM         260003108        324     6,325SH                      X    01        1,060   5,265
DOW CHEM CO               COM         260543103     14,863   336,118SH         X                 01      330,185   3,000     2,933
DOW CHEM CO               COM         260543103      1,401    31,677SH                      X    01        9,262  19,070     3,345
DOW JONES & CO INC        COM         260561105      2,070    36,024SH         X                 01       35,644      70       310
DOW JONES & CO INC        COM         260561105        100     1,745SH                      X    01                1,745
DU PONT E I DE NEMOURS    COM         263534109     10,062   197,924SH         X                 01      194,447   1,356     2,121
DU PONT E I DE NEMOURS    COM         263534109      1,232    24,230SH                      X    01        3,905  19,605       720
DUKE ENERGY CORP NEW      COM         26441C105      6,805   371,861SH         X                 01      370,707     188       966
DUKE ENERGY CORP NEW      COM         26441C105        180     9,832SH                      X    01        1,604   8,228
DUKE REALTY CORP          COM NEW     264411505        401    11,240SH         X                 01       10,600               640
DUKE REALTY CORP          COM NEW     264411505         77     2,151SH                      X    01                1,306       845
DUN & BRADSTREET CORP     COM         26483E100      2,658    25,812SH         X                 01       25,712               100
DYNEGY INC DEL            CL A        26817G102        167    17,651SH         X                 01       17,651
DYNEGY INC DEL            CL A        26817G102          4       431SH                      X    01                  431
EGL INC                   COM         268484102        299     6,428SH         X                 01        6,428
E M C CORP MASS           COM         268648102      4,732   261,446SH         X                 01      258,804   1,433     1,209
E M C CORP MASS           COM         268648102         56     3,094SH                      X    01          900   2,194
ENSCO INTL INC            COM         26874Q100      1,671    27,397SH         X                 01       27,067     330
ENSCO INTL INC            COM         26874Q100        226     3,711SH                      X    01                3,711
ENI S P A                 SPON ADR    26874R108         26       365SH         X                 01          365
ENI S P A                 SPON ADR    26874R108        576     7,956SH                      X    01                7,956
EOG RES INC               COM         26875P101        835    11,430SH         X                 01       11,330      60        40
EOG RES INC               COM         26875P101        167     2,289SH                      X    01                2,289
E TRADE FINANCIAL CORP    COM         269246104        723    32,747SH         X                 01       28,012             4,735
E TRADE FINANCIAL CORP    COM         269246104        107     4,831SH                      X    01                1,811     3,020
EASTMAN CHEM CO           COM         277432100      1,685    26,189SH         X                 01       25,944      50       195
EASTMAN CHEM CO           COM         277432100         54       834SH                      X    01                  682       152
EASTMAN KODAK CO          COM         277461109      1,093    39,292SH         X                 01       39,292
EASTMAN KODAK CO          COM         277461109         94     3,394SH                      X    01          100   2,685       609
EATON CORP                COM         278058102     11,823   127,131SH         X                 01      126,629      22       480
EATON CORP                COM         278058102        439     4,716SH                      X    01                3,750       966
EATON VANCE LTD DRTN      COM         27828H105        268    15,000SH         X                 01       15,000
EATON VANCE LTD DRTN      COM         27828H105          9       520SH                 X         01                  520
EBAY INC                  COM         278642103      1,234    38,344SH         X                 01       37,735     514        95
EBAY INC                  COM         278642103         90     2,797SH                      X    01          550   2,247
ECOLAB INC                COM         278865100      1,187    27,787SH         X                 01       27,073     519       195
ECOLAB INC                COM         278865100        461    10,799SH                      X    01               10,799
EDISON INTL               COM         281020107     14,348   255,669SH         X                 01      255,428     134       107
EDISON INTL               COM         281020107         74     1,311SH                      X    01                1,311
EDWARDS LIFESCIENCES      COM         28176E108        940    19,049SH         X                 01       19,049
EDWARDS LIFESCIENCES      COM         28176E108         18       360SH                      X    01                  360
EDWARDS AG INC            COM         281760108      3,694    43,696SH         X                 01       43,596     100
EINSTEIN NOAH REST GRP    COM         28257U104      1,376    81,439SH         X                 01       81,104               335
ELECTRONIC ARTS INC       COM         285512109      7,189   151,919SH         X                 01      148,890   1,154     1,875
ELECTRONIC ARTS INC       COM         285512109        549    11,596SH                      X    01          400  10,989       207
ELECTRONIC DATA SYS NEW   COM         285661104        283    10,216SH         X                 01       10,216
ELECTRONIC DATA SYS NEW   COM         285661104         26       933SH                      X    01                  857        76
ELECTRONICS FOR IMAGING   COM         286082102      9,148   324,156SH         X                 01      324,156
ELECTRONICS FOR IMAGING   COM         286082102         17       600SH                      X    01                  600
EMBARQ CORP               COM         29078E105     16,165   255,094SH         X                 01      254,807      65       222
EMBARQ CORP               COM         29078E105        169     2,663SH                      X    01           73   2,590
EMBRAER-EMPRESA           SPON ADR    29081M102      1,231    25,540SH         X                 01       24,831               709
EMERSON ELEC CO           COM         291011104     15,917   340,098SH         X                 01      338,706     173     1,219
EMERSON ELEC CO           COM         291011104      5,217   111,482SH                      X    01       14,651  96,831
EMPIRE DIST ELEC CO       COM         291641108      1,021    45,649SH         X                 01       45,455               194
EMPIRE DIST ELEC CO       COM         291641108         16       700SH                      X    01                  700
ENCANA CORP               COM         292505104        366     5,960SH         X                 01        5,960
ENCANA CORP               COM         292505104        224     3,641SH                      X    01                3,641
ENDESA S A                SPON ADR    29258N107          4        70SH         X                 01           70
ENDESA S A                SPON ADR    29258N107        412     7,800SH                      X    01                7,800
ENERGEN CORP              COM         29265N108        240     4,375SH         X                 01        4,375
ENEL SOCIETA PER AZIONI   ADR         29265W108        307     5,712SH                      X    01                5,712
ENERGIZER HLDGS INC       COM         29266R108      6,147    61,719SH         X                 01       61,719
ENERGIZER HLDGS INC       COM         29266R108      4,530    45,479SH                      X    01        1,010   7,203    37,266
ENGY TRANSFER PRTNRS LP   UNIT LP     29273R109        143     2,318SH         X                 01        2,318
ENGY TRANSFER PRTNRS LP   UNIT LP     29273R109        136     2,200SH                      X    01        2,200
ENERPLUS RES FD           UNIT TR G   29274D604         83     1,760SH         X                 01        1,760
ENERPLUS RES FD           UNIT TR G   29274D604        330     7,000SH                      X    01                7,000
ENTERGY CORP NEW          COM         29364G103     13,606   126,742SH         X                 01      126,742
ENTERGY CORP NEW          COM         29364G103          8        72SH                      X    01                   72







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
ENTERPRISE PRODS PRTNRS   COM         293792107        377    11,843SH         X                 01       11,843
ENTERPRISE PRODS PRTNRS   COM         293792107         22       700SH                      X    01                  700
EQUIFAX INC               COM         294429105        730    16,431SH         X                 01       16,283      89        59
EQUIFAX INC               COM         294429105         18       397SH                      X    01                  397
EQUINIX INC               COM NEW     29444U502      6,203    67,811SH         X                 01       67,654               157
EQUITABLE RES INC         COM         294549100      1,827    36,855SH         X                 01       36,855
EQUITY RESIDENTIAL        SH BEN INT  29476L107      4,129    90,484SH         X                 01       89,577     216       691
EQUITY RESIDENTIAL        SH BEN INT  29476L107         88     1,931SH                      X    01          200   1,731
ERICSSON L M TEL CO       ADR B       294821608      3,056    76,602SH         X                 01       74,625     880     1,097
ERICSSON L M TEL CO       ADR B       294821608        833    20,885SH                      X    01               20,885
EXELON CORP               COM         30161N101      9,696   133,551SH         X                 01      132,372      60     1,119
EXELON CORP               COM         30161N101        605     8,339SH                      X    01        1,975   5,854       510
EXPEDITORS INTL WASH      COM         302130109        349     8,443SH         X                 01        8,373                70
EXPEDITORS INTL WASH      COM         302130109          3        75SH                      X    01           75
EXPRESS SCRIPTS INC       COM         302182100      3,499    69,971SH         X                 01       69,971
EXPRESS SCRIPTS INC       COM         302182100         68     1,366SH                      X    01          300   1,066
EXXON MOBIL CORP          COM         30231G102    104,164 1,241,825SH         X                 01    1,208,341  21,088    12,396
EXXON MOBIL CORP          COM         30231G102     26,397   314,703SH                      X    01       44,476 255,561    14,666
FEI CO                    COM         30241L109      3,213    98,993SH         X                 01       98,589               404
FNB CORP PA               COM         302520101        545    32,552SH         X                 01       32,552
FPL GROUP INC             COM         302571104      2,395    42,217SH         X                 01       37,265   4,852       100
FPL GROUP INC             COM         302571104        608    10,715SH                      X    01        1,309   9,406
FTI CONSULTING INC        COM         302941109        236     6,200SH         X                 01        6,200
FAIR ISAAC CORP           COM         303250104      3,702    92,263SH         X                 01       92,263
FALCONSTOR SOFTWARE INC   COM         306137100      3,647   345,644SH         X                 01      344,227             1,417
FAMILY DLR STORES INC     COM         307000109        555    16,163SH         X                 01       14,313             1,850
FAMILY DLR STORES INC     COM         307000109          1        25SH                      X    01                   25
FASTENAL CO               COM         311900104        906    21,648SH         X                 01       21,533               115
FASTENAL CO               COM         311900104         14       345SH                      X    01                  345
FED HOME LN MTG CORP      COM         313400301      9,291   153,064SH         X                 01      145,836   2,586     4,642
FED HOME LN MTG CORP      COM         313400301        970    15,981SH                      X    01          425  15,356       200
FEDERAL NATL MTG ASSN     COM         313586109      3,444    52,723SH         X                 01       50,056   1,575     1,092
FEDERAL NATL MTG ASSN     COM         313586109        931    14,246SH                      X    01               14,196        50
FEDERAL SIGNAL CORP       COM         313855108      1,065    67,154SH         X                 01       66,754               400
FEDERAL SIGNAL CORP       COM         313855108         24     1,500SH                      X    01                1,500
FEDERATED INVS INC PA     CL B        314211103        639    16,670SH         X                 01       16,670
FEDERATED INVS INC PA     CL B        314211103          4       107SH                      X    01                  107
FEDEX CORP                COM         31428X106      2,202    19,841SH         X                 01       19,780      28        33
FEDEX CORP                COM         31428X106        439     3,955SH                      X    01                3,955
FERRELLGAS PARTNERS LP    UNIT LP     315293100        338    14,000SH         X                 01       14,000
F5 NETWORKS INC           COM         315616102      1,473    18,273SH         X                 01       18,273
FIDELITY NATL INFO SV     COM         31620M106      2,512    46,285SH         X                 01       46,285
FIFTH THIRD BANCORP       COM         316773100      7,695   193,482SH         X                 01      192,012     275     1,195
FIFTH THIRD BANCORP       COM         316773100        453    11,391SH                      X    01          899  10,492
FIRST DATA CORP           COM         319963104      1,589    48,633SH         X                 01       47,248     197     1,188
FIRST DATA CORP           COM         319963104        159     4,881SH                      X    01        3,575   1,306
FIRST HORIZON NATL CORP   COM         320517105      4,912   125,950SH         X                 01      124,649     278     1,023
FIRST HORIZON NATL CORP   COM         320517105        103     2,643SH                      X    01                2,643
FIRST IND CORP            COM         32054R108         63     2,832SH         X                 01        2,832
FIRST IND CORP            COM         32054R108        406    18,361SH                      X    01       14,236   4,125
FIRST NIAGARA FINL GP     COM         33582V108        157    12,021SH         X                 01       12,021
FIRST PL FINL CORP        COM         33610T109        284    13,457SH         X                 01       13,457
1ST SOURCE CORP           COM         336901103        146     5,873SH         X                 01        5,873
1ST SOURCE CORP           COM         336901103      1,026    41,163SH                      X    01               41,163
FISERV INC                COM         337738108     14,558   256,295SH         X                 01      256,256                39
FISERV INC                COM         337738108        489     8,609SH                      X    01          945   7,664
FIRSTENERGY CORP          COM         337932107      4,661    72,000SH         X                 01       72,000
FIRSTENERGY CORP          COM         337932107         13       204SH                      X    01                  204
FLORIDA EAST COAST INDS   COM         340632108        332     4,000SH         X                 01        4,000
FLUOR CORP NEW            COM         343412102      2,958    26,562SH         X                 01       26,562
FLUOR CORP NEW            COM         343412102         10        88SH                      X    01                   88
FOCUS MEDIA HLDG LTD      SPON ADR    34415V109      2,850    56,446SH         X                 01       56,446
FORD MTR CO DEL           COM         345370860      1,382   146,682SH         X                 01      146,494     188
FORD MTR CO DEL           COM         345370860        202    21,489SH                      X    01          100  21,389
FOREST LABS INC           COM         345838106      2,154    47,177SH         X                 01       47,137      40
FOREST LABS INC           COM         345838106        489    10,712SH                      X    01               10,712
FOREST OIL CORP           COM         346091705        384     9,085SH         X                 01        9,085
FORTUNE BRANDS INC        COM         349631101      2,358    28,631SH         X                 01       26,504   1,064     1,063
FORTUNE BRANDS INC        COM         349631101      1,279    15,529SH                      X    01        1,925   9,604     4,000
FRANCE TELECOM            SPON ADR    35177Q105        213     7,750SH         X                 01        7,750
FRANCE TELECOM            SPON ADR    35177Q105          8       275SH                      X    01                  275
FRANKLIN RES INC          COM         354613101      4,737    35,759SH         X                 01       35,759
FRANKLIN RES INC          COM         354613101         28       210SH                      X    01                  210
FRANKLIN TEMPLETON LTD    COM         35472T101        158    12,000SH         X                 01       12,000
FREEPORT-MCMORAN COPPER   COM         35671D857      8,434   101,836SH         X                 01      101,662     174
FREEPORT-MCMORAN COPPER   COM         35671D857        146     1,765SH                      X    01                1,765
FUJIFILM HLDGS CORP       ADR 2 ORD   35958N107        132     2,960SH         X                 01        2,960
FUJIFILM HLDGS CORP       ADR 2 ORD   35958N107        849    19,029SH                      X    01               19,029
GATX CORP                 COM         361448103      2,587    52,532SH         X                 01       52,532
GFI GROUP INC             COM         361652209      4,663    64,330SH         X                 01       64,181               149
GAFISA S A                SPONS ADR   362607301      5,990   191,995SH         X                 01      191,538               457
GALLAGHER ARTHUR J & CO   COM         363576109        127     4,546SH         X                 01        2,046             2,500
GALLAGHER ARTHUR J & CO   COM         363576109         75     2,685SH                      X    01                2,685
GAMESTOP CORP NEW         CL A        36467W109      5,772   147,631SH         X                 01      147,326               305
GANNETT INC               COM         364730101      1,833    33,349SH         X                 01       30,549   2,000       800
GANNETT INC               COM         364730101        130     2,368SH                      X    01                1,633       735
GAP INC DEL               COM         364760108        925    48,439SH         X                 01       46,343      96     2,000
GAP INC DEL               COM         364760108         97     5,103SH                      X    01          200   2,528     2,375







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
GARTNER INC               COM         366651107        253    10,302SH         X                 01       10,302
GEHL CO                   COM         368483103        729    24,000SH                      X    01               24,000
GEN-PROBE INC NEW         COM         36866T103      1,973    32,657SH         X                 01       32,657
GENENTECH INC             COM NEW     368710406      8,773   115,959SH         X                 01      113,642   1,300     1,017
GENENTECH INC             COM NEW     368710406      1,779    23,513SH                      X    01        5,200  18,313
GENERAL CABLE CORP        COM         369300108        559     7,380SH         X                 01        7,380
GENERAL CABLE CORP        COM         369300108         26       349SH                      X    01                  349
GENERAL COMMUNICATION     CL A        369385109        281    21,917SH         X                 01       21,917
GENERAL DYNAMICS CORP     COM         369550108      5,332    68,164SH         X                 01       68,114                50
GENERAL DYNAMICS CORP     COM         369550108        159     2,038SH                      X    01          400   1,638
GENERAL ELECTRIC CO       COM         369604103     99,907 2,609,911SH         X                 01    2,463,849  92,729    53,333
GENERAL ELECTRIC CO       COM         369604103     21,897   572,029SH                      X    01      116,706 410,075    45,248
GENERAL MLS INC           COM         370334104      5,628    96,332SH         X                 01       95,477     650       205
GENERAL MLS INC           COM         370334104      1,045    17,883SH                      X    01        8,805   9,078
GENERAL MTRS CORP         COM         370442105      1,960    51,839SH         X                 01       51,660               179
GENERAL MTRS CORP         COM         370442105        130     3,432SH                      X    01        2,000   1,049       383
GENUINE PARTS CO          COM         372460105      2,789    56,227SH         X                 01       55,881      65       281
GENUINE PARTS CO          COM         372460105        182     3,668SH                      X    01          300   3,368
GENWORTH FINL INC         COM CL A    37247D106        347    10,083SH         X                 01        8,998             1,085
GENWORTH FINL INC         COM CL A    37247D106        167     4,869SH                      X    01                3,659     1,210
GENZYME CORP              COM         372917104      3,161    49,084SH         X                 01       49,053                31
GENZYME CORP              COM         372917104        183     2,843SH                      X    01                2,843
GILEAD SCIENCES INC       COM         375558103     11,451   295,121SH         X                 01      289,457     214     5,450
GILEAD SCIENCES INC       COM         375558103        582    14,992SH                      X    01               12,512     2,480
GLAXOSMITHKLINE PLC       SPON ADR    37733W105      2,929    55,938SH         X                 01       52,794   1,625     1,519
GLAXOSMITHKLINE PLC       SPON ADR    37733W105        884    16,884SH                      X    01          370  15,754       760
GOLD FIELDS LTD NEW       SPON ADR    38059T106        236    15,000SH         X                 01       15,000
GOLD FIELDS LTD NEW       SPON ADR    38059T106        305    19,401SH                      X    01               19,401
GOLDMAN SACHS GROUP INC   COM         38141G104     28,874   133,214SH         X                 01      130,991   1,167     1,056
GOLDMAN SACHS GROUP INC   COM         38141G104      3,086    14,236SH                      X    01          825  13,166       245
GOODRICH CORP             COM         382388106      1,367    22,958SH         X                 01       22,958
GOODRICH CORP             COM         382388106          1        19SH                      X    01                   19
GOODMAN GLOBAL INC        COM         38239A100      2,402   108,091SH         X                 01      107,646               445
GOODYEAR TIRE & RUBR CO   COM         382550101        260     7,482SH         X                 01        7,482
GOODYEAR TIRE & RUBR CO   COM         382550101         23       654SH                      X    01                  654
GOOGLE INC                CL A        38259P508     13,434    25,701SH         X                 01       25,254               447
GOOGLE INC                CL A        38259P508        980     1,874SH                      X    01           10   1,729       135
GRAINGER W W INC          COM         384802104      1,702    18,291SH         X                 01       16,791             1,500
GRAINGER W W INC          COM         384802104        169     1,815SH                      X    01          200   1,615
GRANT PRIDECO INC         COM         38821G101      5,063    94,061SH         X                 01       94,061
GREAT PLAINS ENERGY INC   COM         391164100      1,488    51,099SH         X                 01       50,899     200
GREAT PLAINS ENERGY INC   COM         391164100         66     2,270SH                      X    01        1,320     950
GREENFIELD ONLINE INC     COM         395150105      1,611   101,258SH         X                 01      100,843               415
HCC INS HLDGS INC         COM         404132102      3,035    90,842SH         X                 01       90,842
HCC INS HLDGS INC         COM         404132102         37     1,110SH                      X    01                1,110
HMS HLDGS CORP            COM         40425J101      2,561   133,804SH         X                 01      133,251               553
HSBC HLDGS PLC            SPON ADR    404280406        481     5,236SH         X                 01        5,236
HSBC HLDGS PLC            SPON ADR    404280406      1,055    11,494SH                      X    01          335  11,159
HALLIBURTON CO            COM         406216101      1,940    56,241SH         X                 01       56,033     130        78
HALLIBURTON CO            COM         406216101        375    10,865SH                      X    01        2,300   7,565     1,000
HANESBRANDS INC           COM         410345102        166     6,153SH         X                 01        6,153
HANESBRANDS INC           COM         410345102         45     1,676SH                      X    01          220   1,456
HARLEY DAVIDSON INC       COM         412822108      5,560    93,268SH         X                 01       92,048   1,173        47
HARLEY DAVIDSON INC       COM         412822108      1,537    25,778SH                      X    01        1,700  24,078
HARMAN INTL INDS INC      COM         413086109        464     3,976SH         X                 01        3,976
HARMAN INTL INDS INC      COM         413086109          5        45SH                      X    01                   45
HARRAHS ENTMT INC         COM         413619107        248     2,904SH         X                 01        2,904
HARRAHS ENTMT INC         COM         413619107        287     3,365SH                      X    01                3,365
HARRIS CORP DEL           COM         413875105        188     3,444SH         X                 01        3,444
HARRIS CORP DEL           COM         413875105         35       650SH                      X    01                  650
HARSCO CORP               COM         415864107      2,867    55,125SH         X                 01       55,125
HARSCO CORP               COM         415864107         30       568SH                      X    01                  284       284
HARTE-HANKS INC           COM         416196103      9,767   380,344SH         X                 01      376,794             3,550
HARTFORD FINL SVCS GRP    COM         416515104      6,108    62,002SH         X                 01       61,840               162
HARTFORD FINL SVCS GRP    COM         416515104        989    10,042SH                      X    01        6,490   3,552
HASBRO INC                COM         418056107        262     8,335SH         X                 01        8,335
HASBRO INC                COM         418056107         19       605SH                      X    01                  605
HAWAIIAN ELEC INDUST      COM         419870100        238    10,067SH         X                 01       10,067
HEAD N V                  NY REG SH   422070102        313    76,595SH         X                 01       76,595
HEAD N V                  NY REG SH   422070102          4     1,000SH                      X    01                1,000
HEALTH NET INC            COM         42222G108        191     3,620SH         X                 01        3,620
HEALTH NET INC            COM         42222G108         34       639SH                      X    01                  639
HEINZ H J CO              COM         423074103      4,698    98,964SH         X                 01       97,965     189       810
HEINZ H J CO              COM         423074103        638    13,442SH                      X    01               10,367     3,075
HELIX ENERGY SOLUTIONS    COM         42330P107        304     7,615SH         X                 01        1,163             6,452
HELIX ENERGY SOLUTIONS    COM         42330P107          2        43SH                      X    01                   43
HENRY JACK & ASSOC INC    COM         426281101         35     1,343SH         X                 01        1,343
HENRY JACK & ASSOC INC    COM         426281101        361    14,000SH                      X    01               14,000
HERCULES INC              COM         427056106      1,252    63,738SH         X                 01       63,738
HERCULES INC              COM         427056106         25     1,272SH                      X    01          800     472
HERSHEY CO                COM         427866108      1,907    37,674SH         X                 01       37,479      55       140
HERSHEY CO                COM         427866108        367     7,250SH                      X    01                5,250     2,000
HESS CORP                 COM         42809H107     12,913   219,010SH         X                 01      219,010
HESS CORP                 COM         42809H107         53       896SH                      X    01                  896
HEWLETT PACKARD CO        COM         428236103     24,437   547,678SH         X                 01      541,306   3,209     3,163
HEWLETT PACKARD CO        COM         428236103      2,607    58,427SH                      X    01       42,700  14,191     1,536
HILB ROGAL & HOBBS CO     COM         431294107        305     7,115SH         X                 01        7,115
HILTON HOTELS CORP        COM         432848109      2,734    81,687SH         X                 01       81,568     119







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
HILTON HOTELS CORP        COM         432848109         65     1,931SH                      X    01                1,931
HITACHI LIMITED           ADR 10 COM  433578507        307     4,344SH         X                 01        4,344
HOME DEPOT INC            COM         437076102     10,413   264,619SH         X                 01      259,795     915     3,909
HOME DEPOT INC            COM         437076102        473    12,028SH                      X    01          400  11,628
HONEYWELL INTL INC        COM         438516106      6,958   123,626SH         X                 01      121,955     229     1,442
HONEYWELL INTL INC        COM         438516106        759    13,478SH                      X    01        2,986  10,292       200
HOSPIRA INC               COM         441060100      2,919    74,771SH         X                 01       74,616      82        73
HOSPIRA INC               COM         441060100        125     3,200SH                      X    01        1,791   1,309       100
HOST HOTELS & RESORTS     COM         44107P104        388    16,794SH         X                 01       16,735                59
HOST HOTELS & RESORTS     COM         44107P104         11       490SH                      X    01                  490
HUBBELL INC               CL A        443510102        216     4,000SH         X                 01          200   3,800
HUMANA INC                COM         444859102      1,149    18,856SH         X                 01       18,797                59
HUMANA INC                COM         444859102         63     1,036SH                      X    01          300     736
HUNT J B TRANS SVCS INC   COM         445658107      7,933   270,572SH         X                 01      267,672             2,900
HUNTINGTON BANCSHARES     COM         446150104      8,076   355,158SH         X                 01      353,022     445     1,691
HUNTINGTON BANCSHARES     COM         446150104         95     4,175SH                      X    01                4,175
HURCO COMPANIES INC       COM         447324104        350     7,000SH         X                 01        7,000
IMS HEALTH INC            COM         449934108     13,553   421,829SH         X                 01      421,760                69
IMS HEALTH INC            COM         449934108        105     3,258SH                      X    01                3,258
ISTAR FINL INC            COM         45031U101        804    18,129SH         X                 01       17,282     847
ITT EDUCATIONAL SRVCS     COM         45068B109        703     5,992SH         X                 01        5,992
ITT EDUCATIONAL SRVCS     COM         45068B109         17       148SH                      X    01                  148
ITT CORP NEW              COM         450911102     15,727   230,333SH         X                 01      230,173      44       116
ITT CORP NEW              COM         450911102        120     1,762SH                      X    01        1,170     592
ICON PUB LTD CO           SPON ADR    45103T107      2,920    66,765SH         X                 01       66,492               273
ICONIX BRAND GROUP INC    COM         451055107      3,008   135,393SH         X                 01      134,844               549
ILLINOIS TOOL WKS INC     COM         452308109      7,022   129,581SH         X                 01      128,711     674       196
ILLINOIS TOOL WKS INC     COM         452308109      2,286    42,188SH                      X    01        6,150  35,736       302
INFINEON TECHNOLOGIES     SPON ADR    45662N103        193    11,700SH         X                 01       11,700
INFINEON TECHNOLOGIES     SPON ADR    45662N103          5       305SH                      X    01                  305
ING GROUP N V             SPON ADR    456837103         63     1,427SH         X                 01        1,427
ING GROUP N V             SPON ADR    456837103        709    16,117SH                      X    01               16,117
INGRAM MICRO INC          CL A        457153104      4,106   189,145SH         X                 01      189,145
INSITUFORM TECHNOLOGIES   CL A        457667103        589    27,010SH         X                 01       27,010
INSITUFORM TECHNOLOGIES   CL A        457667103          2       100SH                      X    01                  100
INNERWORKINGS INC         COM         45773Y105      2,574   160,701SH         X                 01      160,037               664
INTEL CORP                COM         458140100     20,347   857,075SH         X                 01      839,152  10,784     7,139
INTEL CORP                COM         458140100      3,015   127,016SH                      X    01        5,547 121,269       200
INTEGRYS ENERGY GROUP     COM         45822P105      2,109    41,575SH         X                 01       40,849     726
INTEGRYS ENERGY GROUP     COM         45822P105        366     7,223SH                      X    01        1,108   6,115
INTERCONTINENTALEXCHANG   COM         45865V100      1,199     8,108SH         X                 01        8,108
INTERCONTINENTALEXCHANG   COM         45865V100         26       179SH                      X    01                  179
INTL BUSINESS MACHS       COM         459200101     39,878   378,884SH         X                 01      362,531   5,327    11,026
INTL BUSINESS MACHS       COM         459200101      5,549    52,720SH                      X    01        9,933  41,561     1,226
INTL GAME TECHNOLOGY      COM         459902102      3,080    77,574SH         X                 01       77,382     130        62
INTL GAME TECHNOLOGY      COM         459902102         22       557SH                      X    01                  557
INTL PAPER CO             COM         460146103      3,387    86,742SH         X                 01       84,581     901     1,260
INTL PAPER CO             COM         460146103        515    13,193SH                      X    01          600  11,009     1,584
INTERNET CAP GROUP INC    COM NEW     46059C205      1,572   126,811SH         X                 01      126,287               524
INTERSIL CORP             CL A        46069S109      4,231   134,486SH         X                 01      134,486
INTERPUBLIC GRP COS INC   COM         460690100      8,737   766,390SH         X                 01      766,390
INVERNESS MED INNVTNS     COM         46126P106      5,905   115,743SH         X                 01      115,474               269
IPASS INC                 COM         46261V108        537    99,025SH         X                 01       99,025
ISHARES INC               MSCI SING   464286673        886    64,950SH         X                 01       64,950
ISHARES INC               MSCI JAPAN  464286848        639    44,040SH         X                 01       44,040
ISHARES TR                LRGEGRW INX 464287119        293     4,256SH         X                 01        4,256
ISHARES TR                DJSELDIVINX 464287168     20,428   284,157SH         X                 01      283,557     600
ISHARES TR                DJSELDIVINX 464287168        662     9,211SH                      X    01                9,211
ISHARES TR                USTIPSBDFD  464287176        342     3,460SH         X                 01        3,460
ISHARES TR                FTSEXNHUAIX 464287184        978     7,589SH         X                 01        7,589
ISHARES TR                FTSEXNHUAID 464287184        376     2,916SH                      X    01          600   2,316
ISHARES TR                S&P500INDX  464287200     28,637   190,265SH         X                 01      185,279   1,610     3,376
ISHARES TR                S&P500INDX  464287200      1,208     8,024SH                      X    01          224   7,800
ISHARES TR                LEHMNAGGBND 464287226        972     9,880SH         X                 01        9,880
ISHARES TR                MSCIEMRGMKT 464287234     11,135    84,577SH         X                 01       84,477     100
ISHARES TR                MSCIEMRGMKT 464287234      2,860    21,727SH                      X    01       20,420   1,307
ISHARES TR                IBOXINVCPBD 464287242      4,586    43,850SH         X                 01       43,850
ISHARES TR                IBOXINVCPBD 464287242        255     2,440SH                      X    01        2,440
ISHARES TR                S&P500GRW   464287309      4,687    68,241SH         X                 01       66,241             2,000
ISHARES TR                S&P500GRW   464287309        136     1,985SH                      X    01        1,315     670
ISHARES TR                S&P500VAL   464287408      4,330    53,004SH         X                 01       52,898               106
ISHARES TR                S&P500VAL   464287408        546     6,689SH                      X    01          450   5,591       648
ISHARES TR                7-10YRTRSBD 464287440        288     3,550SH         X                 01        3,550
ISHARES TR                1-3YRTRSBD  464287457        265     3,307SH         X                 01        3,307
ISHARES TR                MSCIEAFEIDX 464287465     50,089   620,146SH         X                 01      614,047   1,665     4,434
ISHARES TR                MSCIEAFEIDX 464287465      6,658    82,431SH                      X    01       27,798  38,972    15,661
ISHARES TR                RUSSMCPVL   464287473      4,851    30,808SH         X                 01       30,798                10
ISHARES TR                RUSSMCPVL   464287473        761     4,834SH                      X    01          640   4,194
ISHARES TR                RUSSELL MCP 464287481      3,042    26,707SH         X                 01       26,707
ISHARES TR                RUSSELL MCP 464287481        107       943SH                      X    01          900      43
ISHARES TR                RUSSELL MIDC464287499      2,657    24,395SH         X                 01       20,388             4,007
ISHARES TR                S&P MIDCAP 4464287507     16,104   180,377SH         X                 01      179,098   1,250        29
ISHARES TR                S&P MIDCAP 4464287507      2,659    29,779SH                      X    01        5,059  24,720
ISHARES TR                COHEN&ST RLT464287564      1,455    16,090SH         X                 01       16,090
ISHARES TR                RUSSELL1000V464287598        951    10,962SH         X                 01       10,962
ISHARES TR                S&PMC400GRW 464287606      1,426    15,822SH         X                 01       15,822
ISHARES TR                RUSL1000GRW 464287614      2,468    41,674SH         X                 01       41,674
ISHARES TR                RUSL1000    464287622      1,597    19,559SH         X                 01       19,451     108







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
ISHARES TR                RUSL2000VAL 464287630      7,721    93,744SH         X                 01       93,314               430
ISHARES TR                RUSL2000VAL 464287630        821     9,971SH                      X    01        1,376   8,595
ISHARES TR                RUSL2000GR  464287648        943    10,984SH         X                 01       10,984
ISHARES TR                RUSL2000GR  464287648         92     1,076SH                      X    01          530     546
ISHARES TR                RUSL2000    464287655     16,173   194,953SH         X                 01      194,806      94        53
ISHARES TR                RUSL2000    464287655      1,471    17,732SH                      X    01        2,713  15,019
ISHARES TR                S&PMIDCPVAL 464287705     15,091   174,241SH         X                 01      173,511     200       530
ISHARES TR                S&PMIDCPVAL 464287705      5,168    59,665SH                      X    01       51,671   7,994
ISHARES TR                DJUSTELECOM 464287713        367    10,895SH         X                 01       10,895
ISHARES TR                DJUSTECHSEC 464287721      1,752    29,442SH         X                 01       29,442
ISHARES TR                DJUSTECHSEC 464287721         92     1,545SH                      X    01          150   1,395
ISHARES TR                DJUSREALEST 464287739         59       760SH         X                 01          760
ISHARES TR                DJUSREALEST 464287739        310     4,000SH                      X    01                4,000
ISHARES TR                DJUSINDSTRL 464287754        368     5,006SH         X                 01        5,006
ISHARES TR                DJUSHELTHCR 464287762      1,117    16,065SH         X                 01       16,065
ISHARES TR                DJUSHELTHCR 464287762         64       925SH                      X    01                  925
ISHARES TR                DJUSFINLSEC 464287788        255     2,215SH         X                 01        2,215
ISHARES TR                DJUSENERGY  464287796        513     4,277SH         X                 01        4,277
ISHARES TR                S&PSMLCP600 464287804      2,803    39,425SH         X                 01       39,419                 6
ISHARES TR                S&PSMLCP600 464287804      1,531    21,530SH                      X    01               21,530
ISHARES TR                S&PEUROPLUS 464287861        535     4,577SH         X                 01        4,577
ISHARES TR                S&PSMLCPVAL 464287879      7,200    90,681SH         X                 01       90,458               223
ISHARES TR                S&PSMLCPVAL 464287879        672     8,465SH                      X    01        8,353     112
ISHARES TR                LARGEVALINX 464288109        549     6,265SH         X                 01        6,265
ISHARES TR                MIDCOREIDX  464288208        256     2,825SH         X                 01        2,825
ISHARES TR                MIDGRWINDX  464288307        500     5,218SH         X                 01        5,218
ISHARES TR                MIDVALINDX  464288406      1,705    18,579SH         X                 01       18,579
ISHARES TR                MIDVALINDX  464288406        241     2,625SH                      X    01        2,625
ISHARES TR                SMLLCOREIDX 464288505        296     3,185SH         X                 01        3,185
ISHARES TR                SMLLGRWIDX  464288604        253     3,107SH         X                 01        3,107
ISHARES TR                SMLLVALINDX 464288703      6,654    78,536SH         X                 01       78,536
ISHARES TR                MSCIVALIDX  464288877      1,806    23,058SH         X                 01       23,058
ISHARES TR                MSCIVALIDX  464288877         24       300SH                      X    01                  300
ISHARES TR                MSCIGRWIDX  464288885        524     6,903SH         X                 01        6,903
ISHARES TR                MSCIGRWIDX  464288885        103     1,362SH                      X    01                1,362
IVANHOE MINES LTD         COM         46579N103         17     1,209SH         X                 01        1,209
IVANHOE MINES LTD         COM         46579N103        264    18,522SH                      X    01               18,522
JP MORGAN CHASE & CO      COM         46625H100     49,284 1,017,221SH         X                 01    1,006,654   7,350     3,217
JP MORGAN CHASE & CO      COM         46625H100     11,917   245,956SH                      X    01      163,990  77,401     4,565
JABIL CIRCUIT INC         COM         466313103      3,251   147,312SH         X                 01      147,312
JABIL CIRCUIT INC         COM         466313103          3       119SH                      X    01                  119
JACOBS ENGR GRP INC       COM         469814107      2,461    42,787SH         X                 01       42,787
JACOBS ENGR GRP INC       COM         469814107         12       200SH                      X    01          200
JANUS CAP GROUP INC       COM         47102X105        956    34,355SH         X                 01       34,220               135
JANUS CAP GROUP INC       COM         47102X105          8       270SH                      X    01                  270
JAPAN EQUITY FD INC       COM         471057109        203    24,084SH         X                 01       24,084
JAPAN EQUITY FD INC       COM         471057109          4       500SH                 X         01                  500
JOHNSON & JOHNSON         COM         478160104     47,482   770,560SH         X                 01      746,033  10,915    13,612
JOHNSON & JOHNSON         COM         478160104      6,783   110,072SH                      X    01       23,475  85,760       837
JOHNSON CTLS INC          COM         478366107     26,344   227,556SH         X                 01      223,071   3,408     1,077
JOHNSON CTLS INC          COM         478366107      3,551    30,673SH                      X    01        2,685  24,804     3,184
JUNIPER NETWORKS INC      COM         48203R104      5,614   223,058SH         X                 01      223,058
JUNIPER NETWORKS INC      COM         48203R104         28     1,131SH                      X    01                1,131
KKR FINANCIAL HLDGS LLC   COM         48248A306        168     6,746SH         X                 01        5,327   1,419
KKR FINANCIAL HLDGS LLC   COM         48248A306         52     2,105SH                      X    01        1,105   1,000
KT CORP                   SPON ADR    48268K101         65     2,775SH         X                 01        2,775
KT CORP                   SPON ADR    48268K101        718    30,620SH                      X    01               30,620
K2 INC                    COM         482732104        191    12,574SH         X                 01       12,574
K V PHARMACEUTICAL CO     CL A        482740206      2,539    93,194SH         X                 01       92,811               383
KAYDON CORP               COM         486587108      2,026    38,872SH         X                 01       38,713               159
KAYNE ANDERSON MLP INVT   COM         486606106        235     7,076SH         X                 01        7,076
KB HOME                   COM         48666K109        208     5,272SH         X                 01        5,228      44
KB HOME                   COM         48666K109          9       217SH                      X    01                  217
KELLOGG CO                COM         487836108     13,339   257,564SH         X                 01      254,516     959     2,089
KELLOGG CO                COM         487836108      7,302   140,997SH                      X    01       12,814 128,183
KELLWOOD CO               COM         488044108        377    13,406SH         X                 01       13,406
KENEXA CORP               COM         488879107      2,634    69,856SH         X                 01       69,569               287
KENEXA CORP               COM         488879107         16       420SH                      X    01                  420
KEYCORP NEW               COM         493267108      4,839   140,949SH         X                 01      139,731     230       988
KEYCORP NEW               COM         493267108        296     8,610SH                      X    01        4,546   4,064
KEYSPAN CORP              COM         49337W100        395     9,408SH         X                 01        9,279      70        59
KEYSPAN CORP              COM         49337W100         56     1,324SH                      X    01          500     824
KIMBERLY CLARK CORP       COM         494368103     14,784   221,024SH         X                 01      206,128  12,710     2,186
KIMBERLY CLARK CORP       COM         494368103      4,783    71,503SH                      X    01       18,749  50,854     1,900
KIMCO REALTY CORP         COM         49446R109      2,480    65,138SH         X                 01       64,543     115       480
KIMCO REALTY CORP         COM         49446R109        111     2,906SH                      X    01                2,906
KINDER MORGAN ENERGY      UT LP       494550106        456     8,269SH         X                 01        8,269
KINDER MORGAN ENERGY      UT LP       494550106        515     9,327SH                      X    01          160   7,480     1,687
KINDRED HEALTHCARE INC    COM         494580103      2,280    74,216SH         X                 01       73,915               301
KINROSS GOLD CORP         COM NO PAR  496902404        584    50,000SH         X                 01       50,000
KINROSS GOLD CORP         COM NO PAR  496902404         96     8,215SH                      X    01                8,215
KOHLS CORP                COM         500255104     19,080   268,620SH         X                 01      258,190   7,015     3,415
KOHLS CORP                COM         500255104      2,752    38,751SH                      X    01        2,840  34,761     1,150
KONINKLIJKE AHOLD N V     SPON ADR    500467303        301    24,040SH         X                 01       24,040
KONINKLIJKE AHOLD N V     SPON ADR    500467303          7       530SH                      X    01                  530
KOREA ELECTRIC PWR        SPON ADR    500631106        207     9,463SH         X                 01        9,463
KOREA ELECTRIC PWR        SPON ADR    500631106        439    20,039SH                      X    01               20,039
KRAFT FOODS INC           CL A        50075N104     13,669   387,777SH         X                 01      385,555   1,483       739







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
KRAFT FOODS INC           CL A        50075N104      5,438   154,267SH                      X    01        6,756 147,511
KROGER CO                 COM         501044101     11,497   408,701SH         X                 01      408,701
KROGER CO                 COM         501044101         97     3,441SH                      X    01                3,441
KULICKE & SOFFA INDS      COM         501242101        285    27,258SH         X                 01       27,258
KYPHON INC                COM         501577100      3,958    82,193SH         X                 01       82,003               190
LSI CORPORATION           COM         502161102         76    10,055SH         X                 01       10,055
LSI CORPORATION           COM         502161102         15     2,018SH                      X    01                2,018
L-3 COMMUNICATNS HLDGS    COM         502424104        632     6,494SH         X                 01        6,494
L-3 COMMUNICATNS HLDGS    COM         502424104         53       548SH                      X    01          365     183
LAB CORP AMER HLDGS       COM NEW     50540R409      2,646    33,813SH         X                 01       31,507             2,306
LAB CORP AMER HLDGS       COM NEW     50540R409        270     3,455SH                      X    01                2,315     1,140
LAM RESEARCH CORP         COM         512807108      3,515    68,378SH         X                 01       68,378
LAM RESEARCH CORP         COM         512807108         25       490SH                      X    01                  490
LAUDER ESTEE COS INC      CL A        518439104      6,269   137,744SH         X                 01      132,045   3,904     1,795
LAUDER ESTEE COS INC      CL A        518439104        418     9,194SH                      X    01          100   9,094
LAWSON SOFTWARE INC NEW   COM         52078P102      3,700   374,084SH         X                 01      372,551             1,533
LEAP WIRELESS INTL INC    COM NEW     521863308      1,218    14,418SH         X                 01       14,418
LEGGETT & PLATT INC       COM         524660107      1,650    74,843SH         X                 01       74,478      85       280
LEGGETT & PLATT INC       COM         524660107         35     1,605SH                      X    01                1,605
LEGG MASON INC            COM         524901105        525     5,337SH         X                 01        5,162               175
LEGG MASON INC            COM         524901105        451     4,582SH                      X    01                4,582
LEHMAN BROS HLDGS INC     COM         524908100     11,805   155,748SH         X                 01      154,557      50     1,141
LEHMAN BROS HLDGS INC     COM         524908100        360     4,754SH                      X    01          640   3,449       665
LENNAR CORP               CL A        526057104      5,983   163,645SH         X                 01      163,645
LENNAR CORP               CL A        526057104          1        15SH                      X    01                   15
LIBERTY MEDIA HLDG CORP   COM SER A   53071M104      1,868    83,648SH         X                 01       83,648
LIBERTY MEDIA HLDG CORP   COM SER A   53071M104        184     8,249SH                      X    01                8,249
LIBERTY MEDIA HLDG CORP   COM SER A   53071M302     10,617    90,217SH         X                 01       90,217
LIBERTY MEDIA HLDG CORP   COM SER A   53071M302         24       202SH                      X    01                  202
LIFE TIME FITNESS INC     COM         53217R207      5,417   101,771SH         X                 01      101,378               393
LIFECORE BIOMEDICAL INC   COM         532187101        206    13,000SH         X                 01       13,000
LIHIR GOLD LTD            SPON ADR    532349107        266    10,345SH                      X    01               10,345
LILLY ELI & CO            COM         532457108     25,627   458,616SH         X                 01      450,355   5,694     2,567
LILLY ELI & CO            COM         532457108     16,039   287,022SH                      X    01      258,374  27,048     1,600
LIMITED BRANDS INC        COM         532716107        493    17,953SH         X                 01       17,894      59
LIMITED BRANDS INC        COM         532716107         10       375SH                      X    01                  375
LINCOLN NATL CORP IND     COM         534187109      9,365   131,999SH         X                 01      131,706      60       233
LINCOLN NATL CORP IND     COM         534187109      1,992    28,070SH                      X    01       16,916  11,154
LINEAR TECHNOLOGY CORP    COM         535678106        177     4,895SH         X                 01        4,865      30
LINEAR TECHNOLOGY CORP    COM         535678106        145     4,016SH                      X    01                4,016
LIZ CLAIBORNE INC         COM         539320101      1,103    29,566SH         X                 01       27,892             1,674
LIZ CLAIBORNE INC         COM         539320101          8       206SH                      X    01                  206
LLOYDS TSB GROUP PLC      SPON ADR    539439109        220     4,915SH         X                 01        4,915
LLOYDS TSB GROUP PLC      SPON ADR    539439109         16       355SH                      X    01                  355
LOCKHEED MARTIN CORP      COM         539830109     22,920   243,490SH         X                 01      238,828   1,472     3,190
LOCKHEED MARTIN CORP      COM         539830109      1,650    17,526SH                      X    01        1,288  13,745     2,493
LOEWS CORP                COM         540424108      2,970    58,251SH         X                 01       58,251
LOEWS CORP                COM         540424108        375     7,362SH                      X    01                7,362
LOWES COS INC             COM         548661107      4,088   133,214SH         X                 01      130,804   2,140       270
LOWES COS INC             COM         548661107        896    29,184SH                      X    01        4,200  24,984
LYONDELL CHEMICAL CO      COM         552078107      1,981    53,379SH         X                 01       53,379
LYONDELL CHEMICAL CO      COM         552078107         73     1,975SH                      X    01                1,975
MAF BANCORP INC           COM         55261R108        353     6,509SH         X                 01        6,509
MAF BANCORP INC           COM         55261R108         77     1,422SH                      X    01          632     790
MBIA INC                  COM         55262C100        661    10,618SH         X                 01       10,581      37
MBIA INC                  COM         55262C100        322     5,178SH                      X    01                5,178
MDU RES GROUP INC         COM         552690109      4,019   143,340SH         X                 01       94,105  49,235
MDU RES GROUP INC         COM         552690109        352    12,564SH                      X    01               12,564
MEMC ELECTR MATLS INC     COM         552715104      2,107    34,468SH         X                 01       33,405             1,063
MEMC ELECTR MATLS INC     COM         552715104        147     2,406SH                      X    01                1,926       480
MGE ENERGY INC            COM         55277P104      1,845    56,482SH         X                 01       52,882             3,600
MGE ENERGY INC            COM         55277P104        109     3,350SH                      X    01                3,350
MGIC INVT CORP WIS        COM         552848103     10,905   191,792SH         X                 01      191,722                70
MGIC INVT CORP WIS        COM         552848103        268     4,711SH                      X    01                4,711
MGM MIRAGE                COM         552953101        223     2,702SH         X                 01        2,702
MGM MIRAGE                COM         552953101        118     1,432SH                      X    01                1,432
MSC SOFTWARE CORP         COM         553531104        241    17,800SH         X                 01       17,800
MWI VETERINARY SUPPLY     COM         55402X105      2,644    66,294SH         X                 01       66,022               272
MWI VETERINARY SUPPLY     COM         55402X105         12       290SH                      X    01                  290
MADISON/CLAYMORE CVRD     COM         556582104        197    13,400SH         X                 01       13,400
MACYS INC                 COM         55616P104      1,087    27,319SH         X                 01       27,319
MACYS INC                 COM         55616P104        121     3,052SH                      X    01                3,052
MAGMA DESIGN AUTOMATION   COM         559181102      2,408   171,519SH         X                 01      170,817               702
MAGNA INTL INC            CL A        559222401        187     2,060SH         X                 01        2,060
MAGNA INTL INC            CL A        559222401        466     5,121SH                      X    01                5,121
MANITOWOC INC             COM         563571108      5,917    73,607SH         X                 01       73,607
MANITOWOC INC             COM         563571108        176     2,186SH                      X    01                2,186
MANOR CARE INC NEW        COM         564055101      1,493    22,872SH         X                 01       22,872
MANOR CARE INC NEW        COM         564055101         26       403SH                      X    01                  403
MANPOWER INC              COM         56418H100     10,760   116,650SH         X                 01      116,650
MANPOWER INC              COM         56418H100        195     2,113SH                      X    01                2,113
MANULIFE FINL CORP        COM         56501R106        624    16,714SH         X                 01       16,714
MANULIFE FINL CORP        COM         56501R106         28       758SH                      X    01                  758
MARATHON OIL CORP         COM         565849106     11,705   195,220SH         X                 01      191,340     212     3,668
MARATHON OIL CORP         COM         565849106        575     9,589SH                      X    01                7,423     2,166
MARCUS CORP               COM         566330106         91     3,809SH         X                 01        2,259             1,550
MARCUS CORP               COM         566330106        491    20,650SH                      X    01          300  20,350
MARSH & MCLENNAN COS      COM         571748102        863    27,952SH         X                 01       27,952







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
MARSH & MCLENNAN COS      COM         571748102        246     7,955SH                      X    01                7,955
MARSHALL & ILSLEY CORP    COM         571834100    262,135 5,503,572SH         X                 01    3,687,005  43,808 1,772,759
MARSHALL & ILSLEY CORP    COM         571834100     79,895 1,677,408SH                      X    01      434,348 619,430   623,630
MARRIOTT INTL INC NEW     CL A        571903202        208     4,816SH         X                 01        4,816
MARRIOTT INTL INC NEW     CL A        571903202          2        51SH                      X    01                   51
MASCO CORP                COM         574599106      4,565   160,355SH         X                 01      159,355     185       815
MASCO CORP                COM         574599106         72     2,543SH                      X    01          300   2,243
MASTERCARD INC            CL A        57636Q104      2,151    12,968SH         X                 01       12,968
MATTEL INC                COM         577081102      1,634    64,618SH         X                 01       64,243      90       285
MATTEL INC                COM         577081102        162     6,387SH                      X    01                4,226     2,161
MAXIMUS INC               COM         577933104        563    12,970SH         X                 01       12,970
MCAFEE INC                COM         579064106      1,768    50,224SH         X                 01       50,224
MCCORMICK & CO INC        COM NON VTG 579780206        586    15,353SH         X                 01       15,232      61        60
MCCORMICK & CO INC        COM NON VTG 579780206          5       132SH                      X    01                  132
MCDONALDS CORP            COM         580135101     11,594   228,411SH         X                 01      224,846   3,017       548
MCDONALDS CORP            COM         580135101      2,241    44,142SH                      X    01       26,700  17,042       400
MCGRAW HILL COS INC       COM         580645109      5,374    78,941SH         X                 01       73,970   4,912        59
MCGRAW HILL COS INC       COM         580645109        575     8,446SH                      X    01                8,446
MCKESSON CORP             COM         58155Q103        617    10,343SH         X                 01       10,343
MCKESSON CORP             COM         58155Q103          1        15SH                      X    01                   15
MEADWESTVACO CORP         COM         583334107     12,452   352,546SH         X                 01      352,251      70       225
MEADWESTVACO CORP         COM         583334107        329     9,326SH                      X    01                9,326
MEDCATH CORP              COM         58404W109      2,869    90,207SH         X                 01       89,837               370
MEDCO HEALTH SOLUTIONS    COM         58405U102      4,864    62,368SH         X                 01       62,217      83        68
MEDCO HEALTH SOLUTIONS    COM         58405U102        243     3,120SH                      X    01           74   3,046
MEDTRONIC INC             COM         585055106     15,294   294,906SH         X                 01      289,531   1,652     3,723
MEDTRONIC INC             COM         585055106      1,664    32,089SH                      X    01          200  31,676       213
MELLON FINL CORP COM                  58551A108      1,649    37,482SH         X                 01       34,518             2,964
MELLON FINL CORP COM                  58551A108        200     4,551SH                      X    01          520   2,446     1,585
MERCK & CO INC            COM         589331107     15,299   307,214SH         X                 01      297,659   5,345     4,210
MERCK & CO INC            COM         589331107      3,847    77,242SH                      X    01       25,293  50,549     1,400
MEREDITH CORP             COM         589433101        751    12,189SH         X                 01       11,607      22       560
MEREDITH CORP             COM         589433101         20       324SH                      X    01                  324
MERRILL LYNCH & CO INC    COM         590188108     17,044   203,923SH         X                 01      203,090      80       753
MERRILL LYNCH & CO INC    COM         590188108        246     2,947SH                      X    01          100   2,847
METLIFE INC               COM         59156R108      1,500    23,268SH         X                 01       23,145      65        58
METLIFE INC               COM         59156R108         54       833SH                      X    01          100     733
MICROSOFT CORP            COM         594918104     55,718 1,890,676SH         X                 01    1,812,587  36,628    41,461
MICROSOFT CORP            COM         594918104      8,541   289,805SH                      X    01       36,108 252,603     1,094
MICROCHIP TECHNOLOGY      COM         595017104        506    13,656SH         X                 01       13,605                51
MICROCHIP TECHNOLOGY      COM         595017104         14       377SH                      X    01                  377
MICRON TECHNOLOGY INC     COM         595112103        374    29,811SH         X                 01       29,811
MICRON TECHNOLOGY INC     COM         595112103         29     2,335SH                      X    01        1,000   1,335
MICROSEMI CORP            COM         595137100      4,182   174,600SH         X                 01      174,212               388
MIDCAP SPDR TR            UNIT SER 1  595635103      8,596    52,754SH         X                 01       52,618               136
MIDCAP SPDR TR            UNIT SER 1  595635103        769     4,720SH                      X    01                4,720
MIDDLEBY CORP             COM         596278101      3,305    55,254SH         X                 01       55,026               228
MIDDLEBY CORP             COM         596278101         16       272SH                      X    01          110     162
MILLEA HOLDINGS INC       ADR         60032R106        234     5,696SH         X                 01        5,696
MILLIPORE CORP            COM         601073109        871    11,594SH         X                 01       11,594
MILLIPORE CORP            COM         601073109          1        11SH                      X    01                   11
MITSUBISHI UFJ FINL GRP   SPON ADR    606822104        182    16,512SH         X                 01       16,512
MITSUBISHI UFJ FINL GRP   SPON ADR    606822104          5       480SH                      X    01                  480
MODINE MFG CO             COM         607828100      1,512    66,921SH         X                 01       66,921
MODINE MFG CO             COM         607828100        466    20,600SH                      X    01        2,000  18,400       200
MOHAWK INDS INC           COM         608190104     11,387   112,973SH         X                 01      112,973
MOLSON COORS BREWING CO   CL B        60871R209        540     5,835SH         X                 01        5,410     425
MOLSON COORS BREWING CO   CL B        60871R209          9        95SH                      X    01                   95
MONSANTO CO NEW           COM         61166W101      4,306    63,757SH         X                 01       63,703                54
MONSANTO CO NEW           COM         61166W101        734    10,868SH                      X    01               10,868
MOODYS CORP               COM         615369105        982    15,791SH         X                 01       15,685      60        46
MOODYS CORP               COM         615369105        211     3,392SH                      X    01           50   3,142       200
MOOG INC                  CL A        615394202      3,833    86,907SH         X                 01       86,572               335
MORGAN STANLEY            COM NEW     617446448     25,919   308,996SH         X                 01      304,919   2,096     1,981
MORGAN STANLEY            COM NEW     617446448      2,198    26,202SH                      X    01          538  24,749       915
MORGANS HOTEL GROUP CO    COM         61748W108      2,695   110,553SH         X                 01      108,077             2,476
MOSAIC CO                 COM         61945A107        176     4,520SH         X                 01        4,520
MOSAIC CO                 COM         61945A107         39     1,000SH                      X    01                1,000
MOTOROLA INC              COM         620076109      2,601   146,938SH         X                 01      143,979     212     2,747
MOTOROLA INC              COM         620076109        528    29,822SH                      X    01        5,700  21,717     2,405
MURPHY OIL CORP           COM         626717102     13,556   228,069SH         X                 01      228,069
MURPHY OIL CORP           COM         626717102        439     7,380SH                      X    01                7,380
MYLAN LABS INC            COM         628530107      1,220    67,073SH         X                 01       67,073
MYLAN LABS INC            COM         628530107         51     2,797SH                      X    01                2,797
NCR CORP NEW              COM         62886E108        473     8,998SH         X                 01        8,998
NCR CORP NEW              COM         62886E108         45       862SH                      X    01                  862
NII HLDGS INC             CL B NEW    62913F201      3,198    39,612SH         X                 01       39,612
NATIONAL CINEMEDIA INC    COM         635309107      5,539   197,738SH         X                 01      197,279               459
NATIONAL CITY CORP        COM         635405103      9,830   295,019SH         X                 01      291,060     613     3,346
NATIONAL CITY CORP        COM         635405103        451    13,546SH                      X    01        5,288   7,043     1,215
NATL FUEL GAS CO NJ       COM         636180101        339     7,833SH         X                 01        7,108     725
NATL FUEL GAS CO NJ       COM         636180101         50     1,164SH                      X    01                  632       532
NATL OILWELL VARCO INC    COM         637071101      2,624    25,170SH         X                 01       25,130                40
NATL OILWELL VARCO INC    COM         637071101        107     1,029SH                      X    01                1,029
NATL SEMICONDUCTOR CORP   COM         637640103        569    20,120SH         X                 01       19,936     128        56
NATL SEMICONDUCTOR CORP   COM         637640103         43     1,537SH                      X    01          200   1,337
NAVTEQ CORP               COM         63936L100      1,187    28,025SH         X                 01       27,964                61
NAVTEQ CORP               COM         63936L100        113     2,674SH                      X    01                2,674







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
NET SERV DE COMUNICACAO   SPONSD ADR  64109T201      3,443   208,171SH         X                 01      207,685               486
NETSCOUT SYS INC          COM         64115T104      1,514   174,586SH         X                 01      173,866               720
NETWORK APPLIANCE INC     COM         64120L104        339    11,598SH         X                 01       11,304               294
NETWORK APPLIANCE INC     COM         64120L104         10       329SH                      X    01                  329
NEW YORK TIMES CO         CL A        650111107      1,590    62,599SH         X                 01       61,944     120       535
NEW YORK TIMES CO         CL A        650111107         36     1,410SH                      X    01                1,410
NEWALLIANCE BANCSHARES    COM         650203102        165    11,194SH         X                 01       11,194
NEWELL RUBBERMAID INC     COM         651229106      6,196   210,547SH         X                 01      209,417     390       740
NEWELL RUBBERMAID INC     COM         651229106        340    11,551SH                      X    01          500  11,051
NEWFIELD EXPL CO          COM         651290108      8,735   191,768SH         X                 01      191,768
NEWMONT MINING CORP       COM         651639106        543    13,892SH         X                 01       13,847      32        13
NEWMONT MINING CORP       COM         651639106        512    13,120SH                      X    01               13,120
NEWS CORP                 CL A        65248E104      3,841   181,078SH         X                 01      180,883               195
NEWS CORP                 CL A        65248E104        192     9,031SH                      X    01        1,000   8,031
NEXCEN BRANDS INC         COM         653351106      3,584   321,693SH         X                 01      320,360             1,333
NICHOLS-APPLEGATE CONV    COM         65370F101        332    21,000SH         X                 01       21,000
NICOR INC                 COM         654086107      1,881    43,815SH         X                 01       43,444      55       316
NICOR INC                 COM         654086107         62     1,456SH                      X    01                1,391        65
NIKE INC                  CL B        654106103      8,319   142,720SH         X                 01      140,074   1,060     1,586
NIKE INC                  CL B        654106103        548     9,403SH                      X    01                9,403
NIPPON TELEG & TEL CORP   SPON ADR    654624105        174     7,851SH         X                 01        7,851
NIPPON TELEG & TEL CORP   SPON ADR    654624105        873    39,355SH                      X    01               39,355
NISOURCE INC              COM         65473P105      1,612    77,851SH         X                 01       75,169     120     2,562
NISOURCE INC              COM         65473P105        199     9,588SH                      X    01        5,132   2,726     1,730
NOKIA CORP                SPON ADR    654902204      2,482    88,296SH         X                 01       84,736   1,860     1,700
NOKIA CORP                SPON ADR    654902204      1,772    63,039SH                      X    01       32,000  26,639     4,400
NOBLE ENERGY INC          COM         655044105     13,317   213,452SH         X                 01      213,452
NOBLE ENERGY INC          COM         655044105        137     2,200SH                      X    01                2,200
NORDSTROM INC             COM         655664100      2,423    47,397SH         X                 01       44,207      54     3,136
NORDSTROM INC             COM         655664100        241     4,705SH                      X    01                3,035     1,670
NORFOLK SOUTHERN CORP     COM         655844108      5,220    99,302SH         X                 01       96,439     140     2,723
NORFOLK SOUTHERN CORP     COM         655844108        140     2,660SH                      X    01                1,360     1,300
NORTH AM PALLADIUM LTD    COM         656912102      2,067   217,607SH         X                 01      216,710               897
NORTH EURO OIL RTY TR     SH BEN INT  659310106        248     6,300SH         X                 01        6,300
NORTHERN TR CORP          COM         665859104     10,710   166,722SH         X                 01      163,612   1,780     1,330
NORTHERN TR CORP          COM         665859104        980    15,253SH                      X    01        1,085  14,168
NORTHROP GRUMMAN CORP     COM         666807102      6,259    80,382SH         X                 01       79,625     736        21
NORTHROP GRUMMAN CORP     COM         666807102        379     4,867SH                      X    01                4,867
NOVARTIS A G              SPON ADR    66987V109        518     9,236SH         X                 01        8,719               517
NOVARTIS A G              SPON ADR    66987V109        422     7,518SH                      X    01          340   7,078       100
NOVAVAX INC               COM         670002104        308   106,160SH         X                 01      106,160
NOVELL INC                COM         670006105        381    48,850SH         X                 01       48,850
NOVELL INC                COM         670006105          4       570SH                      X    01                  570
NUCOR CORP                COM         670346105      7,089   120,870SH         X                 01      120,826      44
NUCOR CORP                COM         670346105         19       330SH                      X    01                  330
NVIDIA CORP               COM         67066G104      4,623   111,919SH         X                 01      111,719     200
NVIDIA CORP               COM         67066G104        230     5,569SH                      X    01                5,569
NUVASIVE INC              COM         670704105      3,105   114,947SH         X                 01      114,474               473
NUVEEN QLTY PFD INC FD    COM         67071S101        181    13,824SH         X                 01       13,824
NXSTAGE MEDICAL INC       COM         67072V103      2,117   163,743SH         X                 01      163,073               670
OGE ENERGY CORP           COM         670837103        435    11,869SH         X                 01       11,869
OGE ENERGY CORP           COM         670837103         94     2,556SH                      X    01        2,556
NUVEEN INVTS INC          CL A        67090F106      7,096   114,170SH         X                 01      112,490             1,680
NUVEEN INVTS INC          CL A        67090F106        296     4,757SH                      X    01                4,757
NUVEEN MUN VALUE FD       COM         670928100         53     5,423SH         X                 01        5,423
NUVEEN MUN VALUE FD       COM         670928100         54     5,500SH         X                 01                5,500
OSI SYSTEMS INC           COM         671044105      2,548    93,148SH         X                 01       92,765               383
OBAGI MEDICAL PRODUCTS    COM         67423R108      2,126   119,989SH         X                 01      119,495               494
OCCIDENTAL PETE CORP      COM         674599105      5,589    96,556SH         X                 01       95,627     678       251
OCCIDENTAL PETE CORP      COM         674599105        744    12,852SH                      X    01          920  11,932
OCEANEERING INTL INC      COM         675232102         65     1,243SH         X                 01        1,243
OCEANEERING INTL INC      COM         675232102        280     5,315SH                      X    01          174   5,141
ODYSSEY MARINE EXPLRTN    COM         676118102        196    32,640SH         X                 01       32,640
OFFICEMAX INC DEL         COM         67622P101        390     9,917SH         X                 01        9,845                72
OFFICEMAX INC DEL         COM         67622P101          3        80SH                      X    01                   80
OFFICE DEPOT INC          COM         676220106      1,281    42,268SH         X                 01       42,268
OFFICE DEPOT INC          COM         676220106          7       238SH                      X    01                  238
OLD REP INTL CORP         COM         680223104        512    24,087SH         X                 01       20,372             3,715
OLD REP INTL CORP         COM         680223104      8,086   380,357SH                      X    01        1,406 376,926     2,025
OMNICARE INC              COM         681904108      9,281   257,366SH         X                 01      257,366
OMNICOM GROUP INC         COM         681919106      1,049    19,824SH         X                 01       19,766      58
OMNICOM GROUP INC         COM         681919106         13       244SH                      X    01                  244
ON SEMICONDUCTOR CORP     COM         682189105      3,736   348,464SH         X                 01      347,666               798
ONEOK INC NEW             COM         682680103      2,985    59,206SH         X                 01       59,206
OPEN JT STK CO-VIMPEL     SPON ADR    68370R109      2,893    27,456SH         X                 01       27,456
OPEN JT STK CO-VIMPEL     SPON ADR    68370R109        106     1,010SH                      X    01                1,010
ORACLE CORP               COM         68389X105     10,687   542,204SH         X                 01      529,248     540    12,416
ORACLE CORP               COM         68389X105      1,147    58,213SH                      X    01       35,985  19,018     3,210
OSHKOSH TRUCK CORP        COM         688239201      2,070    32,901SH         X                 01       32,901
OSHKOSH TRUCK CORP        COM         688239201      3,051    48,490SH                      X    01               48,490
OTTER TAIL CORP           COM         689648103        221     6,906SH         X                 01        5,906             1,000
OTTER TAIL CORP           COM         689648103         12       384SH                      X    01                  384
OWENS & MINOR INC NEW     COM         690732102      2,469    70,662SH         X                 01       70,378               284
OWENS ILL INC             COM NEW     690768403        194     5,557SH         X                 01        5,557
OWENS ILL INC             COM NEW     690768403         25       707SH                      X    01                  707
PG&E CORP                 COM         69331C108     10,737   237,027SH         X                 01      236,997                30
PG&E CORP                 COM         69331C108         92     2,033SH                      X    01                1,511       522
PICO HLDGS INC            COM NEW     693366205      2,465    56,986SH         X                 01       56,752               234







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
PNC FINL SVCS GROUP INC   COM         693475105      4,560    63,707SH         X                 01       63,707
PNC FINL SVCS GROUP INC   COM         693475105        595     8,316SH                      X    01                6,716     1,600
PPG INDS INC              COM         693506107      3,443    45,239SH         X                 01       44,984      50       205
PPG INDS INC              COM         693506107        405     5,323SH                      X    01        4,000   1,323
PPL CORP                  COM         69351T106     13,587   290,380SH         X                 01      290,380
PPL CORP                  COM         69351T106         19       400SH                      X    01                  400
PRA INTL                  COM         69353C101        288    11,400SH         X                 01       11,400
PACCAR INC                COM         693718108      1,197    13,754SH         X                 01       13,690      33        31
PACCAR INC                COM         693718108        124     1,421SH                      X    01                1,421
PACER INTL INC TENN       COM         69373H106        387    16,460SH         X                 01       15,510               950
PACKAGING CORP AMER       COM         695156109      9,323   368,335SH         X                 01      368,335
PACTIV CORP               COM         695257105        170     5,340SH         X                 01        5,251      89
PACTIV CORP               COM         695257105         57     1,799SH                      X    01                1,799
PALL CORP                 COM         696429307        198     4,299SH         X                 01        4,150     102        47
PALL CORP                 COM         696429307          3        72SH                      X    01                   72
PARALLEL PETE CORP DEL    COM         699157103      3,876   176,994SH         X                 01      176,266               728
PAREXEL INTL CORP         COM         699462107      3,030    72,051SH         X                 01       71,755               296
PARKER HANNIFIN CORP      COM         701094104      7,018    71,676SH         X                 01       71,636      40
PARKER HANNIFIN CORP      COM         701094104        344     3,515SH                      X    01          755   2,760
PAYCHEX INC               COM         704326107        644    16,466SH         X                 01       16,345      50        71
PAYCHEX INC               COM         704326107        105     2,679SH                      X    01                2,679
PEABODY ENERGY CORP       COM         704549104        410     8,478SH         X                 01        8,478
PEABODY ENERGY CORP       COM         704549104        401     8,283SH                      X    01                7,283     1,000
PENGROWTH ENERGY TR       TR UNIT NEW 706902509        475    24,905SH         X                 01       24,905
PENN VA CORP              COM         707882106         28       690SH         X                 01          690
PENN VA CORP              COM         707882106        343     8,536SH                      X    01        8,536
PENNEY J C INC            COM         708160106     13,344   184,359SH         X                 01      181,133     353     2,873
PENNEY J C INC            COM         708160106      2,271    31,375SH                      X    01           75  29,570     1,730
PEPCO HOLDINGS INC        COM         713291102      7,502   266,044SH         X                 01      266,044
PEPSI BOTTLING GROUP      COM         713409100        340    10,084SH         X                 01       10,084
PEPSI BOTTLING GROUP      COM         713409100          8       238SH                      X    01                  238
PEPSICO INC               COM         713448108     27,516   424,296SH         X                 01      408,956  10,009     5,331
PEPSICO INC               COM         713448108      7,352   113,374SH                      X    01       28,721  71,986    12,667
PERFICIENT INC            COM         71375U101      2,618   126,492SH         X                 01      125,974               518
PERKINELMER INC           COM         714046109        403    15,471SH         X                 01       15,412      59
PERKINELMER INC           COM         714046109         13       516SH                      X    01                  516
PEROT SYS CORP            CL A        714265105        356    20,864SH         X                 01       17,064             3,800
PERRIGO CO                COM         714290103        301    15,394SH         X                 01       14,994               400
PERRIGO CO                COM         714290103         33     1,700SH                      X    01                1,700
PETMED EXPRESS INC        COM         716382106      3,343   260,343SH         X                 01      259,276             1,067
PETROHAWK ENERGY CORP     COM         716495106      4,068   256,504SH         X                 01      255,957               547
PETROHAWK ENERGY CORP     COM         716495106         54     3,390SH                      X    01          425   2,965
PFIZER INC                COM         717081103     46,277 1,809,833SH         X                 01    1,755,094  34,228    20,511
PFIZER INC                COM         717081103      6,928   270,932SH                      X    01       60,615 205,330     4,987
PHILADELPHIA CONS HLDG    COM         717528103        164     3,920SH         X                 01        3,920
PHILADELPHIA CONS HLDG    COM         717528103         40       967SH                      X    01                  967
PHILLIPS VAN HEUSEN       COM         718592108      1,880    31,040SH         X                 01       31,040
PHILLIPS VAN HEUSEN       COM         718592108         31       519SH                      X    01                  519
PILGRIMS PRIDE CORP       COM         721467108     17,528   459,197SH         X                 01      456,405             2,792
PINNACLE WEST CAP CORP    COM         723484101      3,849    96,593SH         X                 01       95,783     155       655
PINNACLE WEST CAP CORP    COM         723484101         80     2,000SH                      X    01                2,000
PITNEY BOWES INC          COM         724479100      5,055   107,968SH         X                 01      107,168     145       655
PITNEY BOWES INC          COM         724479100        245     5,236SH                      X    01          560   4,076       600
PLAINS ALL AMERN PIPLNE   UNIT LP     726503105        412     6,467SH         X                 01        5,287             1,180
PLUM CREEK TIMBER CO      COM         729251108     10,281   246,794SH         X                 01      242,964     535     3,295
PLUM CREEK TIMBER CO      COM         729251108      1,151    27,617SH                      X    01        2,100  25,517
POGO PRODUCING CO         COM         730448107        324     6,378SH         X                 01        6,378
POLO RALPH LAUREN CORP    CL A        731572103      2,256    22,998SH         X                 01       22,998
POLO RALPH LAUREN CORP    CL A        731572103          1        15SH                      X    01                   15
POTASH CORP SASK INC      COM         73755L107        130     1,668SH         X                 01        1,119               549
POTASH CORP SASK INC      COM         73755L107        129     1,655SH                      X    01                1,655
POWELL INDS INC           COM         739128106        886    27,900SH                      X    01               27,900
POWERSHARES QQQ TRUST     UNIT SER 1  73935A104        970    20,372SH         X                 01       20,322                50
POWERSHARES QQQ TRUST     UNIT SER 1  73935A104        254     5,337SH                      X    01        3,837   1,500
PWRSHRS DB CMDTY IDX      UNIT BENINT 73935S105        469    18,255SH         X                 01       18,255
POWERSHARES ETF TRUST     PRVTEQTYPRT 73935X195        633    23,285SH         X                 01       23,285
POWERSHARES ETF TRUST     HIYLDEQDVDN 73935X302        557    36,200SH         X                 01       36,200
POWERSHARES ETF TRUST     WNDRHLCLNEN 73935X500        260    12,500SH         X                 01       12,500
POWERSHARES ETF TRUST     FTSEUS1500S 73935X567        325     5,551SH         X                 01        5,551
POWERSHARES ETF TRUST     WATERRESRCE 73935X575        422    20,150SH         X                 01       20,150
POWERSHARES ETF TRUST     WATERRESRCE 73935X575         21     1,000SH                      X    01                1,000
POWERSHARES ETF TRUST     FTSERFI1000 73935X583      5,164    83,110SH         X                 01       64,474   1,200    17,436
POWERSHARES ETF TRUST     FTSERFI1000 73935X583        179     2,882SH                      X    01                2,882
POWERSHARES ETF TRUST     DYNBIOT&GEN 73935X856        183    10,000SH         X                 01       10,000
PRAXAIR INC               COM         74005P104      7,680   106,686SH         X                 01      101,731      80     4,875
PRAXAIR INC               COM         74005P104        744    10,329SH                      X    01        6,800   3,529
PRECISION CASTPARTS       COM         740189105      4,874    40,165SH         X                 01       38,128             2,037
PRECISION CASTPARTS       COM         740189105        337     2,776SH                      X    01                1,756     1,020
PRICE T ROWE GROUP INC    COM         74144T108      2,441    47,048SH         X                 01       46,886      66        96
PRICE T ROWE GROUP INC    COM         74144T108        218     4,197SH                      X    01        3,175   1,022
PRINCIPAL FINANCIAL GRP   COM         74251V102        949    16,282SH         X                 01       16,190      29        63
PRINCIPAL FINANCIAL GRP   COM         74251V102         10       178SH                      X    01                  178
PROASSURANCE CORP         COM         74267C106        271     4,875SH         X                 01        4,875
PROASSURANCE CORP         COM         74267C106         24       440SH                      X    01                  440
PROCTER & GAMBLE CO       COM         742718109     51,905   848,252SH         X                 01      824,733  10,018    13,501
PROCTER & GAMBLE CO       COM         742718109     10,356   169,246SH                      X    01       29,920 136,937     2,389
PROGRESS ENERGY INC       COM         743263105     13,715   300,844SH         X                 01      297,222     562     3,060
PROGRESS ENERGY INC       COM         743263105        303     6,649SH                      X    01          700   5,949







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
PROGRESSIVE CORP OHIO     COM         743315103      8,265   345,394SH         X                 01      338,390     956     6,048
PROGRESSIVE CORP OHIO     COM         743315103        425    17,751SH                      X    01               17,751
PROLOGIS                  SH BEN INT  743410102      6,749   118,618SH         X                 01      118,373      50       195
PROLOGIS                  SH BEN INT  743410102         39       689SH                      X    01                  689
PROTECTIVE LIFE CORP      COM         743674103     12,026   251,529SH         X                 01      250,154             1,375
PRUDENTIAL FINL INC       COM         744320102      2,651    27,261SH         X                 01       27,166      54        41
PRUDENTIAL FINL INC       COM         744320102         49       500SH                      X    01          143     357
PUBLIC SVC ENTRPRSE GRP   COM         744573106        767     8,743SH         X                 01        8,743
PUBLIC SVC ENTRPRSE GRP   COM         744573106        156     1,777SH                      X    01                1,777
PUBLIC STORAGE            COM         74460D109        384     5,001SH         X                 01        5,001
PUBLIC STORAGE            COM         74460D109         70       906SH                      X    01                  906
QUALCOMM INC              COM         747525103     15,698   361,798SH         X                 01      354,922   2,037     4,839
QUALCOMM INC              COM         747525103      1,625    37,445SH                      X    01          100  36,130     1,215
QUANTA SVCS INC           COM         74762E102        177     5,763SH         X                 01        5,763
QUANTA SVCS INC           COM         74762E102         32     1,047SH                      X    01                1,047
QUEST DIAGNOSTICS INC     COM         74834L100        193     3,743SH         X                 01        2,993               750
QUEST DIAGNOSTICS INC     COM         74834L100         91     1,757SH                      X    01                  862       895
QUESTAR CORP              COM         748356102      1,940    36,712SH         X                 01       36,712
QUESTAR CORP              COM         748356102         85     1,600SH                      X    01                1,600
QUICKSILVER RESOURCES     COM         74837R104      3,054    68,504SH         X                 01       67,344             1,160
QWEST COMMUNICATNS INTL   COM         749121109        518    53,375SH         X                 01       53,375
QWEST COMMUNICATNS INTL   COM         749121109        123    12,720SH                      X    01               12,720
RPM INTL INC              COM         749685103         72     3,108SH         X                 01        3,108
RPM INTL INC              COM         749685103        260    11,250SH                      X    01               11,250
RADIAN GROUP INC          COM         750236101        579    10,717SH         X                 01       10,717
RADIAN GROUP INC          COM         750236101         60     1,112SH                      X    01                1,112
RADIOSHACK CORP           COM         750438103        187     5,632SH         X                 01        5,632
RADIOSHACK CORP           COM         750438103         41     1,236SH                      X    01                1,236
RANGE RES CORP            COM         75281A109      1,395    37,300SH         X                 01       37,300
RAYONIER INC              COM         754907103         81     1,800SH         X                 01        1,800
RAYONIER INC              COM         754907103        451    10,000SH                      X    01               10,000
RAYTHEON CO               COM NEW     755111507      1,547    28,704SH         X                 01       28,704
RAYTHEON CO               COM NEW     755111507        308     5,717SH                      X    01          879   4,838
REGAL BELOIT CORP         COM         758750103     31,836   684,059SH         X                 01      684,059
REGAL BELOIT CORP         COM         758750103        384     8,246SH                      X    01                8,246
REGIONS FINANCIAL CORP    COM         7591EP100     10,118   305,690SH         X                 01      300,863   1,483     3,344
REGIONS FINANCIAL CORP    COM         7591EP100        271     8,184SH                      X    01          300   6,694     1,190
REHABCARE GROUP INC       COM         759148109        419    29,450SH         X                 01       29,450
REPUBLIC SVCS INC         COM         760759100     13,067   426,462SH         X                 01      426,462
REPUBLIC SVCS INC         COM         760759100         82     2,690SH                      X    01                2,690
RESEARCH IN MOTION LTD    COM         760975102        271     1,353SH         X                 01        1,353
RESEARCH IN MOTION LTD    COM         760975102        188       938SH                      X    01                  938
RESMED INC                COM         761152107      1,304    31,600SH         X                 01       31,600
RESMED INC                COM         761152107         86     2,083SH                      X    01        1,200     883
REYNOLDS AMERICAN INC     COM         761713106      7,042   108,010SH         X                 01      106,707     180     1,123
REYNOLDS AMERICAN INC     COM         761713106        156     2,397SH                      X    01                2,397
RIO TINTO PLC             SPON ADR    767204100        259       845SH         X                 01          845
RIO TINTO PLC             SPON ADR    767204100        937     3,061SH                      X    01                3,061
RITE AID CORP             COM         767754104      6,783 1,063,101SH         X                 01    1,060,657             2,444
RITE AID CORP             COM         767754104          4       700SH                      X    01                  700
ROBERT HALF INTL INC      COM         770323103      2,368    64,866SH         X                 01       64,866
ROBERT HALF INTL INC      COM         770323103          3        71SH                      X    01                   71
ROCKWELL AUTOMATION INC   COM         773903109      1,897    27,325SH         X                 01       27,250      38        37
ROCKWELL AUTOMATION INC   COM         773903109        372     5,364SH                      X    01          375   2,089     2,900
ROCKWELL COLLINS INC      COM         774341101      4,880    69,084SH         X                 01       68,979      70        35
ROCKWELL COLLINS INC      COM         774341101        389     5,505SH                      X    01          450   5,055
ROGERS CORP               COM         775133101        228     6,152SH         X                 01        6,152
ROHM & HAAS CO            COM         775371107      1,581    28,916SH         X                 01       28,916
ROHM & HAAS CO            COM         775371107         37       678SH                      X    01          663      15
ROPER INDS INC NEW        COM         776696106      2,403    42,092SH         X                 01       42,092
ROSS STORES INC           COM         778296103      9,576   310,898SH         X                 01      310,898
ROWAN COS INC             COM         779382100        231     5,645SH         X                 01        5,645
ROWAN COS INC             COM         779382100          1        34SH                      X    01                   34
ROYAL DUTCH SHELL PLC     SPON ADR B  780259107        698     8,377SH         X                 01        7,516               861
ROYAL DUTCH SHELL PLC     SPON ADR B  780259107        817     9,806SH                      X    01                9,806
ROYAL DUTCH SHELL PLC     SPONS ADR A 780259206      7,433    91,541SH         X                 01       91,541
ROYAL DUTCH SHELL PLC     SPONS ADR A 780259206      2,595    31,952SH                      X    01       15,130  14,822     2,000
RYDER SYS INC             COM         783549108        247     4,589SH         X                 01        4,589
RYDER SYS INC             COM         783549108         10       178SH                      X    01                  178
RYDEX ETF TRUST           S&P500EQTRD 78355W106        864    16,873SH         X                 01       16,763               110
RYDEX ETF TRUST           S&P500EQTRD 78355W106        132     2,584SH                      X    01          829   1,755
SBA COMMUNICATIONS CORP   COM         78388J106      3,298    98,170SH         X                 01       97,776               394
SBA COMMUNICATIONS CORP   COM         78388J106         87     2,598SH                      X    01                2,598
SEI INVESTMENTS CO        COM         784117103        256     8,802SH         X                 01        8,802
SEI INVESTMENTS CO        COM         784117103         70     2,400SH                      X    01                2,400
SK TELECOM LTD            SPON ADR    78440P108        267     9,755SH         X                 01        9,755
SK TELECOM LTD            SPON ADR    78440P108        188     6,866SH                      X    01                6,866
SLM CORP                  COM         78442P106        501     8,697SH         X                 01        8,618      47        32
SLM CORP                  COM         78442P106         71     1,227SH                      X    01                1,227
SPDR TR                   UNIT SER 1  78462F103     36,143   240,263SH         X                 01      237,592   1,871       800
SPDR TR                   UNIT SER 1  78462F103      3,794    25,224SH                      X    01        1,727  23,497
SPSS INC                  COM         78462K102      2,658    60,212SH         X                 01       59,965               247
SPX CORP                  COM         784635104        300     3,420SH         X                 01        3,420
SPX CORP                  COM         784635104         18       200SH                      X    01          200
SAFECO CORP               COM         786429100        439     7,051SH         X                 01        7,004      47
SAFECO CORP               COM         786429100          6        99SH                      X    01                   99
SAFEWAY INC               COM NEW     786514208        364    10,705SH         X                 01       10,705
SAFEWAY INC               COM NEW     786514208         17       500SH                      X    01                  500







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
ST JUDE MED INC           COM         790849103      5,789   139,517SH         X                 01      137,126      88     2,303
ST JUDE MED INC           COM         790849103        354     8,526SH                      X    01                8,526
ST MARY LD & EXPL CO      COM         792228108      6,755   184,475SH         X                 01      183,375             1,100
SAKS INC                  COM         79377W108      2,203   103,162SH         X                 01      103,162
SALESFORCE COM INC        COM         79466L302      1,568    36,575SH         X                 01       36,575
SANDERSON FARMS INC       COM         800013104      2,401    53,338SH         X                 01       53,119               219
SANMINA SCI CORP          COM         800907107         46    14,608SH         X                 01       14,608
SANOFI AVENTIS            SPON ADR    80105N105        596    14,799SH         X                 01       14,401               398
SANOFI AVENTIS            SPON ADR    80105N105        121     3,005SH                      X    01                3,005
SAP AKTIENGESELLSCHAFT    SPON ADR    803054204        395     7,730SH         X                 01        7,167               563
SAP AKTIENGESELLSCHAFT    SPON ADR    803054204        356     6,965SH                      X    01        6,565     400
SARA LEE CORP             COM         803111103      4,113   236,395SH         X                 01      232,707   2,505     1,183
SARA LEE CORP             COM         803111103        406    23,351SH                      X    01        3,800  15,251     4,300
SATYAM COMPUTER SRVCS     ADR         804098101      1,417    57,225SH         X                 01       57,225
SATYAM COMPUTER SRVCS     ADR         804098101        521    21,050SH                      X    01        3,650  17,400
SAVVIS INC                COM NEW     805423308      2,858    57,734SH         X                 01       57,497               237
SCANA CORP NEW            COM         80589M102        183     4,789SH         X                 01        1,618             3,171
SCANA CORP NEW            COM         80589M102         75     1,965SH                      X    01                  970       995
SCHEIN HENRY INC          COM         806407102        195     3,655SH         X                 01        3,655
SCHEIN HENRY INC          COM         806407102         16       300SH                      X    01                  300
SCHERING PLOUGH CORP      COM         806605101      3,907   128,350SH         X                 01      128,104     134       112
SCHERING PLOUGH CORP      COM         806605101        225     7,397SH                      X    01          100   5,297     2,000
SCHLUMBERGER LTD          COM         806857108     13,335   156,999SH         X                 01      153,725   1,206     2,068
SCHLUMBERGER LTD          COM         806857108      2,863    33,707SH                      X    01       18,228  15,329       150
SCHWAB CHARLES CORP NEW   COM         808513105      1,059    51,615SH         X                 01       51,615
SCHWAB CHARLES CORP NEW   COM         808513105         75     3,659SH                      X    01          775   2,884
SCIELE PHARMA INC         COM         808627103        267    11,317SH         X                 01       11,317
SCIELE PHARMA INC         COM         808627103         42     1,769SH                      X    01          213   1,556
SEALED AIR CORP NEW       COM         81211K100      8,619   277,859SH         X                 01      277,859
SEALED AIR CORP NEW       COM         81211K100        141     4,545SH                      X    01                4,545
SEARS HLDGS CORP          COM         812350106        642     3,789SH         X                 01        3,789
SEARS HLDGS CORP          COM         812350106         31       180SH                      X    01                  180
SELECT SECTOR SPDR TR     SBIHLTHCRE  81369Y209        290     8,220SH         X                 01        8,220
SELECT SECTOR SPDR TR     SBIHLTHCRE  81369Y209          8       240SH                      X    01          240
SELECT SECTOR SPDR TR     SBICONSSTPL 81369Y308        251     9,296SH         X                 01        9,296
SELECT SECTOR SPDR TR     SBIINT-FINL 81369Y605        215     5,938SH         X                 01        5,938
SELECT SECTOR SPDR TR     SBIINT-TECH 81369Y803        374    14,609SH         X                 01       13,710               899
SELECT SECTOR SPDR TR     SBIINT-TECH 81369Y803        151     5,892SH                      X    01                5,892
SELECT SECTOR SPDR TR     SBIINT-UTIL 81369Y886        194     4,910SH         X                 01        4,910
SELECT SECTOR SPDR TR     SBIINT-UTIL 81369Y886         58     1,461SH                      X    01                1,461
SEMPRA ENERGY             COM         816851109        632    10,664SH         X                 01       10,664
SEMPRA ENERGY             COM         816851109        173     2,926SH                      X    01                2,512       414
SENSIENT TECHNOLOGIES     COM         81725T100        507    19,966SH         X                 01       19,966
SENSIENT TECHNOLOGIES     COM         81725T100        169     6,650SH                      X    01                4,025     2,625
SERVICEMASTER CO          COM         81760N109        193    12,512SH         X                 01       12,512
SHERWIN WILLIAMS CO       COM         824348106      1,273    19,145SH         X                 01       19,145
SHERWIN WILLIAMS CO       COM         824348106         22       333SH                      X    01                  333
SHIRE PLC                 SPON ADR    82481R106      3,408    45,977SH         X                 01       45,350               627
SHIRE PLC                 SPON ADR    82481R106          4        48SH                      X    01                   48
SIEMENS A G               SPON ADR    826197501        131       917SH         X                 01          615               302
SIEMENS A G               SPON ADR    826197501        709     4,959SH                      X    01                4,959
SIGMA ALDRICH CORP        COM         826552101      1,944    45,554SH         X                 01       40,824   4,654        76
SIGMA ALDRICH CORP        COM         826552101        105     2,469SH                      X    01                2,469
SILICON MOTION TECHNLGY   SPON ADR    82706C108      3,364   135,477SH         X                 01      134,923               554
SIMON PPTY GROUP INC      COM         828806109      5,514    59,263SH         X                 01       58,304      40       919
SIMON PPTY GROUP INC      COM         828806109      1,091    11,728SH                      X    01       11,115     613
SINCLAIR BROADCAST GRP    CL A        829226109        188    13,250SH         X                 01       13,250
SIRENZA MICRODEVICES      COM         82966T106      1,696   142,842SH         X                 01      142,255               587
SIRIUS SATELLITE RADIO    COM         82966U103         37    12,100SH         X                 01       12,100
SIRIUS SATELLITE RADIO    COM         82966U103          9     3,000SH                      X    01                3,000
SKILLED HEALTHCARE GRP    CL A        83066R107      2,259   145,619SH         X                 01      145,018               601
SKYWORKS SOLUTIONS INC    COM         83088M102        108    14,728SH         X                 01       14,728
SMITH & WESSON HLDG       COM         831756101      5,052   301,584SH         X                 01      300,339             1,245
SMITH A O                 COM         831865209        281     7,051SH         X                 01        7,051
SMITH A O                 COM         831865209        259     6,500SH                      X    01                6,500
SMITH INTL INC            COM         832110100        364     6,200SH         X                 01        6,200
SMUCKER J M CO            COM NEW     832696405        138     2,160SH         X                 01        2,160
SMUCKER J M CO            COM NEW     832696405        419     6,588SH                      X    01           40   6,540         8
SNAP ON INC               COM         833034101      6,241   123,568SH         X                 01      123,568
SNAP ON INC               COM         833034101        520    10,300SH                      X    01        7,800   1,525       975
SOLECTRON CORP            COM         834182107        102    27,740SH         X                 01       27,740
SONOCO PRODS CO           COM         835495102        323     7,541SH         X                 01        7,541
SONOCO PRODS CO           COM         835495102          4       100SH                      X    01                  100
SONY CORP                 ADR NEW     835699307      2,240    43,601SH         X                 01       43,501     100
SONY CORP                 ADR NEW     835699307         90     1,750SH                      X    01        1,000     750
SOUTHERN CO               COM         842587107      8,757   255,386SH         X                 01      249,579   1,499     4,308
SOUTHERN CO               COM         842587107        584    17,029SH                      X    01        3,202   9,057     4,770
SOUTHWEST AIRLS CO        COM         844741108      9,085   609,332SH         X                 01      609,332
SOUTHWEST AIRLS CO        COM         844741108         10       689SH                      X    01                  689
SOUTHWESTERN ENERGY CO    COM         845467109      1,436    32,280SH         X                 01       32,280
SOVEREIGN BANCORP INC     COM         845905108        579    27,400SH         X                 01       27,400
SPECTRA ENERGY CORP       COM         847560109        777    29,922SH         X                 01       29,922
SPECTRA ENERGY CORP       COM         847560109         88     3,396SH                      X    01          802   2,594
SPIRIT AEROSYSTEMS        COM CL A    848574109      2,411    66,884SH         X                 01       66,884
SPRINT NEXTEL CORP        COM FON     852061100      7,331   353,968SH         X                 01      341,718     389    11,861
SPRINT NEXTEL CORP        COM FON     852061100        551    26,612SH                      X    01        1,463  23,039     2,110
STANCORP FINL GROUP INC   COM         852891100      7,958   151,632SH         X                 01      151,632
STAPLES INC               COM         855030102      1,923    81,020SH         X                 01       80,595               425







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
STAPLES INC               COM         855030102        210     8,863SH                      X    01                8,863
STARBUCKS CORP            COM         855244109        788    30,023SH         X                 01       29,795      84       144
STARBUCKS CORP            COM         855244109        616    23,485SH                      X    01               23,485
STATE AUTO FINL CORP      COM         855707105        205     6,681SH         X                 01        6,681
STARWOOD HOTELS&RESORTS   COM         85590A401        857    12,772SH         X                 01       12,277               495
STARWOOD HOTELS&RESORTS   COM         85590A401         30       447SH                      X    01                  447
STATE STR CORP            COM         857477103     12,629   184,629SH         X                 01      184,529               100
STATE STR CORP            COM         857477103         24       347SH                      X    01          150     197
STERICYCLE INC            COM         858912108        399     8,982SH         X                 01        8,982
STERICYCLE INC            COM         858912108         51     1,138SH                      X    01          136   1,002
STILLWATER MNG CO         COM         86074Q102      1,105   100,331SH         X                 01      100,331
STMICROELECTRONICS N V    NY REGISTRY 861012102        994    51,775SH         X                 01       51,775
STMICROELECTRONICS N V    NY REGISTRY 861012102          6       330SH                      X    01                  330
STORA ENSO CORP           SPONADRREPR 86210M106      1,618    86,410SH         X                 01       86,410
STORA ENSO CORP           SPONADRREPR 86210M106        652    34,835SH                      X    01               34,835
STREETTRACKS SER TR       SPDRS&PMTL  86330E646        431     6,896SH         X                 01        6,896
STRYKER CORP              COM         863667101     11,834   187,570SH         X                 01      185,946      36     1,588
STRYKER CORP              COM         863667101        725    11,497SH                      X    01          125  11,372
SUN MICROSYSTEMS INC      COM         866810104        202    38,479SH         X                 01       37,479             1,000
SUN MICROSYSTEMS INC      COM         866810104         46     8,839SH                      X    01          700   8,139
SUN HEALTHCARE GROUP      COM NEW     866933401      2,912   200,965SH         X                 01      200,138               827
SUN HEALTHCARE GROUP      COM NEW     866933401          9       613SH                      X    01                  613
SUNCOR ENERGY INC         COM         867229106        628     6,986SH         X                 01        6,986
SUNCOR ENERGY INC         COM         867229106        462     5,136SH                      X    01        1,000   4,136
SUNOCO INC                COM         86764P109      1,366    17,138SH         X                 01       15,460             1,678
SUNOCO INC                COM         86764P109        154     1,937SH                      X    01                1,937
SUNTRUST BKS INC          COM         867914103      1,641    19,139SH         X                 01       18,627      26       486
SUNTRUST BKS INC          COM         867914103         86     1,005SH                      X    01                  520       485
SUPERIOR ENERGY SVCS      COM         868157108        270     6,769SH         X                 01        6,769
SUPERVALU INC             COM         868536103      4,780   103,190SH         X                 01      101,872      60     1,258
SUPERVALU INC             COM         868536103        142     3,059SH                      X    01          400   1,739       920
SWISSCOM AG               SPON ADR    871013108        142     4,165SH         X                 01        4,165
SWISSCOM AG               SPON ADR    871013108        637    18,685SH                      X    01               18,685
SYCAMORE NETWORKS INC     COM         871206108         90    22,375SH         X                 01       22,375
SYMANTEC CORP             COM         871503108      1,857    91,926SH         X                 01       91,562     167       197
SYMANTEC CORP             COM         871503108         11       557SH                      X    01          200     357
SYNGENTA AG               SPON ADR    87160A100        284     7,300SH         X                 01        7,300
SYNGENTA AG               SPON ADR    87160A100         13       323SH                      X    01                  323
SYNOPSYS INC              COM         871607107     11,294   427,316SH         X                 01      427,316
SYNOVUS FINL CORP         COM         87161C105        520    16,932SH         X                 01       16,762     119        51
SYNOVUS FINL CORP         COM         87161C105        284     9,254SH                      X    01                9,254
SYNTEL INC                COM         87162H103      1,387    45,646SH         X                 01       45,460               186
SYNTROLEUM CORP           COM         871630109      1,170   423,934SH         X                 01      422,185             1,749
SYSCO CORP                COM         871829107      2,428    73,585SH         X                 01       69,037     177     4,371
SYSCO CORP                COM         871829107      1,624    49,214SH                      X    01        2,048  47,166
TECO ENERGY INC           COM         872375100      1,656    96,366SH         X                 01       96,366
TECO ENERGY INC           COM         872375100         10       600SH                      X    01                  600
THQ INC                   COM NEW     872443403      2,402    78,715SH         X                 01       78,394               321
TJX COS INC NEW           COM         872540109      3,092   112,446SH         X                 01      108,252     114     4,080
TJX COS INC NEW           COM         872540109         75     2,740SH                      X    01          800   1,940
TXCO RES INC              COM         87311M102      1,520   147,899SH         X                 01      147,288               611
TXU CORP                  COM         873168108        949    14,108SH         X                 01       14,070                38
TXU CORP                  COM         873168108         44       658SH                      X    01                  658
TAIWAN SEMICONDUCTOR      SPON ADR    874039100        113    10,124SH         X                 01        6,790             3,334
TALEO CORP                CL A        87424N104      3,523   156,357SH         X                 01      155,714               643
TALISMAN ENERGY INC       COM         87425E103        346    17,920SH         X                 01       17,920
TALISMAN ENERGY INC       COM         87425E103        129     6,680SH                      X    01        2,475   4,205
TARGET CORP               COM         87612E106      8,764   137,805SH         X                 01      137,314     152       339
TARGET CORP               COM         87612E106      3,678    57,823SH                      X    01       40,665  17,081        77
TEAM FINANCIAL INC        COM         87815X109        264    17,000SH         X                 01                         17,000
TECHNE CORP               COM         878377100         97     1,689SH         X                 01        1,689
TECHNE CORP               COM         878377100        286     5,000SH                      X    01                5,000
TECHNIP NEW               SPON ADR    878546209        295     3,567SH                      X    01                3,567
TEKELEC                   COM         879101103        236    16,400SH         X                 01       16,400
TELECOM ITALIA S P A      SPONADRSVGS 87927Y201        725    32,935SH                      X    01               32,935
TELECOM CORP NEW ZLAND    SPON ADR    879278208        227     8,132SH         X                 01        8,132
TELECOM CORP NEW ZLAND    SPON ADR    879278208          8       300SH                      X    01          300
TELEFLEX INC              COM         879369106        149     1,824SH         X                 01          824             1,000
TELEFLEX INC              COM         879369106         71       870SH                      X    01                  870
TELEFONICA S A            SPON ADR    879382208        417     6,244SH         X                 01        5,723               521
TELEFONICA S A            SPON ADR    879382208          7       111SH                      X    01                  111
TELEFONOS DE MEXICO       SPON ADR L  879403780        400    10,558SH         X                 01       10,558
TELLABS INC               COM         879664100        395    36,725SH         X                 01       36,595               130
TELLABS INC               COM         879664100         19     1,800SH                      X    01                1,800
TEMPLE INLAND INC         COM         879868107        649    10,543SH         X                 01       10,543
TEMPLE INLAND INC         COM         879868107          7       110SH                      X    01                  110
TELETECH HOLDINGS INC     COM         879939106      3,633   111,891SH         X                 01      111,433               458
TENARIS S A               SPON ADR    88031M109        308     6,290SH         X                 01        4,656             1,634
TENARIS S A               SPON ADR    88031M109         67     1,361SH                      X    01                  476       885
TENNECO INC               COM         880349105      2,121    60,527SH         X                 01       60,277               250
TENNECO INC               COM         880349105         18       520SH                      X    01          197     323
TEVA PHARMACEUTICAL       ADR         881624209      3,813    92,436SH         X                 01       91,293             1,143
TEVA PHARMACEUTICAL       ADR         881624209        615    14,911SH                      X    01       10,230   4,681
TEXAS INSTRS INC          COM         882508104      7,908   210,160SH         X                 01      205,468     802     3,890
TEXAS INSTRS INC          COM         882508104      1,040    27,642SH                      X    01          745  26,897
TEXTRON INC               COM         883203101        352     3,198SH         X                 01        3,198
TEXTRON INC               COM         883203101        116     1,051SH                      X    01                1,051
THERMO FISHER SCNTFIC     COM         883556102     16,937   327,468SH         X                 01      324,570      57     2,841







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
THERMO FISHER SCNTFIC     COM         883556102        174     3,360SH                      X    01                1,825     1,535
THIRD WAVE TECHNOLOGIES   COM         88428W108         18     3,000SH         X                 01        3,000
THIRD WAVE TECHNOLOGIES   COM         88428W108        117    20,000SH                      X    01               20,000
3M CO                     COM         88579Y101     23,173   267,002SH         X                 01      262,422   3,714       866
3M CO                     COM         88579Y101      5,746    66,211SH                      X    01        5,720  56,482     4,009
TIME WARNER INC           COM         887317105     16,089   764,691SH         X                 01      747,260   3,365    14,066
TIME WARNER INC           COM         887317105      1,406    66,819SH                      X    01        3,925  60,869     2,025
TITANIUM METALS CORP      COM NEW     888339207        217     6,800SH         X                 01        6,800
TOMKINS PLC               SPON ADR    890030208          2       100SH         X                 01          100
TOMKINS PLC               SPON ADR    890030208        371    17,842SH                      X    01               17,842
TORCHMARK CORP            COM         891027104        653     9,747SH         X                 01        9,658      39        50
TORCHMARK CORP            COM         891027104         18       271SH                      X    01                  271
TOTAL S A                 SPON ADR    89151E109        221     2,729SH         X                 01        2,400               329
TOTAL S A                 SPON ADR    89151E109        582     7,186SH                      X    01                7,186
TOWER GROUP INC           COM         891777104      1,506    47,200SH         X                 01       47,009               191
TOWER GROUP INC           COM         891777104          7       230SH                      X    01                  230
TOTAL SYS SVCS INC        COM         891906109        207     7,000SH                      X    01                7,000
TOYOTA MOTOR CORP         SPON ADR    892331307        151     1,202SH         X                 01          992               210
TOYOTA MOTOR CORP         SPON ADR    892331307        192     1,527SH                      X    01                1,527
TRANSACT TECHNOLOGIES     COM         892918103        299    50,000SH         X                 01       50,000
TRAVELERS COMPANIES INC   COM         89417E109     12,365   231,130SH         X                 01      230,395               735
TRAVELERS COMPANIES INC   COM         89417E109        151     2,827SH                      X    01                1,958       869
TRIBUNE CO NEW            COM         896047107        255     8,678SH         X                 01        8,678
TRIBUNE CO NEW            COM         896047107          5       155SH                      X    01                  155
TUPPERWARE BRANDS CORP    COM         899896104        208     7,231SH         X                 01        7,231
TUPPERWARE BRANDS CORP    COM         899896104        343    11,946SH                      X    01               11,946
TWEEN BRANDS INC          COM         901166108        309     6,930SH         X                 01        6,930
TWIN DISC INC             COM         901476101        428     5,946SH                      X    01        1,680   4,266
TYCO INTL LTD NEW         COM         902124106      4,013   118,761SH         X                 01      114,373     186     4,202
TYCO INTL LTD NEW         COM         902124106        378    11,186SH                      X    01          844  10,342
TYSON FOODS INC           CL A        902494103      1,300    56,406SH         X                 01       56,406
TYSON FOODS INC           CL A        902494103         48     2,091SH                      X    01                2,091
UGI CORP NEW              COM         902681105        228     8,355SH         X                 01        8,355
UST INC                   COM         902911106      8,502   158,300SH         X                 01      157,037     204     1,059
UST INC                   COM         902911106        170     3,158SH                      X    01        2,000   1,158
US BANCORP DEL            COM NEW     902973304     23,873   724,525SH         X                 01      703,296   4,672    16,557
US BANCORP DEL            COM NEW     902973304      3,979   120,751SH                      X    01       19,488  80,967    20,296
UAP HLDG CORP             COM         903441103      7,995   265,270SH         X                 01      264,655               615
ULTRA PETROLEUM CORP      COM         903914109      2,465    44,618SH         X                 01       44,618
ULTRA PETROLEUM CORP      COM         903914109         70     1,275SH                      X    01                1,275
UNILEVER PLC              SPON ADR    904767704        210     6,501SH         X                 01        5,041             1,460
UNILEVER PLC              SPON ADR    904767704        112     3,480SH                      X    01                2,080     1,400
UNILEVER N V              N Y SHS NEW 904784709        390    12,585SH         X                 01       12,585
UNILEVER N V              N Y SHS NEW 904784709        112     3,605SH                      X    01                3,605
UNION PAC CORP            COM         907818108      2,437    21,164SH         X                 01       18,018   1,816     1,330
UNION PAC CORP            COM         907818108        617     5,360SH                      X    01          725   4,285       350
UNITED PARCEL SERVICE     CL B        911312106      9,143   125,242SH         X                 01      122,039     817     2,386
UNITED PARCEL SERVICE     CL B        911312106        748    10,243SH                      X    01               10,122       121
UNITED STATES STL CORP    COM         912909108        234     2,152SH         X                 01        2,152
UNITED STATES STL CORP    COM         912909108        142     1,305SH                      X    01                1,305
UNITED TECHNOLOGIES       COM         913017109      8,309   117,145SH         X                 01      111,022   2,418     3,705
UNITED TECHNOLOGIES       COM         913017109      3,830    53,998SH                      X    01       16,527  28,881     8,590
UNITED UTILS PLC          SPON ADR    91311Q105          5       188SH         X                 01          188
UNITED UTILS PLC          SPON ADR    91311Q105        425    15,076SH                      X    01               15,076
UNITEDHEALTH GROUP INC    COM         91324P102      5,105    99,832SH         X                 01       99,626     116        90
UNITEDHEALTH GROUP INC    COM         91324P102      1,159    22,665SH                      X    01          550  22,115
UNIVERSAL COMPRESSION     COM         913431102        238     3,290SH         X                 01        3,290
UNIVERSAL HLTH SVCS INC   CL B        913903100        346     5,625SH         X                 01        5,625
UNIVERSAL HLTH SVCS INC   CL B        913903100         20       323SH                      X    01                  323
V F CORP                  COM         918204108      4,628    50,531SH         X                 01       49,716     670       145
V F CORP                  COM         918204108         55       604SH                      X    01                  604
VAIL RESORTS INC          COM         91879Q109      4,536    74,521SH         X                 01       73,570               951
VALERO ENERGY CORP NEW    COM         91913Y100      2,832    38,337SH         X                 01       38,255      44        38
VALERO ENERGY CORP NEW    COM         91913Y100        167     2,258SH                      X    01                2,258
VALSPAR CORP              COM         920355104     10,915   384,180SH         X                 01      382,530             1,650
VAN KAMPEN TR INVT GRD    COM         920929106        454    30,084SH         X                 01       30,084
VAN KAMPEN TR INVT GRD    COM         920929106        498    33,000SH                 X         01               33,000
VAN KAMPEN MUN OPRTY TR   COM         920935103        355    22,992SH         X                 01       22,992
VAN KAMPEN MUN OPRTY TR   COM         920935103        509    33,000SH                 X         01               33,000
VANGUARD BD INDEX FD      SHT TRM BND 921937827      1,949    26,000SH         X                 01       26,000
VANGUARD WHITEHALL FDS    HIGHDIVYLD  921946406        548    10,167SH         X                 01       10,167
VANGUARD WHITEHALL FDS    HIGHDIVYLD  921946406         31       578SH                      X    01                  578
VANGUARD WORLD FDS        HLTHCRE ETF 92204A504        538     8,921SH         X                 01        8,921
VANGUARD WORLD FDS        UTLTES ETF  92204A876        245     2,974SH         X                 01        2,974
VANGUARD INTL EQTY IDX    EMR MKT ETF 922042858        739     8,093SH         X                 01        8,093
VANGUARD INTL EQTY IDX    EMR MKT ETF 922042858        959    10,500SH                      X    01       10,500
VANGUARD INTL EQTY IDX    EURPEAN ETF 922042874      4,498    58,928SH         X                 01       58,928
VANGUARD INTL EQTY IDX    EURPEAN ETF 922042874        204     2,675SH                      X    01          975   1,700
VASCO DATA SEC INTL INC   COM         92230Y104      2,554   112,206SH         X                 01      111,747               459
VECTREN CORP              COM         92240G101        380    14,106SH         X                 01       14,106
VECTREN CORP              COM         92240G101        148     5,480SH                      X    01        5,280     200
VANGUARD INDEX FDS        SMCPVAL ETF 922908611      5,624    75,160SH         X                 01       75,160
VANGUARD INDEX FDS        EXTNDMKTETF 922908652        444     3,964SH         X                 01        3,964
VANGUARD INDEX FDS        EXTNDMKTETF 922908652         91       814SH                      X    01          814
VANGUARD INDEX FDS        VALUE ETF   922908744      1,752    24,366SH         X                 01       24,366
VANGUARD INDEX FDS        STK MRK ETF 922908769      1,463     9,791SH         X                 01        9,791
VANGUARD INDEX FDS        STK MRK ETF 922908769        530     3,550SH                      X    01        3,550
VEOLIA ENVIRONNEMENT      SPON ADR    92334N103        228     2,910SH         X                 01        2,060     850







REPORT PTR289 98                                                                                                      05/07/2006
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
VERIFONE HLDGS INC        COM         92342Y109      3,764   106,780SH         X                 01      106,533               247
VERIZON COMMUNICATIONS    COM         92343V104     41,076   997,727SH         X                 01      984,755   5,862     7,110
VERIZON COMMUNICATIONS    COM         92343V104      3,787    91,990SH                      X    01       27,309  57,562     7,119
VERTEX PHARMACEUTICALS    COM         92532F100        763    26,712SH         X                 01       26,712
VERTEX PHARMACEUTICALS    COM         92532F100          9       305SH                      X    01                  305
VIACOM INC NEW            CL B        92553P201        887    21,307SH         X                 01       21,307
VIACOM INC NEW            CL B        92553P201        229     5,499SH                      X    01          658   4,466       375
VISHAY INTERTECHNOLOGY    COM         928298108        230    14,548SH         X                 01       14,548
VODAFONE GROUP PLC NEW    SPONS ADR   92857W209        884    26,274SH         X                 01       25,125     312       837
VODAFONE GROUP PLC NEW    SPONS ADR   92857W209        938    27,879SH                      X    01               27,879
VOLCOM INC                COM         92864N101      3,591    71,638SH         X                 01       71,344               294
VOLCANO CORPORATION       COM         928645100      2,055   101,696SH         X                 01      101,278               418
VORNADO RLTY TR           SH BEN INT  929042109      1,511    13,759SH         X                 01       13,634      25       100
VORNADO RLTY TR           SH BEN INT  929042109        411     3,745SH                      X    01                3,745
VULCAN MATLS CO           COM         929160109        389     3,397SH         X                 01        3,397
VULCAN MATLS CO           COM         929160109         64       558SH                      X    01                  558
WACHOVIA CORP NEW         COM         929903102     18,225   355,613SH         X                 01      352,099     651     2,863
WACHOVIA CORP NEW         COM         929903102      1,791    34,944SH                      X    01       12,990  21,179       775
WACOAL HOLDINGS CORP      ADR         930004205        285     4,671SH                      X    01                4,671
WAL MART STORES INC       COM         931142103     20,169   419,222SH         X                 01      394,913  15,152     9,157
WAL MART STORES INC       COM         931142103      3,822    79,451SH                      X    01        4,150  73,354     1,947
WALGREEN CO               COM         931422109     24,381   559,964SH         X                 01      538,489  11,142    10,333
WALGREEN CO               COM         931422109      8,891   204,211SH                      X    01       36,350 138,534    29,327
WASHINGTON MUT INC        COM         939322103     15,151   355,322SH         X                 01      349,521     758     5,043
WASHINGTON MUT INC        COM         939322103        381     8,937SH                      X    01          378   7,539     1,020
WASTE MGMT INC DEL        COM         94106L109     15,157   388,139SH         X                 01      379,480   2,530     6,129
WASTE MGMT INC DEL        COM         94106L109      1,351    34,602SH                      X    01        2,500  30,972     1,130
WATERS CORP               COM         941848103      1,265    21,310SH         X                 01       21,310
WATERS CORP               COM         941848103         11       189SH                      X    01                  189
WAUSAU PAPER CORP         COM         943315101      1,512   112,863SH         X                 01      112,863
WAUSAU PAPER CORP         COM         943315101      1,484   110,766SH                      X    01       57,693  51,253     1,820
WAUWATOSA HLDGS INC       COM         94348P108     12,477   754,374SH         X                 01        1,500           752,874
WEINGARTEN RLTY INVS      SH BEN INT  948741103        108     2,634SH         X                 01        2,634
WEINGARTEN RLTY INVS      SH BEN INT  948741103        645    15,699SH                      X    01               15,699
WELLPOINT INC             COM         94973V107     10,673   133,696SH         X                 01      132,694      54       948
WELLPOINT INC             COM         94973V107        333     4,174SH                      X    01                4,174
WELLS FARGO & CO NEW      COM         949746101     30,793   875,557SH         X                 01      859,832   3,635    12,090
WELLS FARGO & CO NEW      COM         949746101      4,039   114,856SH                      X    01       31,697  81,159     2,000
WENDYS INTL INC           COM         950590109        291     7,910SH         X                 01        7,910
WENDYS INTL INC           COM         950590109         11       291SH                      X    01          200      91
WESTAR ENERGY INC         COM         95709T100        230     9,463SH         X                 01        9,463
WESTAR ENERGY INC         COM         95709T100         17       704SH                      X    01                  704
WESTERN ASSET GLBL HIGH   COM         95766B109        265    20,000SH         X                 01       20,000
WESTERN ASST/CLAY US TR   COM         95766R104        191    16,592SH         X                 01       16,592
WESTERN REFNG INC         COM         959319104        407     7,040SH         X                 01                          7,040
WESTERN UN CO             COM         959802109      1,014    48,661SH         X                 01       48,152               509
WESTERN UN CO             COM         959802109         97     4,641SH                      X    01        3,475   1,166
WET SEAL INC              CL A        961840105      2,892   481,230SH         X                 01      479,256             1,974
WEYCO GROUP INC           COM         962149100        145     5,400SH         X                 01        5,400
WEYCO GROUP INC           COM         962149100        560    20,798SH                      X    01               10,466    10,332
WEYERHAEUSER CO           COM         962166104     13,120   166,220SH         X                 01      161,645   3,095     1,480
WEYERHAEUSER CO           COM         962166104      1,702    21,565SH                      X    01        7,654  13,911
WHIRLPOOL CORP            COM         963320106      6,151    55,316SH         X                 01       51,316             4,000
WHIRLPOOL CORP            COM         963320106        228     2,051SH                      X    01                2,051
WILLIAMS COS INC DEL      COM         969457100        846    26,757SH         X                 01       26,628     129
WILLIAMS COS INC DEL      COM         969457100        186     5,889SH                      X    01        1,000   4,889
WINDSTREAM CORP           COM         97381W104     11,277   764,052SH         X                 01      760,322     885     2,845
WINDSTREAM CORP           COM         97381W104        221    14,959SH                      X    01               14,959
WISCONSIN ENERGY CORP     COM         976657106      5,942   134,344SH         X                 01      131,383   2,176       785
WISCONSIN ENERGY CORP     COM         976657106      1,499    33,884SH                      X    01        3,464  27,108     3,312
WISDOMTREE TRUST          LRGECP DVD  97717W307        337     5,584SH         X                 01        5,584
WOODWARD GOVERNOR CO      COM         980745103        756    14,089SH         X                 01       14,089
WOODWARD GOVERNOR CO      COM         980745103         16       300SH                      X    01          119     181
WRIGHT MED GROUP INC      COM         98235T107      2,900   120,221SH         X                 01      119,728               493
WRIGHT MED GROUP INC      COM         98235T107         27     1,120SH                      X    01                1,120
WRIGLEY WM JR CO          COM         982526105        425     7,677SH         X                 01        7,612      37        28
WRIGLEY WM JR CO          COM         982526105      1,687    30,500SH                      X    01        1,100  15,900    13,500
WYETH                     COM         983024100     11,203   195,370SH         X                 01      193,212   1,821       337
WYETH                     COM         983024100      3,336    58,174SH                      X    01        7,675  50,099       400
XTO ENERGY INC            COM         98385X106      3,086    51,341SH         X                 01       51,341
XTO ENERGY INC            COM         98385X106        515     8,562SH                      X    01                8,562
XCEL ENERGY INC           COM         98389B100      2,527   123,448SH         X                 01      121,460   1,174       814
XCEL ENERGY INC           COM         98389B100        165     8,063SH                      X    01                8,063
XILINX INC                COM         983919101        342    12,785SH         X                 01       12,785
XILINX INC                COM         983919101          5       178SH                      X    01                  178
XEROX CORP                COM         984121103     10,966   593,383SH         X                 01      593,383
XEROX CORP                COM         984121103         32     1,726SH                      X    01                1,726
YRC WORLDWIDE INC         COM         984249102        198     5,385SH         X                 01        5,385
YRC WORLDWIDE INC         COM         984249102          4        98SH                      X    01                   98
YAHOO INC                 COM         984332106      1,573    57,989SH         X                 01       57,426     123       440
YAHOO INC                 COM         984332106        279    10,290SH                      X    01        7,875   2,415
YAMANA GOLD INC           COM         98462Y100        121    10,850SH                      X    01               10,850
YUM BRANDS INC            COM         988498101      1,195    36,530SH         X                 01       36,422     108
YUM BRANDS INC            COM         988498101        234     7,158SH                      X    01          600   6,558
ZIMMER HLDGS INC          COM         98956P102      1,979    23,314SH         X                 01       22,916     305        93
ZIMMER HLDGS INC          COM         98956P102        488     5,745SH                      X    01          300   5,445
ZIONS BANCORPORATION      COM         989701107      9,381   121,974SH         X                 01      121,949                25
ZIONS BANCORPORATION      COM         989701107         61       790SH                      X    01                  790
ZOLTEK COS INC            COM         98975W104      1,127    27,143SH         X                 01       27,143
ZOLTEK COS INC            COM         98975W104     11,070   266,553SH                      X    01              266,553




REPORT PTR289 9W                                                                                                      05/07/2006
                                                    M&I INVESTMENT MANAGEMENT CORP.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
XL CAP LTD                CL A        G98255105        233     2,760SH         X                 05        2,760
AT&T INC                  COM         00206R102        468    11,272SH         X                 05       11,272
ABBOTT LABS               COM         002824100        267     4,995SH         X                 05        4,995
ALTRIA GROUP INC          COM         02209S103        227     3,230SH         X                 05        3,230
AMEREN CORP               COM         023608102        419     8,550SH         X                 05        8,550
AMERICAN INTL GROUP INC   COM         026874107        269     3,840SH         X                 05        3,840
APACHE CORP               COM         037411105        227     2,783SH         X                 05        2,783
APARTMNT INVT & MGMT CO   CL A        03748R101        298     5,915SH         X                 05        5,915
APPLIED MATLS INC         COM         038222105        292    14,690SH         X                 05       14,690
ARCHSTONE SMITH TR        COM         039583109        204     3,450SH         X                 05        3,450
BANK OF AMERICA CORP      COM         060505104        532    10,880SH         X                 05       10,880
BOEING CO                 COM         097023105        290     3,020SH         X                 05        3,020
BRISTOL MYERS SQUIBB CO   COM         110122108        484    15,325SH         X                 05       15,325
CHEVRON CORP NEW          COM         166764100      1,058    12,555SH         X                 05       12,555
CISCO SYS INC             COM         17275R102        480    17,238SH         X                 05       17,238
CITIGROUP INC             COM         172967101        867    16,905SH         X                 05       16,905
CITIZENS COMMUNICATIONS   COM         17453B101        413    27,055SH         X                 05       27,055
COCA COLA CO              COM         191216100        520     9,950SH         X                 05        9,950
COMCAST CORP NEW          CL A        20030N101        268     9,530SH         X                 05        9,530
COMERICA INC              COM         200340107        206     3,460SH         X                 05        3,460
CONOCOPHILLIPS            COM         20825C104        560     7,140SH         X                 05        7,140
CONSOLIDATED EDISON INC   COM         209115104        526    11,650SH         X                 05       11,650
DTE ENERGY CO             COM         233331107        242     5,015SH         X                 05        5,015
DELL INC                  COM         24702R101        419    14,690SH         X                 05       14,690
DONNELLEY R R & SONS CO   COM         257867101        268     6,160SH         X                 05        6,160
DOW CHEM CO               COM         260543103        463    10,475SH         X                 05       10,475
EQUITY RESIDENTIAL        SH BEN INT  29476L107        286     6,260SH         X                 05        6,260
EXXON MOBIL CORP          COM         30231G102        484     5,770SH         X                 05        5,770
FIFTH THIRD BANCORP       COM         316773100        202     5,085SH         X                 05        5,085
FIRST HORIZON NATL CORP   COM         320517105        223     5,730SH         X                 05        5,730
GENERAL ELECTRIC CO       COM         369604103      1,109    28,980SH         X                 05       28,980
HEINZ H J CO              COM         423074103        253     5,325SH         X                 05        5,325
INT'L BUSINESS MACHS      COM         459200101        256     2,430SH         X                 05        2,430
ISHARES TR                MSCIEAFEIDX 464287465        251     3,109SH         X                 05        3,109
ISHARES TR                RUSLMCPGR   464287481      4,960    43,550SH         X                 05       43,550
ISHARES TR                RUSL2000GR  464287648      6,404    74,600SH         X                 05       74,600
JOHNSON & JOHNSON         COM         478160104        330     5,350SH         X                 05        5,350
JOHNSON CTLS INC          COM         478366107        332     2,865SH         X                 05        2,865
KELLOGG CO                COM         487836108        261     5,045SH         X                 05        5,045
LAUDER ESTEE COS INC      CL A        518439104        208     4,560SH         X                 05        4,560
LILLY ELI & CO            COM         532457108        351     6,285SH         X                 05        6,285
LOCKHEED MARTIN CORP      COM         539830109        289     3,070SH         X                 05        3,070
MASCO CORP                COM         574599106        205     7,190SH         X                 05        7,190
MERCK & CO INC            COM         589331107        293     5,890SH         X                 05        5,890
MICROSOFT CORP            COM         594918104        429    14,541SH         X                 05       14,541
NATIONAL CITY CORP        COM         635405103        409    12,270SH         X                 05       12,270
OCULUS INNOVTV SCIENCES   COM         67575P108        194    23,750SH         X                 05       23,750
PFIZER INC                COM         717081103        650    25,415SH         X                 05       25,415
PITNEY BOWES INC          COM         724479100        271     5,780SH         X                 05        5,780
PLUM CREEK TIMBER CO      COM         729251108        436    10,460SH         X                 05       10,460
PROCTER & GAMBLE CO       COM         742718109        285     4,660SH         X                 05        4,660
PROGRESS ENERGY INC       COM         743263105        556    12,200SH         X                 05       12,200
PROGRESSIVE CORP OHIO     COM         743315103        353    14,780SH         X                 05       14,780
QUALCOMM INC              COM         747525103        219     5,040SH         X                 05        5,040
SANMINA SCI CORP COM      COM         800907107         58    18,455SH         X                 05       18,455
SIMON PPTY GROUP INC      COM         828806109        214     2,295SH         X                 05        2,295
SOLECTRON CORP COM        COM         834182107         71    19,380SH         X                 05       19,380
SOUTHERN CO               COM         842587107        348    10,145SH         X                 05       10,145
TIME WARNER INC           COM         887317105        316    15,010SH         X                 05       15,010
US BANCORP DEL            COM NEW     902973304        515    15,640SH         X                 05       15,640
VERIZON COMMUNICATIONS    COM         92343V104        641    15,570SH         X                 05       15,570
WACHOVIA CORP NEW         COM         929903102        508     9,915SH         X                 05        9,915
WAL MART STORES INC       COM         931142103        200     4,160SH         X                 05        4,160
WASHINGTON MUT INC        COM         939322103        527    12,370SH         X                 05       12,370
WEYERHAEUSER CO           COM         962166104        373     4,720SH         X                 05        4,720
WINDSTREAM CORP           COM         97381W104        363    24,560SH         X                 05       24,560






REPORT PTR289 9N                                                                                                      05/07/2006
                                                        NORTH STAR TRUST COMPANY
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 06/30/2007

- - - - COLUMN 1 - - - -COLUMN 2 - - -COLUMN 3 - COLUMN 4 - COLUMN 5 - - - - - COLUMN 6 - - - COLUMN 7 - - - - - COLUMN 8 - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                  INVESTMENT
                                                                                  DISCRETION                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)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                 
Aflac Inc                 Equity      001055102        915    17,800SH        15,600  2,200   0    10     14,825     200     2,775
AT&T Inc                  Equity      00206R102      2,788    67,179SH        52,428 14,751   0    10     59,453       0     7,726
Abbott Laboratories       Equity      002824100        979    18,275SH        16,275  2,000   0    10     16,925     150     1,200
Alliant Energy Corp       Equity      018802108        973    25,050SH        19,600  5,450   0    10     20,200     300     4,550
American Express Co       Equity      025816109        323     5,284SH         5,014    270   0    10      4,964     100       220
Amgen Inc                 Equity      031162100        953    17,240SH        15,200  2,040   0    10     14,975      50     2,215
Anheuser Busch Cos Inc    Equity      035229103      1,134    21,750SH        19,400  2,350   0    10     18,375       0     3,375
Apache Corp               Equity      037411105      1,326    16,250SH        13,450  2,800   0    10     14,400       0     1,850
BP PLC ADR                Equity      055622104      1,377    19,086SH        16,098  2,988   0    10     15,163       0     3,923
Bankamerica Corp          Equity      060505104      1,394    28,511SH        24,937  3,574   0    10     25,211     400     2,900
Baxter Intrntional Inc    Equity      071813109        207     3,667SH         3,075    592   0    10      3,542       0       125
Bemis Company             Equity      081437105        451    13,600SH        10,700  2,900   0    10      9,450       0     4,150
BHP Billiton Ltd ADR      Equity      088606108      2,309    38,650SH        35,000  3,650   0    10     33,100       0     5,550
Bristol Myers Squibb Co   Equity      110122108      1,192    37,765SH        33,265  4,500   0    10     31,665       0     6,100
Chevron Corp              Equity      166764100        596     7,079SH         5,251  1,828   0    10      6,404     500       175
Cisco Systems Inc         Equity      17275R102      1,537    55,190SH        51,090  4,100   0    10     41,940       0    13,250
Coca Cola Co              Equity      191216100      1,149    21,974SH        18,724  3,250   0    10     15,574       0     6,400
ConocoPhilips             Equity      20825C104      2,388    30,416SH        26,998  3,418   0    10     25,988       0     4,428
Danaher Corp              Equity      235851102      1,498    19,845SH        17,320  2,525   0    10     17,345     150     2,350
DENTSPLY Intrntionl Inc   Equity      249030107        879    22,975SH        21,025  1,950   0    10     16,550       0     6,425
duPont EI de Nemours&Co   Equity      263534109        764    15,020SH        11,570  3,450   0    10     12,045     300     2,675
Duke Energy Hldng Corp    Equity      26441C105        288    15,738SH        14,025  1,713   0    10     14,738       0     1,000
Emerson Electric Co       Equity      291011104      1,544    32,985SH        27,925  5,060   0    10     27,800     150     5,035
Exelon Corp               Equity      30161N101        830    11,432SH         8,206  3,226   0    10     10,792       0       640
Exxon Mobil Corp          Equity      30231G102      3,017    35,970SH        29,695  6,275   0    10     32,270     400     3,300
General Electric Co       Equity      369604103      2,293    59,905SH        49,610 10,295   0    10     49,110     750    10,045
Gilead Sciences Inc       Equity      375558103      1,616    41,650SH        36,600  5,050   0    10     36,950     100     4,600
Granite Constrction Inc   Equity      387328107        587     9,150SH         7,900  1,250   0    10      8,300       0       850
Hewlett-Packard Co        Equity      428236103      2,608    58,456SH        51,500  6,956   0    10     50,816     200     7,440
Home Depot Inc            Equity      437076102        236     6,000SH         4,600  1,400   0    10      1,400     100     4,500
Illinois Tool Works Inc   Equity      452308109        361     6,660SH         5,740    920   0    10      6,540       0       120
IBM Corp                  Equity      459200101        376     3,570SH         2,195  1,375   0    10      2,545     150       875
JP Morgan Chase & Co      Equity      46625H100        217     4,484SH         4,484      0   0    10      3,511       0       973
Johnson & Johnson         Equity      478160104        994    16,127SH        12,477  3,650   0    10     14,152     200     1,775
Kellogg Company           Equity      487836108      2,164    41,790SH        37,290  4,500   0    10     35,990     450     5,350
Kimberly-Clark Corp       Equity      494368103        911    13,625SH        10,775  2,850   0    10     11,625     300     1,700
Kohl's Corp               Equity      500255104        359     5,050SH         4,100    950   0    10      3,700     300     1,050
L-3 Communictions Hldgs   Equity      502424104      2,486    25,525SH        22,875  2,650   0    10     21,525      75     3,925
Lincoln National Corp     Equity      534187109        285     4,022SH         4,022      0   0    10      1,226       0     2,796
Lockheed Martin Corp      Equity      539830109        258     2,736SH         1,750    986   0    10      2,236     200       300
Lubrizol Corp             Equity      549271104        888    13,750SH        11,450  2,300   0    10     12,425       0     1,325
ManuLife Financial Corp   Equity      56501R106        278     7,448SH         7,448      0   0    10      7,448       0         0
Marshall & Ilsley Corp    Equity      571834100        413     8,666SH         8,666      0   0    10      8,666       0         0
McGrath RentCorp          Equity      580589109     20,819   617,949SH       617,949      0   0    10    617,949       0         0
Medtronic Inc             Equity      585055106      1,383    26,670SH        21,045  5,625   0    10     23,970     350     2,350
Merck & Co Inc            Equity      589331107      1,220    24,500SH        20,400  4,100   0    10     18,050       0     6,450
Microsoft Corp            Equity      594918104        357    12,100SH        11,500    600   0    10      2,550     400     9,150
Midwest Banc Hldngs Inc   Equity      598251106        524    36,117SH        36,117      0   0    10     36,117       0         0
Morgan Stanley            Equity      617446448        648     7,724SH         7,374    350   0    10      6,424      50     1,250
Newell Rubbermaid Inc     Equity      651229106      1,448    49,200SH        44,450  4,750   0    10     41,650       0     7,550
Newmont Mining Corp       Equity      651639106        498    12,750SH         9,500  3,250   0    10     10,025       0     2,725
Omnicom Group Inc         Equity      681919106        934    17,650SH        15,900  1,750   0    10     15,050       0     2,600
Pepsico Co                Equity      713448108      2,025    31,222SH        25,587  5,635   0    10     26,022     300     4,900
Pfizer Inc                Equity      717081103        618    24,168SH        21,938  2,230   0    10     21,993     100     2,075
Procter & Gamble Co       Equity      742718109      1,634    26,707SH        22,180  4,527   0    10     22,409     450     3,848
Prudential Financl Inc    Equity      744320102        645     6,633SH         4,372  2,261   0    10      6,633       0         0
Royal Dutch Shell ADR     CLASS A     780259206        231     2,850SH         2,850      0   0    10        950       0     1,900
Safeway Inc               Equity      786514208      1,299    38,175SH        34,425  3,750   0    10     33,250       0     4,925
Schering Plough Corp      Equity      806605101        479    15,750SH        14,550  1,200   0    10     12,950       0     2,800
Schlumberger Ltd          Equity      806857108      2,669    31,425SH        28,325  3,100   0    10     27,525       0     3,900
Snap-On Inc               Equity      833034101        795    15,731SH        14,256  1,475   0    10     14,781     100       850
Sonoco Products Company   Equity      835495102        787    18,390SH        15,640  2,750   0    10     16,840     500     1,050
Stericycle Inc            Equity      858912108        441     9,925SH         9,225    700   0    10      7,800       0     2,125
Stryker Corp              Equity      863667101      1,438    22,800SH        20,700  2,100   0    10     19,375       0     3,425
Superior Bancorp          Equity      86806M106      4,097   400,498SH       400,498      0   0    10    400,498       0         0
Target Corp               Equity      87612E106        952    14,965SH        13,265  1,700   0    10     13,390     350     1,225
3M Company                Equity      88579Y101        577     6,645SH         5,845    800   0    10      5,320     200     1,125
United Technlgies Corp    Equity      913017109      2,313    32,605SH        28,355  4,250   0    10     29,280     300     3,025
Valero Energy Corp        Equity      91913Y100      1,173    15,875SH        14,325  1,550   0    10     11,850       0     4,025
Verizon Communications    Equity      92343V104      1,409    34,224SH        29,571  4,653   0    10     29,114     100     5,010
Walgreen Co               Equity      931422109      3,159    72,557SH        63,307  9,250   0    10     46,865     400    25,292
Wells Fargo & Co          Equity      949746101        723    20,565SH        18,615  1,950   0    10     17,665     800     2,100
Wyeth                     Equity      983024100      1,491    26,000SH        23,400  2,600   0    10     21,275     350     4,375