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

                             Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   12/31/2007

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:     Sr. Vice President
Phone:     414-765-7809

Signature, Place, and Date of Signing:

  /s/ Jeffrey O. Himstreet         Milwaukee, WI      02/05/2008
_____________________________    ________________    ____________
       [Signature]                 [City, State]        [Date]

Report Type (Check only one.):

[X]   13F HOLDINGS REPORT.  (Check here if all holdings of this reporting
      manager are reported in this report.)

[ ]   13F NOTICE.  (Check here if no holdings reported are in this report,
      and all holdings are reported by other reporting manager(s).)

[ ]   13F COMBINATION REPORT.  (Check here if a portion of the holdings for
      this reporting manager are reported in this report and a portion are
      reported by other reporting manager(s).)

                                Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    3

Form 13F Information Table Entry Total:               1,957

Form 13F Information Table Value Total:             $ 5,497,693
                                                    (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.

    03         28-12568         North Star Trust Company




REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
1ST SOURCE CORP         COM        336901103          6         357  SH       X             01          357
1ST SOURCE CORP         COM        336901103        623      35,963  SH               X     01                  35,963
3M CO                   COM        88579Y101     23,779     282,003  SH       X             01      277,823      3,629        551
3M CO                   COM        88579Y101      5,531      65,592  SH               X     01        5,630     54,242      5,720
AAR CORP                COM        000361105        864      22,713  SH       X             01       22,713
ABB LTD                 SPONS ADR  000375204      4,203     145,949  SH       X             01      138,954                 6,995
ABB LTD                 SPONS ADR  000375204        890      30,913  SH               X     01        3,010      3,791     24,112
ABBOTT LABS             COM        002824100     22,101     393,607  SH       X             01      369,288     18,826      5,493
ABBOTT LABS             COM        002824100      6,642     118,284  SH               X     01       18,590     83,294     16,400
ABERCROMBIE & FITCH C   CL A       002896207        792       9,899  SH       X             01        9,899
ABERCROMBIE & FITCH C   CL A       002896207          2          22  SH               X     01                      22
ACACIA RESH CORP        COM        003881307      2,120     236,110  SH       X             01      236,110
ACCENTURE LTD BERMUDA   CL A       G1150G111      1,705      47,324  SH       X             01       45,524                 1,800
ACCENTURE LTD BERMUDA   CL A       G1150G111        446      12,371  SH               X     01          675      8,330      3,366
ACCO BRANDS CORP        COM        00081T108        494      30,818  SH       X             01       30,818
ACE LTD                 ORD        G0070K103      9,843     159,326  SH       X             01      159,225                   101
ACE LTD                 ORD        G0070K103         88       1,421  SH               X     01                   1,421
ACTIVISION INC NEW      COM NEW    004930202      3,249     109,398  SH       X             01      108,808                   590
ACTIVISION INC NEW      COM NEW    004930202          3         111  SH               X     01                     111
ACTUANT CORP            CL A NEW   00508X203        224       6,600  SH       X             01        6,600
ACUITY BRANDS INC       COM        00508Y102        299       6,651  SH       X             01        5,876                   775
ACUITY BRANDS INC       COM        00508Y102         41         900  SH               X     01                     900
ADOBE SYS INC           COM        00724F101      7,674     179,601  SH       X             01      179,015        130        456
ADOBE SYS INC           COM        00724F101         16         374  SH               X     01                     374
ADVANTAGE ENERGY INCO   COM        00762L101        212      24,010  SH       X             01       24,010
ADVISORY BRD CO         COM        00762W107      3,972      61,881  SH       X             01       61,881
AECOM TECHNOLOGY CORP   COM        00766T100      2,700      94,516  SH       X             01       94,516
AEGON N V               ORDAMERREG 007924103        419      23,923  SH       X             01       23,581                   342
AEGON N V               ORDAMERREG 007924103        596      33,989  SH               X     01                  19,752     14,237
AES CORP                COM        00130H105        761      35,597  SH       X             01       34,663        251        683
AES CORP                COM        00130H105         62       2,908  SH               X     01        1,543      1,164        201
AETNA INC NEW           COM        00817Y108      1,084      18,783  SH       X             01       17,834         80        869
AETNA INC NEW           COM        00817Y108        578      10,017  SH               X     01                  10,017
AFC ENTERPRISES INC     COM        00104Q107        148      13,050  SH       X             01       13,050
AFLAC INC               COM        001055102     15,754     251,538  SH       X             01      246,004      2,763      2,771
AFLAC INC               COM        001055102      1,081      17,263  SH               X     01        2,150     14,094      1,019
AGRIUM INC              COM        008916108      3,063      42,412  SH       X             01       42,412
AIR PRODS & CHEMS INC   COM        009158106     14,650     148,538  SH       X             01      141,365      2,733      4,440
AIR PRODS & CHEMS INC   COM        009158106      1,991      20,186  SH               X     01       10,200      9,986
AIRGAS INC              COM        009363102        494       9,488  SH       X             01        9,378                   110
AK STL HLDG CORP        COM        001547108        236       5,114  SH       X             01        5,114
AK STL HLDG CORP        COM        001547108         35         760  SH               X     01                     760
AKAMAI TECHNOLOGIES I   COM        00971T101      7,065     204,196  SH       X             01      203,001      1,030        165
AKAMAI TECHNOLOGIES I   COM        00971T101         54       1,549  SH               X     01           75      1,262        212
ALBANY INTL CORP        CL A       012348108        298       8,021  SH       X             01        8,021
ALBANY INTL CORP        CL A       012348108         39       1,040  SH               X     01                              1,040
ALCATEL-LUCENT          SPONS ADR  013904305        228      31,212  SH       X             01       31,212
ALCATEL-LUCENT          SPONS ADR  013904305        537      73,347  SH               X     01                  70,587      2,760
ALCOA INC               COM        013817101      4,533     124,020  SH       X             01      120,733      2,814        473
ALCOA INC               COM        013817101      1,688      46,196  SH               X     01       21,575     24,621
ALCON INC               COM SHS    H01301102      1,503      10,509  SH       X             01       10,079        430
ALCON INC               COM SHS    H01301102        147       1,025  SH               X     01        1,025
ALEXION PHARMACEUTICA   COM        015351109      5,569      74,220  SH       X             01       74,220
ALLEGHENY ENERGY INC    COM        017361106      1,076      16,909  SH       X             01       16,613        109        187
ALLEGHENY ENERGY INC    COM        017361106         34         527  SH               X     01                     527
ALLEGHENY TECHNOLOGIE   COM        01741R102        644       7,450  SH       X             01        7,405                    45
ALLEGHENY TECHNOLOGIE   COM        01741R102         18         213  SH               X     01                      21        192
ALLERGAN INC            COM        018490102      5,558      86,524  SH       X             01       84,351                 2,173
ALLERGAN INC            COM        018490102        553       8,602  SH               X     01          949      1,461      6,192
ALLETE INC              COM NEW    018522300        317       8,000  SH       X             01        8,000
ALLETE INC              COM NEW    018522300         19         486  SH               X     01                     486
ALLIANCEBRNSTN HOLDIN   UNITLTDPRT 01881G106         45         596  SH       X             01          596
ALLIANCEBRNSTN HOLDIN   UNITLTDPRT 01881G106        467       6,200  SH               X     01                   6,200
ALLIANT ENERGY CORP     COM        018802108      2,697      66,275  SH       X             01       64,728      1,397        150
ALLIANT ENERGY CORP     COM        018802108        301       7,393  SH               X     01        1,076      6,117        200
ALLIANT TECHSYSTEMS I   COM        018804104     12,401     109,012  SH       X             01      108,967                    45
ALLIANT TECHSYSTEMS I   COM        018804104         10          85  SH               X     01                                 85
ALLIANZ SE              SP ADR     018805101        149       7,023  SH       X             01        6,652                   371
ALLIANZ SE              SP ADR     018805101        280      13,172  SH               X     01                   9,255      3,917
ALLIED IRISH BKS P L    SPON ADR   019228402          5         100  SH       X             01          100
ALLIED IRISH BKS P L    SPONS ADR  019228402        196       4,275  SH               X     01                   4,275
ALLSTATE CORP           COM        020002101      2,416      46,266  SH       X             01       46,028         65        173
ALLSTATE CORP           COM        020002101        599      11,459  SH               X     01          662     10,797
ALTERA CORP             COM        021441100        431      22,296  SH       X             01       22,130                   166
ALTERA CORP             COM        021441100        125       6,479  SH               X     01                     515      5,964
ALTRIA GROUP INC        COM        02209S103     52,410     693,431  SH       X             01      679,259      8,442      5,730
ALTRIA GROUP INC        COM        02209S103     17,643     233,440  SH               X     01       11,160    209,680     12,600
ALUMINA LTD             SPONS ADR  022205108        452      20,484  SH               X     01                  20,484
AMAZON COM INC          COM        023135106      5,615      60,608  SH       X             01       60,608
AMAZON COM INC          COM        023135106         33         351  SH               X     01                     126        225
AMEREN CORP             COM        023608102      9,087     167,627  SH       X             01      165,708        584      1,335
AMEREN CORP             COM        023608102        387       7,133  SH               X     01          200      6,933
AMERICA MOVIL SAB       SPON ADR   02364W105      1,189      19,362  SH       X             01       16,391                 2,971
AMERICA MOVIL SAB       SPON ADR   02364W105      1,050      17,098  SH               X     01        1,465      5,818      9,815
AMERICAN CAPITAL STRA   COM        024937104        803      24,372  SH       X             01       23,452        920
AMERICAN CAPITAL STRA   COM        024937104         54       1,640  SH               X     01        1,640
AMERICAN EAGLE OUTFIT   COM        02553E106      1,926      92,730  SH       X             01       92,215                   515
AMERICAN EAGLE OUTFIT   COM        02553E106          2         120  SH               X     01                     120
AMERICAN ELEC PWR INC   COM        025537101      2,491      53,502  SH       X             01       52,980        115        407





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
AMERICAN ELEC PWR INC   COM        025537101        104       2,224  SH               X     01          582      1,642
AMERICAN EXPRESS CO     COM        025816109      8,316     159,865  SH       X             01      155,205      2,522      2,138
AMERICAN EXPRESS CO     COM        025816109      1,759      33,805  SH               X     01       18,975     14,730        100
AMERICAN INTL GROUP     COM        026874107     24,059     412,674  SH       X             01      399,116      7,130      6,428
AMERICAN INTL GROUP     COM        026874107      2,337      40,091  SH               X     01        2,474     37,217        400
AMERICAN NATL INS CO    COM        028591105        309       2,550  SH       X             01        2,550
AMERICAN SUPERCONDUCT   COM        030111108      2,491      91,113  SH       X             01       91,113
AMERICAN TECHNOLOGY     COM NEW    030145205         25      10,000  SH               X     01                  10,000
AMERICAN TOWER CORP     CL A       029912201      3,181      74,662  SH       X             01       74,662
AMERICAN TOWER CORP     CL A       029912201        129       3,037  SH               X     01                   3,037
AMERIPRISE FINL INC     COM        03076C106      4,165      75,577  SH       X             01       75,394                   183
AMERIPRISE FINL INC     COM        03076C106        182       3,301  SH               X     01          335      2,416        550
AMERISOURCEBERGEN COR   COM        03073E105      8,971     199,927  SH       X             01      199,635                   292
AMERISOURCEBERGEN COR   COM        03073E105         30         676  SH               X     01                     676
AMERON INTL INC         COM        030710107      4,921      53,402  SH       X             01       53,402
AMETEK INC NEW          COM        031100100        212       4,519  SH       X             01        4,249                   270
AMETEK INC NEW          COM        031100100         52       1,102  SH               X     01                     902        200
AMGEN INC               COM        031162100      5,189     111,732  SH       X             01      108,296      2,169      1,267
AMGEN INC               COM        031162100        629      13,555  SH               X     01          300     12,655        600
AMPHENOL CORP NEW       CL A       032095101      3,455      74,504  SH       X             01       74,189                   315
AMPHENOL CORP NEW       CL A       032095101         69       1,489  SH               X     01                   1,264        225
ANADARKO PETE CORP      COM        032511107      1,578      24,018  SH       X             01       23,609         60        349
ANADARKO PETE CORP      COM        032511107        603       9,177  SH               X     01                   6,522      2,655
ANALOG DEVICES INC      COM        032654105        610      19,239  SH       X             01       18,989                   250
ANALOG DEVICES INC      COM        032654105         16         496  SH               X     01                     496
ANCHOR BANCORP WIS INC  COM        032839102        399      16,974  SH       X             01       16,974
ANCHOR BANCORP WIS INC  COM        032839102        501      21,280  SH               X     01                  21,280
ANGLO AMERN PLC         ADR NEW    03485P201         25         833  SH       X             01          833
ANGLO AMERN PLC         ADR NEW    03485P201        282       9,275  SH               X     01                   9,275
ANGLOGOLD ASHANTI LTD   SPONS ADR  035128206          9         200  SH       X             01          200
ANGLOGOLD ASHANTI LTD   SPONS ADR  035128206        623      14,562  SH               X     01                  14,562
ANHEUSER BUSCH COS INC  COM        035229103      6,557     125,280  SH       X             01      119,730      4,073      1,477
ANHEUSER BUSCH COS INC  COM        035229103      4,675      89,325  SH               X     01       27,832     61,493
ANSYS INC               COM        03662Q105      6,115     147,480  SH       X             01      147,250                   230
ANTHRACITE CAP INC      COM        037023108         80      11,050  SH       X             01       11,050
AON CORP                COM        037389103      9,927     208,151  SH       X             01      208,151
AON CORP                COM        037389103        148       3,102  SH               X     01                   2,802        300
APACHE CORP             COM        037411105     20,429     189,962  SH       X             01      187,274      1,637      1,051
APACHE CORP             COM        037411105      1,494      13,891  SH               X     01        1,100     11,429      1,362
APARTMENT INVT & MGMT   CL A       03748R101      1,545      44,487  SH       X             01       44,152        150        185
APARTMENT INVT & MGMT   CL A       03748R101         52       1,483  SH               X     01                   1,483
APOGEE ENTERPRISES INC  COM        037598109      4,211     246,134  SH       X             01      245,849                   285
APOGEE ENTERPRISES INC  COM        037598109         77       4,526  SH               X     01                   4,526
APOLLO GROUP INC        CL A       037604105      6,614      94,277  SH       X             01       94,277
APOLLO GROUP INC        CL A       037604105         40         573  SH               X     01                     163        410
APPLE INC               COM        037833100     24,492     123,645  SH       X             01      120,889        190      2,566
APPLE INC               COM        037833100      2,306      11,643  SH               X     01        1,904      4,595      5,144
APPLERA CORP            COM        038020103        995      29,348  SH       X             01       29,148        200
APPLERA CORP            COM        038020103          8         250  SH               X     01                     115        135
APPLIED MATLS INC       COM        038222105     10,313     580,711  SH       X             01      568,076      7,546      5,089
APPLIED MATLS INC       COM        038222105        579      32,581  SH               X     01        1,675     30,906
AQUILA INC              COM        03840P102         63      16,898  SH       X             01       15,453                 1,445
AQUILA INC              COM        03840P102         62      16,660  SH               X     01                             16,660
ARCELORMITTAL SA        NY REGIS SH03938L104        477       6,162  SH       X             01        6,162
ARCHER DANIELS MIDLAN   COM        039483102      4,699     101,216  SH       X             01      101,116        100
ARCHER DANIELS MIDLAN   COM        039483102        399       8,589  SH               X     01                   7,453      1,136
ARROW ELECTRS INC       COM        042735100      6,274     159,725  SH       X             01      157,570                 2,155
ARROW ELECTRS INC       COM        042735100         84       2,145  SH               X     01                   2,145
ARVINMERITOR INC        COM        043353101        139      11,857  SH       X             01       11,857
ARVINMERITOR INC        COM        043353101         13       1,080  SH               X     01                              1,080
ASSOCIATED BANC CORP    COM        045487105      6,009     221,805  SH       X             01      213,421      3,757      4,627
ASSOCIATED BANC CORP    COM        045487105      1,209      44,622  SH               X     01        4,878     39,336        408
ASSURANT INC            COM        04621X108     14,217     212,508  SH       X             01      212,508
ASSURANT INC            COM        04621X108          1          21  SH               X     01                      21
ASTRAZENECA PLC         SPONS ADR  046353108        224       5,235  SH       X             01        5,235
ASTRAZENECA PLC         SPONS ADR  046353108        464      10,831  SH               X     01           50     10,781
AT&T INC                COM        00206R102     51,049   1,228,330  SH       X             01    1,211,814      9,848      6,668
AT&T INC                COM        00206R102      8,026     193,108  SH               X     01       22,984    164,408      5,716
ATS MED INC             COM        002083103         31      14,000  SH       X             01       14,000
AUTHENTEC INC           COM        052660107      3,337     229,661  SH       X             01      229,661
AUTODESK INC            COM        052769106      3,603      72,416  SH       X             01       72,209                   207
AUTODESK INC            COM        052769106         36         728  SH               X     01                     453        275
AUTOLIV INC             COM        052800109      5,422     102,867  SH       X             01      102,867
AUTOLIV INC             COM        052800109        101       1,910  SH               X     01          613        991        306
AUTOMATIC DATA PROCES   COM        053015103      1,162      26,093  SH       X             01       25,892         55        146
AUTOMATIC DATA PROCES   COM        053015103      1,216      27,312  SH               X     01          600     26,712
AUTONATION INC          COM        05329W102        493      31,468  SH       X             01       31,121        138        209
AUTONATION INC          COM        05329W102          2         150  SH               X     01                     150
AUTOZONE INC            COM        053332102        734       6,125  SH       X             01        6,011         22         92
AUTOZONE INC            COM        053332102         17         140  SH               X     01                     140
AVALONBAY CMNTYS INC    COM        053484101        458       4,869  SH       X             01        4,869
AVERY DENNISON CORP     COM        053611109      2,661      50,066  SH       X             01       49,911         40        115
AVERY DENNISON CORP     COM        053611109        243       4,580  SH               X     01                   4,580
AVI BIOPHARMA INC       COM        002346104        120      85,000  SH       X             01       85,000
AVNET INC               COM        053807103      2,398      68,586  SH       X             01       68,386                   200
AVNET INC               COM        053807103         34         958  SH               X     01                     548        410
AVON PRODS INC          COM        054303102      1,000      25,296  SH       X             01       24,619        509        168
AVON PRODS INC          COM        054303102          1          25  SH               X     01                      25
BADGER METER INC        COM        056525108     40,174     893,746  SH       X             01       92,052               801,694





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
BADGER METER INC        COM        056525108        820      18,250  SH               X     01        2,200     16,050
BAIDU COM INC           SPON ADR   056752108        156         400  SH       X             01          400
BAIDU COM INC           SPON ADR   056752108        107         275  SH               X     01                     200         75
BAKER HUGHES INC        COM        057224107      2,501      30,837  SH       X             01       30,837
BAKER HUGHES INC        COM        057224107        136       1,671  SH               X     01                     399      1,272
BALDOR ELEC CO          COM        057741100        314       9,341  SH       X             01        9,341
BALL CORP               COM        058498106      2,698      59,946  SH       X             01       59,904                    42
BALL CORP               COM        058498106         45         992  SH               X     01          870        122
BANCO SANTANDER SA      ADR        05964H105        126       5,868  SH       X             01        5,868
BANCO SANTANDER SA      ADR        05964H105        186       8,650  SH               X     01                   8,650
BANK MUTUAL CORP NEW    COM        063750103        120      11,323  SH       X             01       10,768                   555
BANK MUTUAL CORP NEW    COM        063750103        128      12,090  SH               X     01                  12,090
BANK OF AMERICA         COM        060505104     28,761     697,056  SH       X             01      682,191      8,101      6,764
BANK OF AMERICA         COM        060505104      4,745     115,009  SH               X     01       18,066     93,418      3,525
BANK OF NEW YORK MELLON COM        064058100      4,856      99,589  SH       X             01       93,285        100      6,204
BANK OF NEW YORK MELLON COM        064058100      1,447      29,675  SH               X     01        1,322     17,170     11,183
BANKRATE INC            COM        06646V108      2,587      53,793  SH       X             01       53,793
BANKUNITED FINL CORP    CL A       06652B103         69      10,000  SH       X             01       10,000
BARCLAYS BK PLC         DJAIG CMDTY06738C778        740      13,158  SH       X             01       13,158
BARCLAYS PLC            ADR        06738E204        243       6,008  SH       X             01        6,008
BARCLAYS PLC            ADR        06738E204         10         250  SH               X     01                     250
BARD C R INC            COM        067383109        948      10,005  SH       X             01        9,804         54        147
BARD C R INC            COM        067383109      2,062      21,749  SH               X     01       16,400      5,349
BARRICK GOLD CORP       COM        067901108        165       3,926  SH       X             01        3,926
BARRICK GOLD CORP       COM        067901108      1,379      32,791  SH               X     01                  32,791
BAXTER INTL INC         COM        071813109     13,660     235,310  SH       X             01      235,083                   227
BAXTER INTL INC         COM        071813109      1,660      28,595  SH               X     01       13,222     15,373
BB&T CORP               COM        054937107      2,574      83,930  SH       X             01       82,081        250      1,599
BB&T CORP               COM        054937107        210       6,855  SH               X     01                   2,965      3,890
BE AEROSPACE INC        COM        073302101      6,720     127,036  SH       X             01      126,911                   125
BE AEROSPACE INC        COM        073302101         25         473  SH               X     01                     473
BEAR STEARNS COS INC    COM        073902108        363       4,108  SH       X             01        4,064                    44
BEAR STEARNS COS INC    COM        073902108         11         128  SH               X     01                     128
BECTON DICKINSON & CO   COM        075887109      1,060      12,685  SH       X             01       12,509         40        136
BECTON DICKINSON & CO   COM        075887109         36         429  SH               X     01                     176        253
BELDEN INC              COM        077454106        609      13,690  SH       X             01       13,555                   135
BELDEN INC              COM        077454106         47       1,055  SH               X     01                              1,055
BEMIS INC               COM        081437105        344      12,549  SH       X             01       10,699                 1,850
BEMIS INC               COM        081437105         59       2,167  SH               X     01                   2,167
BERKLEY W R CORP        COM        084423102      2,273      76,255  SH       X             01       75,820                   435
BERKLEY W R CORP        COM        084423102         26         875  SH               X     01                     875
BERKSHIRE HATHAWAY      CL A       084670108        708           5  SH       X             01            5
BERKSHIRE HATHAWAY      CL A       084670108      2,407          17  SH               X     01                      15          2
BERKSHIRE HATHAWAY      CL B       084670207      4,755       1,004  SH       X             01          944         15         45
BERKSHIRE HATHAWAY      CL B       084670207      2,387         504  SH               X     01            4        428         72
BEST BUY INC            COM        086516101      7,495     142,363  SH       X             01      139,453        385      2,525
BEST BUY INC            COM        086516101        675      12,820  SH               X     01          560     10,260      2,000
BG GROUP PLC            ADR FIN    055434203        187       1,638  SH       X             01        1,638
BG GROUP PLC            ADR FIN    055434203         93         812  SH               X     01                                812
BHP BILLITON LTD        SPONS ADR  088606108        405       5,783  SH       X             01        5,681                   102
BHP BILLITON LTD        SPONS ADR  088606108        906      12,932  SH               X     01          900     10,950      1,082
BIG LOTS INC            COM        089302103        372      23,275  SH       X             01       23,275
BIG LOTS INC            COM        089302103          5         299  SH               X     01                     299
BIO RAD LABS INC        CL A       090572207        238       2,300  SH       X             01        2,300
BIOGEN IDEC INC         COM        09062X103        296       5,192  SH       X             01        4,972                   220
BIOGEN IDEC INC         COM        09062X103         60       1,052  SH               X     01                     927        125
BIOMARIN PHARMACEUTIC   COM        09061G101      8,128     229,604  SH       X             01      229,604
BJ SVCS CO              COM        055482103        276      11,390  SH       X             01       11,117                   273
BJ SVCS CO              COM        055482103          7         297  SH               X     01                     297
BLACK & DECKER CORP     COM        091797100        303       4,347  SH       X             01        4,216         23        108
BLACK & DECKER CORP     COM        091797100          6          87  SH               X     01                      87
BLACKROCK INC           COM        09247X101      5,575      25,716  SH       X             01       25,716
BLACKROCK INC           COM        09247X101        817       3,770  SH               X     01        3,525        200         45
BLOCK H & R INC         COM        093671105        208      11,194  SH       X             01       10,807        114        273
BLOCK H & R INC         COM        093671105         88       4,749  SH               X     01        1,600      3,149
BLUE COAT SYSTEMS INC   COM NEW    09534T508      2,441      74,248  SH       X             01       74,248
BLUEPHOENIX SOLUTIONS   SHS        M20157109      3,433     189,438  SH       X             01      189,438
BMC SOFTWARE INC        COM        055921100      1,847      51,827  SH       X             01       48,964        200      2,663
BMC SOFTWARE INC        COM        055921100        319       8,954  SH               X     01        1,015      1,740      6,199
BOEING CO               COM        097023105     17,376     198,677  SH       X             01      192,142      3,286      3,249
BOEING CO               COM        097023105      2,091      23,903  SH               X     01          450     23,169        284
BORGWARNER INC          COM        099724106        714      14,753  SH       X             01       14,593                   160
BOSTON SCIENTIFIC COR   COM        101137107        134      11,492  SH       X             01       11,492
BOSTON SCIENTIFIC COR   COM        101137107          4         309  SH               X     01                     309
BP PLC                  SPONS ADR  055622104     14,103     192,741  SH       X             01      181,426      7,265      4,050
BP PLC                  SPONS ADR  055622104      7,224      98,734  SH               X     01       17,005     73,696      8,033
BRADY CORP              CL A       104674106        138       3,930  SH       X             01        3,170        600        160
BRADY CORP              CL A       104674106      1,622      46,236  SH               X     01          106     45,730        400
BRIGGS & STRATTON COR   COM        109043109      1,159      51,134  SH       X             01       51,134
BRIGGS & STRATTON COR   COM        109043109        379      16,720  SH               X     01        2,300     14,420
BRIGHTPOINT INC         COM NEW    109473405      5,608     365,102  SH       X             01      364,757                   345
BRIGHTPOINT INC         COM NEW    109473405         21       1,362  SH               X     01          546        816
BRINKS CO               COM        109696104        308       5,161  SH       X             01        5,161
BRISTOL MYERS SQUIBB    COM        110122108     19,449     733,353  SH       X             01      724,921      4,453      3,979
BRISTOL MYERS SQUIBB    COM        110122108      2,151      81,098  SH               X     01       14,893     61,373      4,832
BRISTOW GROUP INC       COM        110394103        370       6,538  SH       X             01        5,338                 1,200
BRISTOW GROUP INC       COM        110394103         42         750  SH               X     01                     750
BROADCOM CORP           CL A       111320107        813      31,116  SH       X             01       30,996                   120
BROADCOM CORP           CL A       111320107          3         118  SH               X     01                     118





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
BROOKFIELD ASSET MGMT   CL A       112585104        189       5,300  SH       X             01        5,300
BROOKFIELD ASSET MGMT   CL A       112585104         28         798  SH               X     01                     798
BROWN FORMAN CORP       CL B       115637209        346       4,671  SH       X             01        4,622                    49
BROWN FORMAN CORP       CL B       115637209          3          36  SH               X     01                      36
BRUNSWICK CORP          COM        117043109        527      30,910  SH       X             01       30,650                   260
BRUNSWICK CORP          COM        117043109          2         126  SH               X     01                     126
BURLINGTON NORTHN SAN   COM        12189T104      2,062      24,775  SH       X             01       24,367         86        322
BURLINGTON NORTHN SAN   COM        12189T104        837      10,061  SH               X     01        1,062      4,778      4,221
C H ROBINSON WORLDWIDE  COM NEW    12541W209      1,003      18,541  SH       X             01       16,105                 2,436
C H ROBINSON WORLDWIDE  COM NEW    12541W209        400       7,388  SH               X     01        1,235      1,328      4,825
CA INC                  COM        12673P105        401      16,083  SH       X             01       15,893                   190
CA INC                  COM        12673P105        163       6,546  SH               X     01                   6,546
CADENCE DESIGN SYSTEM   COM        127387108      2,706     159,076  SH       X             01      158,701                   375
CAMECO CORP             COM        13321L108        482      12,100  SH       X             01       12,100
CAMECO CORP             COM        13321L108        474      11,900  SH               X     01                  11,900
CAMERON INTERNATIONAL   COM        13342B105      2,225      46,234  SH       X             01       45,944                   290
CAMERON INTERNATIONAL   COM        13342B105        195       4,044  SH               X     01                   3,632        412
CAMPBELL SOUP CO        COM        134429109      1,653      46,251  SH       X             01       45,801        219        231
CAMPBELL SOUP CO        COM        134429109        140       3,910  SH               X     01                   2,310      1,600
CANADIAN NAT RES LTD    COM        136385101        196       2,676  SH       X             01        2,676
CANADIAN NAT RES LTD    COM        136385101         88       1,210  SH               X     01                   1,210
CANON INC               ADR        138006309        748      16,330  SH       X             01       15,118                 1,212
CANON INC               ADR        138006309        400       8,722  SH               X     01                   2,240      6,482
CAPITAL ONE FINL CORP   COM        14040H105        284       6,000  SH       X             01        5,988                    12
CAPITAL ONE FINL CORP   COM        14040H105        365       7,726  SH               X     01                   7,726
CARDINAL HEALTH INC     COM        14149Y108      3,294      57,041  SH       X             01       55,870         39      1,132
CARDINAL HEALTH INC     COM        14149Y108        896      15,513  SH               X     01           21     13,292      2,200
CARDIUM THERAPEUTICS    COM        141916106         26      10,000  SH       X             01       10,000
CARNIVAL CORP           PAIRED CTF 143658300        648      14,556  SH       X             01       14,279         58        219
CARNIVAL CORP           PAIRED CTF 143658300        343       7,716  SH               X     01                   7,716
CATERPILLAR INC DEL     COM        149123101     12,421     171,183  SH       X             01      166,315      1,868      3,000
CATERPILLAR INC DEL     COM        149123101      4,279      58,970  SH               X     01       33,836     19,980      5,154
CBS CORP NEW            CL B       124857202      5,427     199,162  SH       X             01      198,720        155        287
CBS CORP NEW            CL B       124857202        118       4,315  SH               X     01          258      3,057      1,000
CELGENE CORP            COM        151020104        387       8,378  SH       X             01        8,378
CELGENE CORP            COM        151020104         43         940  SH               X     01                     250        690
CENTERPLATE INC         UNIT       15200E204         18       2,000  SH       X             01        2,000
CENTERPLATE INC         UNIT       15200E204        167      18,500  SH               X     01                  18,500
CENTERPOINT ENERGY INC  COM        15189T107      4,303     251,200  SH       X             01      247,320      3,002        878
CENTERPOINT ENERGY INC  COM        15189T107         90       5,252  SH               X     01                   1,732      3,520
CENTRAL EUROPEAN DIST   COM        153435102     12,318     212,086  SH       X             01      212,086
CENTRAL EUROPEAN MEDIA  CL A NEW   G20045202      3,714      32,020  SH       X             01       32,020
CENTURYTEL INC          COM        156700106        250       6,041  SH       X             01        6,041
CENTURYTEL INC          COM        156700106         58       1,387  SH               X     01                   1,387
CENVEO INC              COM        15670S105        269      15,400  SH       X             01       15,400
CEPHEID                 COM        15670R107      3,925     148,965  SH       X             01      148,965
CERNER CORP             COM        156782104      2,575      45,648  SH       X             01       45,553                    95
CHARLES RIV LABS INTL   COM        159864107      2,782      42,286  SH       X             01       42,196                    90
CHARLES RIV LABS INTL   COM        159864107         73       1,105  SH               X     01                   1,105
CHECKPOINT SYS INC      COM        162825103        414      15,927  SH       X             01       15,672                   255
CHESAPEAKE ENERGY COR   COM        165167107      4,092     104,397  SH       X             01      104,187                   210
CHESAPEAKE ENERGY COR   COM        165167107         80       2,041  SH               X     01                   2,041
CHEVRON CORP NEW        COM        166764100     74,995     803,544  SH       X             01      787,290     10,191      6,063
CHEVRON CORP NEW        COM        166764100      7,913      84,788  SH               X     01       17,704     59,439      7,645
CHICAGO BRIDGE & IRON   NY REGS SH 167250109      2,590      42,849  SH       X             01       42,382                   467
CHICAGO BRIDGE & IRON   NY REGS SH 167250109         20         339  SH               X     01                     339
CHINA DIRECT INC        COM        169384104      3,119     354,429  SH       X             01      354,429
CHINA MOBILE LIMITED    SPONS ADR  16941M109        323       3,720  SH       X             01        3,720
CHUBB CORP              COM        171232101      8,301     152,097  SH       X             01      151,161        800        136
CHUBB CORP              COM        171232101        343       6,293  SH               X     01                   6,293
CHUNGHWA TELECOM CO L   SPONS ADR  17133Q205        775      42,241  SH               X     01                  42,241
CIGNA CORP              COM        125509109      1,503      27,979  SH       X             01       27,979
CIGNA CORP              COM        125509109        340       6,329  SH               X     01        2,250      4,079
CINCINNATI BELL INC     COM        171871106         62      12,980  SH       X             01       12,980
CINCINNATI FINL CORP    COM        172062101      2,022      51,135  SH       X             01       50,337        244        554
CINCINNATI FINL CORP    COM        172062101         79       1,995  SH               X     01                   1,444        551
CINTAS CORP             COM        172908105        977      29,055  SH       X             01       24,755        750      3,550
CINTAS CORP             COM        172908105        284       8,445  SH               X     01                   4,495      3,950
CISCO SYS INC           COM        17275R102     40,183   1,484,407  SH       X             01    1,448,747     20,508     15,152
CISCO SYS INC           COM        17275R102      4,633     171,156  SH               X     01       36,510    133,672        974
CIT GROUP INC           COM        125581108      4,793     199,466  SH       X             01      197,266                 2,200
CIT GROUP INC           COM        125581108        110       4,587  SH               X     01          660        867      3,060
CITIGROUP INC           COM        172967101     20,783     705,947  SH       X             01      683,045      8,256     14,646
CITIGROUP INC           COM        172967101      3,192     108,409  SH               X     01        3,157     90,632     14,620
CITIZENS COMMUNICATIONS COM        17453B101      5,920     465,022  SH       X             01      459,601      1,825      3,596
CITIZENS COMMUNICATIONS COM        17453B101        118       9,290  SH               X     01                   9,290
CITRIX SYS INC          COM        177376100      4,002     105,301  SH       X             01      105,029        137        135
CITRIX SYS INC          COM        177376100         19         494  SH               X     01                     494
CITY NATL CORP          COM        178566105      4,503      75,616  SH       X             01       75,526                    90
CLARCOR INC             COM        179895107         29         773  SH       X             01          623                   150
CLARCOR INC             COM        179895107        532      14,000  SH               X     01                  14,000
CLAYMORE ETF            BNY BRI&C  18383M100      1,135      21,254  SH       X             01       21,254
CLAYMORE ETF            BNY BRI&C  18383M100        165       3,091  SH               X     01          914      1,356        821
CLEAN HARBORS INC       COM        184496107      2,474      47,852  SH       X             01       47,852
CLEAR CHANNEL COMM      COM        184502102        646      18,714  SH       X             01       18,479                   235
CLEAR CHANNEL COMM      COM        184502102         61       1,755  SH               X     01          415      1,340
CLOROX CO DEL           COM        189054109        991      15,199  SH       X             01       15,182                    17
CLOROX CO DEL           COM        189054109         68       1,040  SH               X     01                   1,040
CME GROUP INC           COM        12572Q105      4,606       6,715  SH       X             01        6,715





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
CME GROUP INC           COM        12572Q105         59          86  SH               X     01           30         35         21
CMS ENERGY CORP         COM        125896100      9,771     562,185  SH       X             01      562,185
CMS ENERGY CORP         COM        125896100          7         395  SH               X     01                     395
COACH INC               COM        189754104      1,084      35,455  SH       X             01       35,455
COACH INC               COM        189754104        813      26,600  SH               X     01       12,100     14,158        342
COCA COLA CO            COM        191216100     38,901     633,873  SH       X             01      593,522     26,419     13,932
COCA COLA CO            COM        191216100      5,533      90,159  SH               X     01       13,125     67,143      9,891
COCA COLA ENTERPRISES   COM        191219104      8,396     322,533  SH       X             01      322,283        250
COCA COLA ENTERPRISES   COM        191219104          5         178  SH               X     01                     178
COEUR D ALENE MINES     COM        192108108         54      11,000  SH       X             01       11,000
COGNIZANT TECHNOLOGY    CL A       192446102      4,340     127,885  SH       X             01      125,867                 2,018
COGNIZANT TECHNOLOGY    CL A       192446102        411      12,101  SH               X     01        3,338      1,107      7,656
COLGATE PALMOLIVE CO    COM        194162103     26,104     334,834  SH       X             01      326,112      6,665      2,057
COLGATE PALMOLIVE CO    COM        194162103      3,700      47,462  SH               X     01       10,925     34,037      2,500
COMCAST CORP NEW        CL A       20030N101      6,220     340,640  SH       X             01      334,205      2,518      3,917
COMCAST CORP NEW        CL A       20030N101        432      23,665  SH               X     01        2,429     20,144      1,092
COMCAST CORP NEW        CL A SPL   20030N200         49       2,727  SH       X             01        2,727
COMCAST CORP NEW        CL A SPL   20030N200        454      25,043  SH               X     01                  17,714      7,329
COMERICA INC            COM        200340107        611      14,047  SH       X             01       14,047
COMERICA INC            COM        200340107        135       3,105  SH               X     01        1,900      1,205
COMMERCE BANCORP INC    COM        200519106        528      13,853  SH       X             01       13,853
COMMERCE BANCORP INC    COM        200519106         18         463  SH               X     01                     163        300
COMMERCE BANCSHARES I   COM        200525103      3,547      79,065  SH       X             01       79,065
COMMERCE BANCSHARES I   COM        200525103      1,215      27,078  SH               X     01                  27,078
COMMERCE GROUP INC      COM        200641108         59       1,648  SH       X             01        1,648
COMMERCE GROUP INC      COM        200641108        191       5,310  SH               X     01                   5,310
COMMERCIAL METALS CO    COM        201723103      1,054      35,799  SH       X             01       35,619                   180
COMMSCOPE INC           COM        203372107        159       3,234  SH       X             01        3,102                   131
COMMSCOPE INC           COM        203372107         92       1,869  SH               X     01                   1,869
COMPANHIA DE BEBIDAS    SPONS ADR  20441W203        153       2,153  SH       X             01        2,043                   110
COMPANHIA DE BEBIDAS    SPONS ADR  20441W203         82       1,160  SH               X     01                              1,160
COMPASS MINERALS INTL   COM        20451N101      3,451      84,176  SH       X             01       84,176
COMPUTER SCIENCES COR   COM        205363104      1,519      30,710  SH       X             01       30,710
COMPUTER SCIENCES COR   COM        205363104        171       3,457  SH               X     01                     787      2,670
COMTECH GROUP INC       COM NEW    205821200      2,618     162,489  SH       X             01      162,489
CONAGRA FOODS INC       COM        205887102      4,946     207,920  SH       X             01      207,159        171        590
CONAGRA FOODS INC       COM        205887102        116       4,855  SH               X     01                   4,855
CONOCOPHILLIPS          COM        20825C104     29,315     331,996  SH       X             01      329,025        534      2,437
CONOCOPHILLIPS          COM        20825C104      3,512      39,769  SH               X     01       17,802     18,692      3,275
CONSECO INC             COM NEW    208464883        241      19,150  SH       X             01       19,150
CONSOL ENERGY INC       COM        20854P109        369       5,155  SH       X             01        5,155
CONSOLIDATED EDISON I   COM        209115104      9,687     198,291  SH       X             01      194,340      1,313      2,638
CONSOLIDATED EDISON I   COM        209115104        273       5,591  SH               X     01                   5,591
CONSOLIDATED GRAPHICS   COM        209341106        303       6,343  SH       X             01        6,343
CONSTELLATION BRANDS    CL A       21036P108        104       4,420  SH       X             01        4,420
CONSTELLATION BRANDS    CL A       21036P108        112       4,745  SH               X     01                   1,070      3,675
CONSTELLATION ENERGY    COM        210371100      2,695      26,286  SH       X             01       25,840                   446
CONSTELLATION ENERGY    COM        210371100         54         525  SH               X     01                     525
CONTANGO OIL & GAS CO   COM NEW    21075N204      8,134     159,843  SH       X             01      159,843
CONTINENTAL AIRLS INC   CL B       210795308      3,235     145,400  SH       X             01      145,400
CONVERGYS CORP          COM        212485106        402      24,410  SH       X             01       24,410
CONVERGYS CORP          COM        212485106          2         104  SH               X     01                     104
COOPER INDS LTD         CL A       G24182100        739      13,982  SH       X             01       13,753                   229
COOPER INDS LTD         CL A       G24182100         24         458  SH               X     01                     458
CORINTHIAN COLLEGES     COM        218868107      3,936     255,574  SH       X             01      255,254                   320
CORN PRODS INTL INC     COM        219023108        317       8,632  SH       X             01        8,482                   150
CORNING INC             COM        219350105      5,952     248,118  SH       X             01      246,244        734      1,140
CORNING INC             COM        219350105        236       9,828  SH               X     01                   9,828
COSTCO WHSL CORP NEW    COM        22160K105      1,648      23,622  SH       X             01       22,962         42        618
COSTCO WHSL CORP NEW    COM        22160K105        488       6,998  SH               X     01                   6,181        817
COUNTRYWIDE FINANCIAL   COM        222372104        301      33,717  SH       X             01       31,662      2,055
COUNTRYWIDE FINANCIAL   COM        222372104          1          66  SH               X     01                      66
COVANCE INC             COM        222816100      3,062      35,349  SH       X             01       35,264                    85
COVENTRY HEALTH CARE    COM        222862104        830      14,004  SH       X             01       14,004
COVENTRY HEALTH CARE    COM        222862104          3          45  SH               X     01                      45
COVIDIEN LTD            COM        G2552X108      1,114      25,148  SH       X             01       23,434                 1,714
COVIDIEN LTD            COM        G2552X108        271       6,113  SH               X     01          211      4,050      1,852
CREDICORP LTD           COM        G2519Y108      2,164      28,368  SH       X             01       28,368
CREDIT SUISSE GROUP     SPONS ADR  225401108        203       3,370  SH       X             01        3,370
CREDIT SUISSE GROUP     SPONS ADR  225401108          5          80  SH               X     01                      80
CROCS INC               COM        227046109      6,685     181,611  SH       X             01      181,371                   240
CROCS INC               COM        227046109         21         575  SH               X     01                     330        245
CROWN CASTLE INTL COR   COM        228227104      2,519      60,554  SH       X             01       60,554
CROWN CASTLE INTL COR   COM        228227104         83       2,000  SH               X     01                   2,000
CSX CORP                COM        126408103        777      17,657  SH       X             01       17,566                    91
CSX CORP                COM        126408103        417       9,486  SH               X     01                   9,486
CTC MEDIA INC           COM        12642X106      8,431     279,183  SH       X             01      279,183
CUMMINS INC             COM        231021106      3,380      26,536  SH       X             01       26,357                   179
CUMMINS INC             COM        231021106         68         531  SH               X     01                     416        115
CURRENCYSHS JAPANESE    JAPANESE YE23130A102          3          34  SH       X             01           34
CURRENCYSHS JAPANESE    JAPANESE YE23130A102        199       2,223  SH               X     01                   2,223
CVS CAREMARK CORP       COM        126650100     12,765     321,131  SH       X             01      320,475                   656
CVS CAREMARK CORP       COM        126650100        457      11,503  SH               X     01        2,754      8,749
CYTEC INDS INC          COM        232820100      5,807      94,294  SH       X             01       94,209                    85
CYTEC INDS INC          COM        232820100         19         306  SH               X     01          124        182
DANAHER CORP DEL        COM        235851102      3,340      38,068  SH       X             01       37,650        234        184
DANAHER CORP DEL        COM        235851102        219       2,493  SH               X     01        2,050        313        130
DARDEN RESTAURANTS INC  COM        237194105        232       8,384  SH       X             01        8,384
DARDEN RESTAURANTS INC  COM        237194105          6         214  SH               X     01                     214





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
DARLING INTL INC        COM        237266101      2,284     197,596  SH       X             01      197,596
DARLING INTL INC        COM        237266101         14       1,197  SH               X     01                   1,197
DAVITA INC              COM        23918K108      7,160     127,056  SH       X             01      127,056
DAVITA INC              COM        23918K108         55         975  SH               X     01                     975
DEERE & CO              COM        244199105     25,267     271,335  SH       X             01      266,983      2,480      1,872
DEERE & CO              COM        244199105      1,451      15,583  SH               X     01        2,100      9,539      3,944
DELL INC                COM        24702R101     17,025     694,606  SH       X             01      678,555      9,603      6,448
DELL INC                COM        24702R101        651      26,558  SH               X     01          200     25,028      1,330
DENBURY RES INC         COM NEW    247916208        189       6,354  SH       X             01        5,064                 1,290
DENBURY RES INC         COM NEW    247916208         21         704  SH               X     01                     704
DENNYS CORP             COM        24869P104        178      47,420  SH       X             01       47,420
DENTSPLY INTL INC NEW   COM        249030107     10,898     242,067  SH       X             01      241,862                   205
DENTSPLY INTL INC NEW   COM        249030107         33         731  SH               X     01                     411        320
DEUTSCHE TELEKOM AG     SPONS ADR  251566105        262      12,110  SH       X             01       12,110
DEUTSCHE TELEKOM AG     SPONS ADR  251566105         11         490  SH               X     01                     490
DEVON ENERGY CORP NEW   COM        25179M103      5,538      62,292  SH       X             01       62,110                   182
DEVON ENERGY CORP NEW   COM        25179M103        240       2,700  SH               X     01                   2,700
DEVRY INC DEL           COM        251893103      7,054     135,757  SH       X             01      135,662                    95
DG FASTCHANNEL INC      COM        23326R109      2,984     116,374  SH       X             01      116,374
DIAGEO P L C            SPON ADR NE25243Q205        871      10,145  SH       X             01        9,445                   700
DIAGEO P L C            SPON ADR NE25243Q205        365       4,258  SH               X     01                   3,058      1,200
DIAMOND OFFSHORE DRIL   COM        25271C102      4,168      29,353  SH       X             01       29,353
DIAMONDS TR             UNIT SER 1 252787106      6,686      50,445  SH       X             01       50,445
DICKS SPORTING GOODS    COM        253393102      1,932      69,602  SH       X             01       69,417                   185
DICKS SPORTING GOODS    COM        253393102         19         688  SH               X     01                     688
DIRECTV GROUP INC       COM        25459L106        603      26,083  SH       X             01       22,796                 3,287
DIRECTV GROUP INC       COM        25459L106        433      18,737  SH               X     01        1,420      7,114     10,203
DISCOVER FINL SVCS      COM        254709108        249      16,511  SH       X             01       16,123         75        313
DISCOVER FINL SVCS      COM        254709108         31       2,054  SH               X     01                   1,559        495
DISCOVERY HOLDING CO    CL A COM   25468Y107      2,798     111,291  SH       X             01      111,291
DISCOVERY HOLDING CO    CL A COM   25468Y107         75       3,001  SH               X     01                              3,001
DISNEY WALT CO          COM DISNEY 254687106     11,762     364,373  SH       X             01      349,232     11,905      3,236
DISNEY WALT CO          COM DISNEY 254687106      1,544      47,824  SH               X     01        2,650     44,974        200
DNP SELECT INCOME FD    COM        23325P104        802      75,715  SH       X             01         75715
DNP SELECT INCOME FD    COM        23325P104         32       3,000  SH               X     01                   3,000
DOMINION RES INC        COM        25746U109      2,064      43,488  SH       X             01       41,756         52      1,680
DOMINION RES INC        COM        25746U109        103       2,170  SH               X     01        1,200        970
DONNELLEY R R & SONS    COM        257867101      6,078     161,044  SH       X             01      159,457        801        786
DONNELLEY R R & SONS    COM        257867101         62       1,636  SH               X     01                   1,636
DOUBLE-TAKE SOFTWARE    COM        258598101      2,712     124,867  SH       X             01      124,867
DOVER CORP              COM        260003108        222       4,813  SH       X             01        4,813
DOVER CORP              COM        260003108        151       3,270  SH               X     01        1,060      2,210
DOW CHEM CO             COM        260543103     10,857     275,428  SH       X             01      270,264      3,029      2,135
DOW CHEM CO             COM        260543103      1,111      28,191  SH               X     01        5,470     16,886      5,835
DRS TECHNOLOGIES INC    COM        23330X100        471       8,680  SH       X             01        8,580                   100
DRYSHIPS INC            SHS        Y2109Q101      1,883      24,323  SH       X             01       24,323
DST SYS INC DEL         COM        233326107      2,403      29,106  SH       X             01       29,036                    70
DTE ENERGY CO           COM        233331107      5,307     120,715  SH       X             01      119,365        415        935
DTE ENERGY CO           COM        233331107        118       2,683  SH               X     01                   2,433        250
DU PONT E I DE NEMOUR   COM        263534109      7,186     162,987  SH       X             01      160,109        975      1,903
DU PONT E I DE NEMOUR   COM        263534109      1,054      23,913  SH               X     01        3,805     19,388        720
DUKE ENERGY CORP NEW    COM        26441C105      3,463     171,691  SH       X             01      169,738        356      1,597
DUKE ENERGY CORP NEW    COM        26441C105        328      16,253  SH               X     01        1,604      6,934      7,715
DUKE REALTY CORP        COM NEW    264411505        221       8,477  SH       X             01        8,257                   220
DUKE REALTY CORP        COM NEW    264411505        117       4,505  SH               X     01                   1,020      3,485
DUN & BRADSTREET CORP   COM        26483E100      2,258      25,472  SH       X             01       25,392                    80
DUN & BRADSTREET CORP   COM        26483E100         11         125  SH               X     01                                125
DYNEGY INC DEL          CL A       26817G102         86      12,078  SH       X             01       12,078
DYNEGY INC DEL          CL A       26817G102          3         434  SH               X     01                     434
E M C CORP MASS         COM        268648102      7,178     387,363  SH       X             01      383,005      2,633      1,725
E M C CORP MASS         COM        268648102        104       5,621  SH               X     01        1,375      2,646      1,600
EASTMAN CHEM CO         COM        277432100      1,513      24,774  SH       X             01       24,497         87        190
EASTMAN CHEM CO         COM        277432100         47         767  SH               X     01                     615        152
EASTMAN KODAK CO        COM        277461109        830      37,956  SH       X             01       36,373      1,583
EASTMAN KODAK CO        COM        277461109         41       1,864  SH               X     01          100      1,155        609
EATON CORP              COM        278058102     12,534     129,280  SH       X             01      129,168         22         90
EATON CORP              COM        278058102        469       4,840  SH               X     01                   2,699      2,141
EATON VANCE TAX-ADVAN   COM        27828G107        139       5,000  SH       X             01        5,000
EATON VANCE TAX-ADVAN   COM        27828G107         83       2,975  SH               X     01        1,750      1,225
EATON VANCE LTD DURAT   COM        27828H105        231      15,500  SH       X             01       15,500
EATON VANCE LTD DURAT   COM        27828H105          8         520  SH               X     01                     520
EBAY INC                COM        278642103      5,099     153,639  SH       X             01      153,148        104        387
EBAY INC                COM        278642103        200       6,025  SH               X     01          500      4,550        975
ECOLAB INC              COM        278865100      1,409      27,513  SH       X             01       26,797        484        232
ECOLAB INC              COM        278865100        495       9,670  SH               X     01                   9,670
EDISON INTL             COM        281020107     11,899     222,944  SH       X             01      222,489        134        321
EDISON INTL             COM        281020107         85       1,585  SH               X     01                   1,585
EDWARDS LIFESCIENCES    COM        28176E108        841      18,278  SH       X             01       18,163                   115
EDWARDS LIFESCIENCES    COM        28176E108         40         867  SH               X     01                     867
EINSTEIN NOAH REST GR   COM        28257U104      2,207     121,619  SH       X             01      121,619
EL PASO CORP            COM        28336L109      9,312     540,156  SH       X             01      540,156
EL PASO CORP            COM        28336L109         21       1,203  SH               X     01                   1,203
ELECTRONIC ARTS INC     COM        285512109      9,453     161,833  SH       X             01      156,626      2,666      2,541
ELECTRONIC ARTS INC     COM        285512109        531       9,094  SH               X     01          400      8,444        250
ELECTRONIC DATA SYS N   COM        285661104        249      11,992  SH       X             01       11,992
ELECTRONIC DATA SYS N   COM        285661104         10         476  SH               X     01                     400         76
ELECTRONICS FOR IMAGING COM        286082102      6,455     287,138  SH       X             01      287,138
ELECTRONICS FOR IMAGING COM        286082102          7         290  SH               X     01                     290
EMBARQ CORP             COM        29078E105      9,717     196,186  SH       X             01      195,797        100        289





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
EMBARQ CORP             COM        29078E105         69       1,384  SH               X     01           73      1,311
EMERSON ELEC CO         COM        291011104     24,878     439,076  SH       X             01      436,700      1,048      1,328
EMERSON ELEC CO         COM        291011104      6,377     112,553  SH               X     01       14,651     97,902
EMPIRE DIST ELEC CO     COM        291641108        938      41,198  SH       X             01       41,004                   194
EMPIRE DIST ELEC CO     COM        291641108         21         926  SH               X     01                     926
ENCANA CORP             COM        292505104        188       2,770  SH       X             01        2,770
ENCANA CORP             COM        292505104        215       3,166  SH               X     01                   3,166
ENDESA S A              SPONS ADR  29258N107        413       7,800  SH               X     01                   7,800
ENERGEN CORP            COM        29265N108        262       4,082  SH       X             01        3,987                    95
ENERGIZER HLDGS INC     COM        29266R108      9,622      85,811  SH       X             01       85,736                    75
ENERGIZER HLDGS INC     COM        29266R108      4,003      35,703  SH               X     01          400      7,203     28,100
ENERPLUS RES FD         UNIT TR G N29274D604        519      12,955  SH       X             01       12,955
ENERPLUS RES FD         UNIT TR G N29274D604        280       7,000  SH               X     01                   7,000
ENERSYS                 COM        29275Y102      3,676     147,286  SH       X             01      147,286
ENI S P A               SPONS ADR  26874R108         19         259  SH       X             01          259
ENI S P A               SPONS ADR  26874R108        364       5,027  SH               X     01                   5,027
ENSCO INTL INC          COM        26874Q100        969      16,256  SH       X             01       15,926        330
ENSCO INTL INC          COM        26874Q100        198       3,328  SH               X     01                   3,231         97
ENTERGY CORP NEW        COM        29364G103     13,386     111,996  SH       X             01      111,920                    76
ENTERGY CORP NEW        COM        29364G103          8          71  SH               X     01                      71
ENTERPRISE PRODS PRTNR  COM        293792107        221       6,925  SH       X             01        6,925
ENTERPRISE PRODS PRTNR  COM        293792107         22         700  SH               X     01                     700
EOG RES INC             COM        26875P101        993      11,124  SH       X             01       10,798         60        266
EOG RES INC             COM        26875P101        173       1,936  SH               X     01                   1,936
EQUIFAX INC             COM        294429105        552      15,195  SH       X             01       14,817         89        289
EQUIFAX INC             COM        294429105         14         395  SH               X     01                     395
EQUINIX INC             COM NEW    29444U502      8,535      84,444  SH       X             01       84,444
EQUINIX INC             COM NEW    29444U502          9          90  SH               X     01                                 90
EQUITABLE RES INC       COM        294549100      7,064     132,584  SH       X             01      132,419                   165
EQUITY RESIDENTIAL      SH BEN INT 29476L107      1,774      48,645  SH       X             01       47,971        223        451
EQUITY RESIDENTIAL      SH BEN INT 29476L107         55       1,498  SH               X     01          200      1,298
ERICSSON L M TEL CO     ADR B SEK 1294821608        432      18,510  SH       X             01       12,068        310      6,132
ERICSSON L M TEL CO     ADR B SEK 1294821608        383      16,389  SH               X     01                  13,561      2,828
EXELON CORP             COM        30161N101     13,386     163,968  SH       X             01      161,090      1,135      1,743
EXELON CORP             COM        30161N101        802       9,819  SH               X     01        1,775      7,534        510
EXPEDIA INC DEL         COM        30212P105        220       6,956  SH       X             01        6,956
EXPEDIA INC DEL         COM        30212P105          6         199  SH               X     01                     199
EXPEDITORS INTL WASH    COM        302130109        382       8,541  SH       X             01        8,471                    70
EXPEDITORS INTL WASH    COM        302130109          7         165  SH               X     01           75         90
EXPRESS SCRIPTS INC     COM        302182100      4,604      63,069  SH       X             01       62,669        400
EXPRESS SCRIPTS INC     COM        302182100        939      12,863  SH               X     01       10,965      1,748        150
EXXON MOBIL CORP        COM        30231G102    111,345   1,188,444  SH       X             01    1,154,881     22,508     11,055
EXXON MOBIL CORP        COM        30231G102     27,341     291,822  SH               X     01       42,174    233,122     16,526
FACTSET RESH SYS INC    COM        303075105      2,210      39,673  SH       X             01       39,548                   125
FACTSET RESH SYS INC    COM        303075105         27         486  SH               X     01                     361        125
FAIR ISAAC CORP         COM        303250104      2,992      93,078  SH       X             01       92,918                   160
FALCONSTOR SOFTWARE     COM        306137100      4,389     389,814  SH       X             01      389,814
FAMILY DLR STORES INC   COM        307000109        432      22,481  SH       X             01       19,631                 2,850
FAMILY DLR STORES INC   COM        307000109         98       5,096  SH               X     01                   5,096
FASTENAL CO             COM        311900104      1,213      30,004  SH       X             01       29,719                   285
FASTENAL CO             COM        311900104         14         345  SH               X     01                     345
FEDERAL HOME LN MTG     COM        313400301        964      28,306  SH       X             01       27,752        440        114
FEDERAL HOME LN MTG     COM        313400301        171       5,006  SH               X     01          250      4,106        650
FEDERAL NATL MTG ASSN   COM        313586109      1,666      41,683  SH       X             01       39,691      1,175        817
FEDERAL NATL MTG ASSN   COM        313586109        542      13,563  SH               X     01                  12,913        650
FEDERAL SIGNAL CORP     COM        313855108        618      55,100  SH       X             01       54,700                   400
FEDERAL SIGNAL CORP     COM        313855108         10         900  SH               X     01                     900
FEDERATED INVS INC PA   CL B       314211103        948      23,041  SH       X             01       22,810                   231
FEDERATED INVS INC PA   CL B       314211103         14         341  SH               X     01                     341
FEDEX CORP              COM        31428X106        962      10,787  SH       X             01       10,641         28        118
FEDEX CORP              COM        31428X106        246       2,761  SH               X     01                   2,761
FERRELLGAS PARTNERS     UNIT LTD PA315293100        307      14,000  SH       X             01       14,000
FIFTH THIRD BANCORP     COM        316773100      2,870     114,206  SH       X             01      113,496        185        525
FIFTH THIRD BANCORP     COM        316773100        437      17,396  SH               X     01          899     16,497
FIRST HORIZON NATL CO   COM        320517105      1,005      55,361  SH       X             01       54,478        235        648
FIRST HORIZON NATL CO   COM        320517105         33       1,816  SH               X     01                   1,816
FIRST IND CORP COM                 32054R108      8,500     265,629  SH       X             01      265,629
FIRST IND CORP COM                 32054R108        784      24,502  SH               X     01       20,677      3,825
FIRST PL FINL CORP      COM        33610T109        226      16,187  SH       X             01       16,187
FIRSTENERGY CORP        COM        337932107      5,328      73,659  SH       X             01       73,659
FIRSTENERGY CORP        COM        337932107         69         960  SH               X     01                     960
FISERV INC              COM        337738108     12,717     229,180  SH       X             01      229,141                    39
FISERV INC              COM        337738108        393       7,084  SH               X     01          945      6,139
FLEXTRONICS INTL LTD    ORD        Y2573F102      2,740     227,210  SH       X             01      226,600                   610
FLEXTRONICS INTL LTD    ORD        Y2573F102         15       1,228  SH               X     01                              1,228
FLIR SYS INC            COM        302445101        190       6,056  SH       X             01        5,661                   395
FLIR SYS INC            COM        302445101         36       1,136  SH               X     01                     736        400
FLOWSERVE CORP          COM        34354P105        217       2,254  SH       X             01        1,914                   340
FLOWSERVE CORP          COM        34354P105         19         197  SH               X     01                     197
FLUOR CORP NEW          COM        343412102      2,283      15,664  SH       X             01       15,664
FLUOR CORP NEW          COM        343412102         27         188  SH               X     01                      88        100
FMC TECHNOLOGIES INC    COM        30249U101        869      15,329  SH       X             01        9,951                 5,378
FMC TECHNOLOGIES INC    COM        30249U101        342       6,036  SH               X     01          617      1,522      3,897
FNB CORP PA             COM        302520101        493      33,546  SH       X             01       33,546
FORD MTR CO DEL         COM PAR $0.345370860        391      58,117  SH       X             01       58,117
FORD MTR CO DEL         COM PAR $0.345370860        140      20,808  SH               X     01          100     20,708
FOREST LABS INC         COM        345838106        211       5,779  SH       X             01        5,675         63         41
FOREST LABS INC         COM        345838106        378      10,362  SH               X     01                  10,187        175
FOREST OIL CORP         COM PAR $0.346091705        408       8,019  SH       X             01        7,899                   120





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
FORTUNE BRANDS INC      COM        349631101      1,850      25,565  SH       X             01       24,254        664        647
FORTUNE BRANDS INC      COM        349631101      1,084      14,975  SH               X     01        1,925      7,790      5,260
FOSTER WHEELER LTD      SHS NEW    G36535139        129         830  SH       X             01          650                   180
FOSTER WHEELER LTD      SHS NEW    G36535139        106         687  SH               X     01                     687
FPL GROUP INC           COM        302571104      2,723      40,180  SH       X             01       35,578      4,502        100
FPL GROUP INC           COM        302571104        639       9,434  SH               X     01        1,309      8,125
FRANKLIN RES INC        COM        354613101      1,063       9,287  SH       X             01        8,728                   559
FRANKLIN RES INC        COM        354613101        337       2,944  SH               X     01          300        596      2,048
FRANKLIN TEMPLETON LT   COM        35472T101        116      10,000  SH       X             01       10,000
FREEPORT-MCMORAN COPPER COM        35671D857     10,281     100,366  SH       X             01      100,054        174        138
FREEPORT-MCMORAN COPPER COM        35671D857        209       2,042  SH               X     01                   2,042
FRESENIUS MED CARE AG   SPONS ADR  358029106        141       2,674  SH       X             01        2,567                   107
FRESENIUS MED CARE AG   SPONS ADR  358029106         60       1,135  SH               X     01                              1,135
FRONTIER OIL CORP       COM        35914P105        187       4,615  SH       X             01        4,470                   145
FRONTIER OIL CORP       COM        35914P105         19         479  SH               X     01                     479
FRONTLINE LTD           SHS        G3682E127        507      10,570  SH       X             01       10,570
FUJIFILM HLDGS CORP     ADR 2 ORD  35958N107         54       1,307  SH       X             01        1,307
FUJIFILM HLDGS CORP     ADR 2 ORD  35958N107        559      13,456  SH               X     01                  13,456
FUQI INTERNATIONAL INC  COM NEW    36102A207      2,049     246,918  SH       X             01      246,918
GABELLI EQUITY TR INC   COM        362397101         16     151,657  SH       X             01      151,657
GAFISA S A              SPONS ADR  362607301      8,170     218,167  SH       X             01      218,167
GALLAGHER ARTHUR J      COM        363576109        148       6,138  SH       X             01        3,123                 3,015
GALLAGHER ARTHUR J      COM        363576109        114       4,725  SH               X     01                   4,725
GAMESTOP CORP NEW       CL A       36467W109      3,227      51,958  SH       X             01       51,958
GAMESTOP CORP NEW       CL A       36467W109         43         685  SH               X     01                      65        620
GANNETT INC             COM        364730101      1,298      33,278  SH       X             01       31,103      2,000        175
GANNETT INC             COM        364730101        182       4,657  SH               X     01                   2,057      2,600
GAP INC DEL             COM        364760108      4,567     214,617  SH       X             01      214,346         96        175
GAP INC DEL             COM        364760108        230      10,824  SH               X     01          200      2,969      7,655
GARMIN LTD              ORD        G37260109      5,242      54,043  SH       X             01       51,950                 2,093
GARMIN LTD              ORD        G37260109        981      10,112  SH               X     01        1,050      3,617      5,445
GARTNER INC             COM        366651107        191      10,903  SH       X             01       10,563                   340
GASCO ENERGY INC        COM        367220100      4,943   2,484,048  SH       X             01    2,484,048
GEHL CO                 COM        368483103          4         225  SH       X             01          225
GEHL CO                 COM        368483103        358      22,300  SH               X     01                  22,300
GENENTECH INC           COM NEW    368710406      8,142     121,393  SH       X             01      117,975      2,520        898
GENENTECH INC           COM NEW    368710406      1,307      19,488  SH               X     01        1,175     18,313
GENERAL CABLE CORP DE   COM        369300108        512       6,985  SH       X             01        6,985
GENERAL CABLE CORP DE   COM        369300108         34         458  SH               X     01                     338        120
GENERAL COMMUNICATION   CL A       369385109        179      20,430  SH       X             01       20,430
GENERAL DYNAMICS CORP   COM        369550108      7,425      83,432  SH       X             01       83,328                   104
GENERAL DYNAMICS CORP   COM        369550108        424       4,768  SH               X     01          100      2,759      1,909
GENERAL ELECTRIC CO     COM        369604103     95,430   2,574,328  SH       X             01    2,421,902     97,302     55,124
GENERAL ELECTRIC CO     COM        369604103     21,167     570,988  SH               X     01       99,381    409,079     62,528
GENERAL MLS INC         COM        370334104      4,452      78,099  SH       X             01       77,214        690        195
GENERAL MLS INC         COM        370334104      1,012      17,754  SH               X     01        8,755      8,999
GENERAL MTRS CORP       COM        370442105      1,406      56,481  SH       X             01       56,377                   104
GENERAL MTRS CORP       COM        370442105         35       1,417  SH               X     01                   1,034        383
GEN-PROBE INC NEW       COM        36866T103      2,233      35,480  SH       X             01       35,390                    90
GEN-PROBE INC NEW       COM        36866T103         13         200  SH               X     01                                200
GENUINE PARTS CO        COM        372460105      2,531      54,659  SH       X             01       54,189        115        355
GENUINE PARTS CO        COM        372460105        171       3,691  SH               X     01          300      3,391
GENWORTH FINL INC       COM CL A   37247D106        160       6,284  SH       X             01        6,284
GENWORTH FINL INC       COM CL A   37247D106        201       7,889  SH               X     01                   4,074      3,815
GENZYME CORP            COM        372917104      3,203      43,027  SH       X             01       42,987                    40
GENZYME CORP            COM        372917104         61         823  SH               X     01                     823
GERDAU AMERISTEEL COR   COM        37373P105      1,299      91,368  SH       X             01       91,368
GFI GROUP INC           COM        361652209      4,492      46,924  SH       X             01       46,924
GILEAD SCIENCES INC     COM        375558103     13,964     303,510  SH       X             01      297,543        214      5,753
GILEAD SCIENCES INC     COM        375558103      1,578      34,293  SH               X     01        2,008     15,961     16,324
GLAXOSMITHKLINE PLC     SPONS ADR  37733W105      2,136      42,396  SH       X             01       40,936      1,460
GLAXOSMITHKLINE PLC     SPONS ADR  37733W105      1,148      22,792  SH               X     01          100     16,749      5,943
GLOBECOMM SYSTEMS INC   COM        37956X103      2,434     208,032  SH       X             01      208,032
GMX RES INC             COM        38011M108      4,410     136,627  SH       X             01      136,627
GOLAR LNG LTD BERMUDA   SHS        G9456A100      3,366     152,152  SH       X             01      152,152
GOLD FIELDS LTD NEW     SPONS ADR  38059T106        213      15,000  SH       X             01       15,000
GOLD FIELDS LTD NEW     SPONS ADR  38059T106        302      21,299  SH               X     01                  21,299
GOLDMAN SACHS GROUP     COM        38141G104     29,500     137,177  SH       X             01      134,459      1,754        964
GOLDMAN SACHS GROUP     COM        38141G104      3,661      17,022  SH               X     01        3,490     12,220      1,312
GOODRICH CORP           COM        382388106      4,808      68,094  SH       X             01       67,710                   384
GOODRICH CORP           COM        382388106         17         237  SH               X     01                     237
GOODYEAR TIRE & RUBR    COM        382550101      2,189      77,560  SH       X             01       77,560
GOODYEAR TIRE & RUBR    COM        382550101          2          72  SH               X     01                      72
GOOGLE INC              CL A       38259P508     26,493      38,314  SH       X             01       37,491        195        628
GOOGLE INC              CL A       38259P508      2,623       3,793  SH               X     01          135      2,608      1,050
GRAINGER W W INC        COM        384802104      1,223      13,970  SH       X             01       13,520                   450
GRAINGER W W INC        COM        384802104        309       3,534  SH               X     01          200      2,584        750
GREAT PLAINS ENERGY     COM        391164100        954      32,537  SH       X             01       32,152        200        185
GREAT PLAINS ENERGY     COM        391164100         60       2,045  SH               X     01          920      1,125
GUESS INC               COM        401617105      1,902      50,210  SH       X             01       50,007                   203
GUESS INC               COM        401617105         10         263  SH               X     01                      63        200
HALLIBURTON CO          COM        406216101      6,869     181,181  SH       X             01      180,690        130        361
HALLIBURTON CO          COM        406216101        342       9,021  SH               X     01          300      7,361      1,360
HANOVER INS GROUP INC   COM        410867105      8,588     187,506  SH       X             01      187,381                   125
HANSEN NAT CORP         COM        411310105      2,688      60,693  SH       X             01       60,578                   115
HARLEY DAVIDSON INC     COM        412822108      3,380      72,369  SH       X             01       71,712        643         14
HARLEY DAVIDSON INC     COM        412822108      1,011      21,640  SH               X     01        1,300     20,340
HARMONIC INC            COM        413160102      3,378     322,311  SH       X             01      321,741                   570
HARRAHS ENTMT INC       COM        413619107        289       3,253  SH       X             01        3,197                    56





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
HARRAHS ENTMT INC       COM        413619107         69         782  SH               X     01                     782
HARRIS CORP DEL         COM        413875105        404       6,447  SH       X             01        6,152                   295
HARRIS CORP DEL         COM        413875105         44         707  SH               X     01                     707
HARSCO CORP             COM        415864107      3,036      47,390  SH       X             01       47,080        195        115
HARSCO CORP             COM        415864107         49         763  SH               X     01                     479        284
HARTFORD FINL SVCS GR   COM        416515104      4,174      47,872  SH       X             01       47,638                   234
HARTFORD FINL SVCS GR   COM        416515104        855       9,804  SH               X     01        6,390      3,414
HASBRO INC              COM        418056107        214       8,365  SH       X             01        8,365
HASBRO INC              COM        418056107          1          26  SH               X     01                      26
HCP INC                 COM        40414L109        189       5,425  SH       X             01        5,425
HCP INC                 COM        40414L109         70       2,000  SH               X     01                   2,000
HEAD N V                NY REG SH  422070102        252      70,370  SH       X             01       70,370
HEAD N V                NY REG SH  422070102          4       1,000  SH               X     01                   1,000
HEINZ H J CO            COM        423074103      4,556      97,610  SH       X             01       96,422        274        914
HEINZ H J CO            COM        423074103        657      14,064  SH               X     01                  10,989      3,075
HELIX ENERGY SOLUTIONS  COM        42330P107        237       5,699  SH       X             01        1,387                 4,312
HENRY JACK & ASSOC      COM        426281101         33       1,346  SH       X             01        1,131                   215
HENRY JACK & ASSOC      COM        426281101        341      14,000  SH               X     01                  14,000
HERCULES INC            COM        427056106        409      21,156  SH       X             01       21,156
HERCULES INC            COM        427056106         36       1,861  SH               X     01          800      1,061
HERSHEY CO              COM        427866108        849      21,545  SH       X             01       21,310         55        180
HERSHEY CO              COM        427866108        235       5,953  SH               X     01                   3,953      2,000
HESS CORP               COM        42809H107     17,572     174,225  SH       X             01      174,155                    70
HESS CORP               COM        42809H107        133       1,322  SH               X     01                   1,322
HEWLETT PACKARD CO      COM        428236103     23,205     459,681  SH       X             01      452,426      3,509      3,746
HEWLETT PACKARD CO      COM        428236103      3,496      69,265  SH               X     01       43,889     15,323     10,053
HILB ROGAL & HOBBS CO   COM        431294107        325       8,006  SH       X             01        7,871                   135
HMS HLDGS CORP          COM        40425J101      4,467     134,505  SH       X             01      134,505
HOLOGIC INC             COM        436440101        348       5,073  SH       X             01        4,443                   630
HOLOGIC INC             COM        436440101         26         382  SH               X     01                     382
HOME DEPOT INC          COM        437076102      3,090     114,702  SH       X             01      111,602      1,012      2,088
HOME DEPOT INC          COM        437076102        220       8,175  SH               X     01          400      7,775
HONEYWELL INTL INC      COM        438516106      9,497     154,250  SH       X             01      152,342        279      1,629
HONEYWELL INTL INC      COM        438516106        832      13,513  SH               X     01        2,986      9,902        625
HOSPIRA INC             COM        441060100        644      15,103  SH       X             01       14,849         82        172
HOSPIRA INC             COM        441060100         96       2,257  SH               X     01        1,791        466
HOST HOTELS & RESORTS   COM        44107P104        284      16,662  SH       X             01       16,662
HOST HOTELS & RESORTS   COM        44107P104          2         116  SH               X     01                     116
HSBC HLDGS PLC          SPONS ADR  404280406        412       4,918  SH       X             01        4,918
HSBC HLDGS PLC          SPONS ADR  404280406        888      10,609  SH               X     01                  10,609
HUBBELL INC             CL A       443510102        220       4,000  SH       X             01          200      3,800
HUDSON CITY BANCORP     COM        443683107        523      34,842  SH       X             01       34,842
HUDSON CITY BANCORP     COM        443683107         12         783  SH               X     01                     783
HUMANA INC              COM        444859102      1,539      20,438  SH       X             01       20,014                   424
HUMANA INC              COM        444859102        117       1,560  SH               X     01          300      1,260
HUNT J B TRANS SVCS     COM        445658107      7,667     278,310  SH       X             01      273,905                 4,405
HUNT J B TRANS SVCS     COM        445658107         77       2,800  SH               X     01                   2,800
HUNTINGTON BANCSHARES   COM        446150104      1,420      96,197  SH       X             01       94,529        638      1,030
HUNTINGTON BANCSHARES   COM        446150104        166      11,238  SH               X     01                   4,778      6,460
HURCO COMPANIES INC     COM        447324104        306       7,000  SH       X             01        7,000
ICON PUB LTD CO         SPONS ADR  45103T107      3,901      63,068  SH       X             01       62,954                   114
ICON PUB LTD CO         SPONS ADR  45103T107          3          51  SH               X     01                      51
ICONIX BRAND GROUP      COM        451055107      2,687     136,655  SH       X             01      136,150                   505
ICONIX BRAND GROUP      COM        451055107          2         117  SH               X     01                     117
IDT CORP                COM        448947101        122      15,500  SH       X             01       15,500
IKON OFFICE SOLUTIONS   COM        451713101        366      28,081  SH       X             01       28,081
ILLINOIS TOOL WKS INC   COM        452308109      3,253      60,767  SH       X             01       59,579        874        314
ILLINOIS TOOL WKS INC   COM        452308109      2,249      41,998  SH               X     01        5,950     35,746        302
IMAX CORP               COM        45245E109      2,488     364,859  SH       X             01      364,859
IMS HEALTH INC          COM        449934108      8,089     351,091  SH       X             01      350,910                   181
IMS HEALTH INC          COM        449934108         93       4,020  SH               X     01                   3,020      1,000
INDIA FD INC            COM        454089103        238       3,829  SH       X             01        3,829
INDIA FD INC            COM        454089103         97       1,562  SH               X     01          480      1,082
ING GROEP N V           SPONS ADR  456837103         54       1,400  SH       X             01        1,400
ING GROEP N V           SPONS ADR  456837103        698      17,932  SH               X     01                  17,932
INGERSOLL-RAND COMPANY  CL A       G4776G101        825      17,755  SH       X             01       17,585         48        122
INGERSOLL-RAND COMPANY  CL A       G4776G101         74       1,603  SH               X     01                   1,603
INGRAM MICRO INC        CL A       457153104      4,686     259,758  SH       X             01      259,458                   300
INNERWORKINGS INC       COM        45773Y105      4,389     254,308  SH       X             01      254,308
INSITUFORM TECHNOLOGIES CL A       457667103        338      22,814  SH       X             01       22,814
INSITUFORM TECHNOLOGIES CL A       457667103          1         100  SH               X     01                     100
INTEGRYS ENERGY GROUP   COM        45822P105      1,767      34,189  SH       X             01       33,463        726
INTEGRYS ENERGY GROUP   COM        45822P105        313       6,051  SH               X     01        1,108      4,943
INTEL CORP              COM        458140100     31,583   1,184,642  SH       X             01    1,154,319     15,512     14,811
INTEL CORP              COM        458140100      3,359     125,992  SH               X     01        4,302    121,490        200
INTERCONTINENTALEXCHNGE COM        45865V100      2,789      14,490  SH       X             01       14,490
INTERCONTINENTALEXCHNGE COM        45865V100         54         282  SH               X     01                     177        105
INTL BUSINESS MACHINES  COM        459200101     40,060     370,578  SH       X             01      354,663      6,191      9,724
INTL BUSINESS MACHINES  COM        459200101      5,826      53,890  SH               X     01        9,258     40,514      4,118
INTL GAME TECHNOLOGY    COM        459902102      8,024     182,662  SH       X             01      180,258        130      2,274
INTL GAME TECHNOLOGY    COM        459902102        241       5,491  SH               X     01                   5,491
INTERNET CAP GROUP INC  COM NEW    46059C205      4,761     405,561  SH       X             01      405,561
INTERPUBLIC GROUP COS   COM        460690100      5,497     677,853  SH       X             01      677,853
INTERSIL CORP           CL A       46069S109      3,313     135,339  SH       X             01      135,339
INTERVOICE INC NEW      COM        461142101      1,923     240,645  SH       X             01      240,645
INTL PAPER CO           COM        460146103      2,568      79,313  SH       X             01       78,038        961        314
INTL PAPER CO           COM        460146103        562      17,364  SH               X     01          300     12,530      4,534
INTUIT                  COM        461202103      3,269     103,414  SH       X             01      103,414
INTUIT                  COM        461202103         42       1,332  SH               X     01        1,030        302





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
INTUITIVE SURGICAL INC  COM NEW    46120E602        284         879  SH       X             01          829                    50
INTUITIVE SURGICAL INC  COM NEW    46120E602         69         215  SH               X     01          100        115
INVERNESS MED INNOVAT   COM        46126P106      7,323     130,356  SH       X             01      130,356
INVERNESS MED INNOVAT   COM        46126P106          9         160  SH               X     01                                160
INVESTOOLS INC          COM        46145P103      5,601     315,755  SH       X             01      315,755
IPASS INC               COM        46261V108        323      79,592  SH       X             01       79,592
IPG PHOTONICS CORP      COM        44980X109      2,425     121,310  SH       X             01      121,310
ISHARES INC             MSCI SINGPR464286673        761      55,161  SH       X             01       55,161
ISHARES INC             MSCI SINGPR464286673         14       1,050  SH               X     01                   1,050
ISHARES INC             MSCI JAPAN 464286848        579      43,540  SH       X             01       43,540
ISHARES TR              LG GRW INDX464287119        295       4,121  SH       X             01        4,121
ISHARES TR              S&P 1500   464287150        349       2,679  SH       X             01        1,922                   757
ISHARES TR              S&P 1500   464287150         61         465  SH               X     01                     465
ISHARES TR              DJ SEL DIV 464287168     20,564     318,875  SH       X             01      318,550        300         25
ISHARES TR              DJ SEL DIV 464287168        617       9,566  SH               X     01                   9,566
ISHARES TR              US TIPS BD 464287176        649       6,134  SH       X             01        4,850                 1,284
ISHARES TR              FTSE XNHUA 464287184      1,340       7,861  SH       X             01        7,635                   226
ISHARES TR              FTSE XNHUA 464287184        497       2,916  SH               X     01          600      2,316
ISHARES TR              S&P 500    464287200     36,464     248,497  SH       X             01      242,679      1,220      4,598
ISHARES TR              S&P 500    464287200      1,663      11,330  SH               X     01          224      7,480      3,626
ISHARES TR              LEHMAN AGG 464287226      1,639      16,205  SH       X             01       16,205
ISHARES TR              MSCI EMERG 464287234     14,303      95,161  SH       X             01       94,943                   218
ISHARES TR              MSCI EMERG 464287234      3,417      22,734  SH               X     01       20,253      2,481
ISHARES TR              IBOXX      464287242      5,203      49,630  SH       X             01       45,630      4,000
ISHARES TR              IBOXX      464287242        136       1,300  SH               X     01        1,300
ISHARES TR              S&P500 GRW 464287309     11,323     162,145  SH       X             01      154,645      1,300      6,200
ISHARES TR              S&P500 GRW 464287309        134       1,915  SH               X     01        1,365        550
ISHARES TR              S&P LTN AM 464287390        293       1,177  SH       X             01        1,000                   177
ISHARES TR              S&P 500 VAL464287408      4,582      60,008  SH       X             01       59,902                   106
ISHARES TR              S&P 500 VAL464287408        382       4,998  SH               X     01          400      3,950        648
ISHARES TR              7-10Y TR BD464287440        989      11,366  SH       X             01       11,366
ISHARES TR              1-3Y TR BD 464287457        550       6,693  SH       X             01        6,693
ISHARES TR              MSCI EAFE  464287465     61,199     779,608  SH       X             01      773,420      1,665      4,523
ISHARES TR              MSCI EAFE  464287465      6,800      86,626  SH               X     01       28,035     42,930     15,661
ISHARES TR              RSSL MCP VL464287473      3,739      26,510  SH       X             01       26,222                   288
ISHARES TR              RSSL MCP VL464287473        749       5,313  SH               X     01        1,293      4,020
ISHARES TR              RSSL MCP GR464287481      5,662      49,696  SH       X             01       49,339                   357
ISHARES TR              RSSL MCP GR464287481        247       2,170  SH               X     01        1,938        232
ISHARES TR              RSSLMID CAP464287499      4,459      43,068  SH       X             01       39,061                 4,007
ISHARES TR              RSSLMID CAP464287499         20         190  SH               X     01                     190
ISHARES TR              SP MC 400  464287507     16,622     195,693  SH       X             01      194,414      1,250         29
ISHARES TR              SP MC 400  464287507      2,672      31,458  SH               X     01        6,984     24,474
ISHARES TR              S&P GSTI   464287549        227       3,810  SH       X             01        3,810
ISHARES TR              CS RLTY    464287564      3,962      50,057  SH       X             01       49,808                   249
ISHARES TR              CS RLTY    464287564         16         205  SH               X     01                     205
ISHARES TR              CONS SRVC  464287580      1,535      24,825  SH       X             01       24,711                   114
ISHARES TR              CONS SRVC  464287580          4          61  SH               X     01                      61
ISHARES TR              RUSL1000VAL464287598        916      11,417  SH       X             01        9,996                 1,421
ISHARES TR              RUSL1000VAL464287598        546       6,800  SH               X     01                              6,800
ISHARES TR              SP MC 400GR464287606      1,887      21,178  SH       X             01       21,178
ISHARES TR              RUSL1000GRW464287614      5,201      85,563  SH       X             01       83,528                 2,035
ISHARES TR              RUSL1000GRW464287614        593       9,756  SH               X     01                   5,406      4,350
ISHARES TR              RUSL1000   464287622      2,267      28,477  SH       X             01       28,369        108
ISHARES TR              RUSL2000VAL464287630      6,052      85,868  SH       X             01       84,894                   974
ISHARES TR              RUSL2000VAL464287630        842      11,949  SH               X     01        1,193      9,216      1,540
ISHARES TR              RUSL2000GR 464287648      1,642      19,666  SH       X             01       19,311                   355
ISHARES TR              RUSL2000GR 464287648        103       1,235  SH               X     01          679        556
ISHARES TR              RUSL 2000  464287655     15,334     201,976  SH       X             01      201,770         94        112
ISHARES TR              RUSL 2000  464287655      1,416      18,650  SH               X     01        3,601     15,049
ISHARES TR              DJUS UTILS 464287697      1,784      17,418  SH       X             01       17,289                   129
ISHARES TR              DJUS UTILS 464287697         29         281  SH               X     01                     281
ISHARES TR              SP MIDCPVAL464287705     14,090     177,105  SH       X             01      176,275        200        630
ISHARES TR              SP MIDCPVAL464287705      4,757      59,790  SH               X     01       50,443      9,347
ISHARES TR              DJUS TELCOM464287713      7,277     246,521  SH       X             01      245,205                 1,316
ISHARES TR              DJUS TELCOM464287713         93       3,163  SH               X     01                   3,163
ISHARES TR              DJ US TECH 464287721      2,120      33,943  SH       X             01       33,104                   839
ISHARES TR              DJ US TECH 464287721         87       1,395  SH               X     01                   1,395
ISHARES TR              DJ USRLEST 464287739        306       4,655  SH       X             01        4,655
ISHARES TR              DJ USRLEST 464287739        263       4,000  SH               X     01                   4,000
ISHARES TR              DJ INDUST  464287754        462       6,351  SH       X             01        6,351
ISHARES TR              DJ INDUST  464287754         37         506  SH               X     01          118        388
ISHARES TR              DJ HEALTH  464287762      4,454      63,028  SH       X             01       62,763                   265
ISHARES TR              DJ HEATLH  464287762         93       1,319  SH               X     01                   1,319
ISHARES TR              DJ FINL    464287770     25,490     249,562  SH       X             01      246,546        500      2,516
ISHARES TR              DJ FINL    464287770        330       3,231  SH               X     01                   3,231
ISHARES TR              DJ FINL    464287788      1,106      11,746  SH       X             01       11,746
ISHARES TR              DJ FINL    464287788        112       1,191  SH               X     01          308        883
ISHARES TR              DJ ENERGY  464287796      3,093      22,585  SH       X             01       22,508                    77
ISHARES TR              DJ ENERGY  464287796         12          84  SH               X     01                      84
ISHARES TR              SP SMCAP600464287804      2,839      43,659  SH       X             01       43,653                     6
ISHARES TR              SP SMCAP600464287804      1,359      20,903  SH               X     01                  20,903
ISHARES TR              CONS GOODS 464287812      2,362      36,958  SH       X             01       36,686                   272
ISHARES TR              CONS GOODS 464287812         99       1,555  SH               X     01          958        597
ISHARES TR              DJ BAS MATL464287838      1,667      21,667  SH       X             01       21,587                    80
ISHARES TR              DJ BAS MATL464287838         14         176  SH               X     01                     176
ISHARES TR              SP EURO PL 464287861        523       4,577  SH       X             01        4,577
ISHARES TR              SP SMLCPVAL464287879      5,373      76,751  SH       X             01       76,528                   223
ISHARES TR              SP SMLCPVAL464287879        557       7,950  SH               X     01        7,608        342
ISHARES TR              LG VAL IDX 464288109        420       5,199  SH       X             01        5,199





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
ISHARES TR              MID COR IDX464288208        222       2,689  SH       X             01        2,689
ISHARES TR              MID GRW IDX464288307        501       5,002  SH       X             01        5,002
ISHARES TR              MID VAL IDX464288406      1,172      14,899  SH       X             01       14,899
ISHARES TR              MID VAL IDX464288406        207       2,625  SH               X     01        2,625
ISHARES TR              RETAIL IDX 464288547        323       8,771  SH       X             01        8,625                   146
ISHARES TR              RETAIL IDX 464288547          3          75  SH               X     01                      75
ISHARES TR              SMLL GRTH  464288604        248       3,032  SH       X             01        3,032
ISHARES TR              LHMN INTERC464288638      1,469      14,550  SH       X             01       14,550
ISHARES TR              SML VAL IDX464288703      5,763      77,881  SH       X             01       77,881
ISHARES TR              DJ REG BK  464288778     14,405     383,124  SH       X             01      380,692                 2,432
ISHARES TR              DJ REG BK  464288778         77       2,045  SH               X     01                   2,045
ISHARES TR              DJ INS IDX 464288786      2,177      43,851  SH       X             01       43,601                   250
ISHARES TR              DJ INS IDX 464288786         12         242  SH               X     01                     242
ISHARES TR              DJ BD      464288794        382       7,467  SH       X             01        7,467
ISHARES TR              DJ BD      464288794          2          31  SH               X     01                      31
ISHARES TR              MSCI VAL   464288877      1,442      20,045  SH       X             01       20,045
ISHARES TR              MSCI VAL   464288877         22         300  SH               X     01                     300
ISHARES TR              MSCI GRW   464288885      1,573      20,240  SH       X             01       20,240
ISHARES TR              MSCI GRW   464288885        145       1,869  SH               X     01                   1,869
ISTAR FINL INC          COM        45031U101        233       8,963  SH       X             01        8,116        847
ITT CORP NEW            COM        450911102     17,306     262,049  SH       X             01      261,705        244        100
ITT CORP NEW            COM        450911102        149       2,259  SH               X     01        1,170      1,089
ITT EDUCATIONAL SERVI   COM        45068B109        510       5,978  SH       X             01        5,923                    55
ITT EDUCATIONAL SERVI   COM        45068B109         19         225  SH               X     01                     145         80
IVANHOE MINES LTD       COM        46579N103          2         143  SH       X             01          143
IVANHOE MINES LTD       COM        46579N103        184      17,169  SH               X     01                  17,169
JACOBS ENGR GROUP INC   COM        469814107      6,027      63,041  SH       X             01       63,041
JACOBS ENGR GROUP INC   COM        469814107         46         483  SH               X     01          200        158        125
JANUS CAP GROUP INC     COM        47102X105      2,562      77,984  SH       X             01       77,463                   521
JANUS CAP GROUP INC     COM        47102X105         19         564  SH               X     01                     564
JAPAN EQUITY FD INC     COM        471057109        158      21,384  SH       X             01       21,384
JAPAN EQUITY FD INC     COM        471057109          4         500  SH               X     01                     500
JDA SOFTWARE GROUP INC  COM        46612K108      4,535     221,658  SH       X             01      221,388                   270
JOHNSON & JOHNSON       COM        478160104     53,098     796,069  SH       X             01      768,154     14,293     13,622
JOHNSON & JOHNSON       COM        478160104      6,599      98,936  SH               X     01       15,490     81,089      2,357
JOHNSON CTLS INC        COM        478366107     21,566     598,399  SH       X             01      586,209      9,234      2,956
JOHNSON CTLS INC        COM        478366107      7,271     201,736  SH               X     01       22,350    169,834      9,552
JP MORGAN CHASE & CO    COM        46625H100     43,858   1,004,768  SH       X             01      994,797      6,640      3,331
JP MORGAN CHASE & CO    COM        46625H100     10,221     234,157  SH               X     01      163,504     63,958      6,695
JUNIPER NETWORKS INC    COM        48203R104      3,305      99,556  SH       X             01       99,556
JUNIPER NETWORKS INC    COM        48203R104         48       1,451  SH               X     01                   1,101        350
K V PHARMACEUTICAL CO   CL A       482740206      3,085     108,104  SH       X             01      108,104
K V PHARMACEUTICAL CO   CL A       482740206         14         484  SH               X     01                     484
KAYDON CORP             COM        486587108      2,678      49,098  SH       X             01       48,993                   105
KAYNE ANDERSON MLP IN   COM        486606106        208       7,093  SH       X             01        7,093
KBR INC                 COM        48242W106        244       6,301  SH       X             01        6,071                   230
KELLOGG CO              COM        487836108     13,375     255,097  SH       X             01      249,422      2,846      2,829
KELLOGG CO              COM        487836108      6,436     122,763  SH               X     01       12,614    110,149
KELLWOOD CO             COM        488044108        196      11,755  SH       X             01       11,755
KEYCORP NEW             COM        493267108      1,886      80,440  SH       X             01       79,562        235        643
KEYCORP NEW             COM        493267108        151       6,446  SH               X     01        4,546      1,900
KIMBERLY CLARK CORP     COM        494368103     14,755     212,787  SH       X             01      199,372     12,010      1,405
KIMBERLY CLARK CORP     COM        494368103      4,532      65,366  SH               X     01       17,099     44,967      3,300
KIMCO REALTY CORP       COM        49446R109      3,287      90,304  SH       X             01       89,694        190        420
KIMCO REALTY CORP       COM        49446R109         35         975  SH               X     01                     975
KINDER MORGAN ENERGY    UT LTD PART494550106      1,006      18,638  SH       X             01       18,638
KINDER MORGAN ENERGY    UT LTD PART494550106        444       8,215  SH               X     01                   6,980      1,235
KINROSS GOLD CORP       COM NO PAR 496902404        923      50,173  SH       X             01       50,173
KINROSS GOLD CORP       COM NO PAR 496902404        146       7,947  SH               X     01                   7,947
KKR FINANCIAL HLDGS     COM        48248A306        113       8,046  SH       X             01        6,627      1,419
KKR FINANCIAL HLDGS     COM        48248A306         40       2,829  SH               X     01        1,319      1,510
KNOLOGY INC             COM        499183804      1,829     143,077  SH       X             01      143,077
KOHLS CORP              COM        500255104     18,270     398,901  SH       X             01      382,115      8,657      8,129
KOHLS CORP              COM        500255104      1,770      38,652  SH               X     01        2,175     35,184      1,293
KONINKLIJKE AHOLD N V   SPON ADR 20500467402        171      12,296  SH       X             01       12,296
KONINKLIJKE AHOLD N V   SPON ADR 20500467402          6         424  SH               X     01                     424
KOREA ELECTRIC PWR      SPONS ADR  500631106        140       6,715  SH       X             01        6,715
KOREA ELECTRIC PWR      SPONS ADR  500631106        379      18,199  SH               X     01                  18,199
KRAFT FOODS INC         CL A       50075N104      8,842     270,972  SH       X             01      269,655        412        905
KRAFT FOODS INC         CL A       50075N104      4,567     139,959  SH               X     01        1,900    138,059
KROGER CO               COM        501044101      7,382     276,380  SH       X             01      276,033                   347
KROGER CO               COM        501044101         84       3,158  SH               X     01                   3,158
KT CORP                 SPONS ADR  48268K101         75       2,920  SH       X             01        2,920
KT CORP                 SPONS ADR  48268K101        655      25,392  SH               X     01                  25,392
KULICKE & SOFFA INDS    COM        501242101        184      26,803  SH       X             01       26,803
L-3 COMMUNICATIONS HL   COM        502424104      5,642      53,253  SH       X             01       53,253
L-3 COMMUNICATIONS HL   COM        502424104        142       1,336  SH               X     01          365        191        780
LABORATORY CORP AMER    COM NEW    50540R409      1,793      23,743  SH       X             01       21,428                 2,315
LABORATORY CORP AMER    COM NEW    50540R409        561       7,424  SH               X     01        1,027      1,330      5,067
LAM RESEARCH CORP       COM        512807108      1,731      40,049  SH       X             01       39,869                   180
LAM RESEARCH CORP       COM        512807108          9         210  SH               X     01                     210
LAS VEGAS SANDS CORP    COM        517834107        320       3,107  SH       X             01        3,107
LAS VEGAS SANDS CORP    COM        517834107         12         121  SH               X     01                                121
LAUDER ESTEE COS INC    CL A       518439104      1,670      38,297  SH       X             01       37,342        955
LAUDER ESTEE COS INC    CL A       518439104        228       5,218  SH               X     01          100      5,118
LEGG MASON INC          COM        524901105        379       5,179  SH       X             01        5,079                   100
LEGG MASON INC          COM        524901105         67         916  SH               X     01                     916
LEGGETT & PLATT INC     COM        524660107        734      42,061  SH       X             01       41,871         85        105
LEGGETT & PLATT INC     COM        524660107         21       1,230  SH               X     01                   1,230





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
LEHMAN BROS HLDGS INC   COM        524908100      7,994     122,157  SH       X             01      120,685         50      1,422
LEHMAN BROS HLDGS INC   COM        524908100        671      10,260  SH               X     01        1,272      4,483      4,505
LEUCADIA NATL CORP      COM        527288104        405       8,596  SH       X             01        8,596
LEUCADIA NATL CORP      COM        527288104        112       2,371  SH               X     01                     171      2,200
LG PHILIP LCD CO LTD    SPONS ADR R50186V102      3,240     124,695  SH       X             01      123,835                   860
LG PHILIP LCD CO LTD    SPONS ADR R50186V102         30       1,171  SH               X     01                     561        610
LIBERTY GLOBAL INC      COM SER A  530555101      6,276     160,147  SH       X             01      160,147
LIBERTY GLOBAL INC      COM SER A  530555101         86       2,192  SH               X     01                              2,192
LIBERTY MEDIA HLDG CO   CAP COM SER53071M302      8,225      70,608  SH       X             01       70,608
LIBERTY MEDIA HLDG CO   CAP COM SER53071M302         80         689  SH               X     01                                689
LIFE TIME FITNESS INC   COM        53217R207      5,543     111,578  SH       X             01      111,340                   238
LIFE TIME FITNESS INC   COM        53217R207          2          36  SH               X     01                      36
LIFECELL CORP           COM        531927101      1,741      40,393  SH       X             01       40,268                   125
LIFECELL CORP           COM        531927101          4         100  SH               X     01                                100
LIFECORE BIOMEDICAL     COM        532187101        213      14,750  SH       X             01       14,750
LILLY ELI & CO          COM        532457108     17,677     331,093  SH       X             01      325,683      3,843      1,567
LILLY ELI & CO          COM        532457108     14,710     275,523  SH               X     01      252,629     21,294      1,600
LINCOLN NATL CORP IND   COM        534187109      2,910      49,982  SH       X             01       49,672         60        250
LINCOLN NATL CORP IND   COM        534187109      1,595      27,404  SH               X     01       16,916     10,488
LINEAR TECHNOLOGY COR   COM        535678106        282       8,875  SH       X             01        8,633         30        212
LINEAR TECHNOLOGY COR   COM        535678106        139       4,374  SH               X     01                   3,374      1,000
LOCKHEED MARTIN CORP    COM        539830109     23,464     222,916  SH       X             01      217,506      2,472      2,938
LOCKHEED MARTIN CORP    COM        539830109      2,171      20,623  SH               X     01        1,288     12,857      6,478
LOEWS CORP              COM        540424108      2,961      58,826  SH       X             01       58,826
LOEWS CORP              COM        540424108        456       9,060  SH               X     01                   9,060
LOEWS CORP              CAROLNA GP 540424207      8,323      97,578  SH       X             01       97,578
LOGITECH INTL S A       SHS        H50430232      1,036      28,269  SH       X             01       24,491                 3,778
LOGITECH INTL S A       SHS        H50430232        560      15,271  SH               X     01        1,730      2,239     11,302
LOWES COS INC           COM        548661107      2,432     107,522  SH       X             01      105,178      1,940        404
LOWES COS INC           COM        548661107        488      21,574  SH               X     01        2,900     18,674
M & T BK CORP           COM        55261F104      2,982      36,563  SH       X             01       36,563
M & T BK CORP           COM        55261F104          0           5  SH               X     01                       5
MACYS INC               COM        55616P104      1,141      44,116  SH       X             01       44,116
MACYS INC               COM        55616P104         71       2,753  SH               X     01                   2,753
MADISON CLAYMORE COVC   COM        556582104        153      13,400  SH       X             01       13,400
MAGMA DESIGN AUTOMATION COM        559181102      2,653     217,241  SH       X             01      217,241
MAIDENFORM BRANDS INC   COM        560305104        154      11,381  SH       X             01       10,931                   450
MANITOWOC INC           COM        563571108      7,702     157,726  SH       X             01      157,626                   100
MANITOWOC INC           COM        563571108        271       5,556  SH               X     01                   4,904        652
MANPOWER INC            COM        56418H100      8,378     147,242  SH       X             01      147,127                   115
MANPOWER INC            COM        56418H100        109       1,920  SH               X     01                   1,850         70
MANULIFE FINL CORP      COM        56501R106        702      17,232  SH       X             01       17,232
MANULIFE FINL CORP      COM        56501R106         31         758  SH               X     01                     758
MARATHON OIL CORP       COM        565849106     11,594     190,501  SH       X             01      187,392        251      2,858
MARATHON OIL CORP       COM        565849106      1,188      19,521  SH               X     01        1,037      9,246      9,238
MARCUS CORP             COM        566330106         17       1,125  SH       X             01        1,125
MARCUS CORP             COM        566330106        334      21,620  SH               X     01          300     19,050      2,270
MARSH & MCLENNAN COS    COM        571748102        236       8,911  SH       X             01        8,911
MARSH & MCLENNAN COS    COM        571748102          6         220  SH               X     01                     220
MARSHALL & ILSLEY COR   COM        571834100      4,944     217,043  SH       X             01      217,043
MARSHALL & ILSLEY COR   COM        571834100          4         194  SH               X     01                     194
MARSHALL & ILSLEY COR   COM        571837103    139,792   5,279,152  SH       X             01    5,275,456      3,696
MARSHALL & ILSLEY COR   COM        571837103     42,074   1,588,890  SH               X     01        7,554  1,462,752    118,584
MASCO CORP              COM        574599106      2,513     116,295  SH       X             01      115,575        185        535
MASCO CORP              COM        574599106         42       1,956  SH               X     01          300      1,656
MASTERCARD INC          CL A       57636Q104      2,803      13,026  SH       X             01       12,896                   130
MASTERCARD INC          CL A       57636Q104         23         106  SH               X     01                     106
MATSUSHITA ELEC INDL    ADR        576879209        353      17,287  SH               X     01                  17,287
MATTEL INC              COM        577081102        589      30,935  SH       X             01       30,740         90        105
MATTEL INC              COM        577081102        107       5,600  SH               X     01                   3,045      2,555
MAX CAPITAL GROUP LTD   SHS        G6052F103        292      10,425  SH       X             01       10,425
MAX CAPITAL GROUP LTD   SHS        G6052F103         43       1,552  SH               X     01                     452      1,100
MAXIMUS INC             COM        577933104        646      16,730  SH       X             01       16,585                   145
MCAFEE INC              COM        579064106      2,617      69,782  SH       X             01       69,567                   215
MCCORMICK & CO INC      COM NON VTG579780206        376       9,920  SH       X             01        9,537         61        322
MCCORMICK & CO INC      COM NON VTG579780206          5         124  SH               X     01                     124
MCDONALDS CORP          COM        580135101     19,599     332,690  SH       X             01      329,679      2,017        994
MCDONALDS CORP          COM        580135101      2,733      46,393  SH               X     01       26,500     19,493        400
MCGRAW HILL COS INC     COM        580645109      3,076      70,211  SH       X             01       65,408      4,712         91
MCGRAW HILL COS INC     COM        580645109        368       8,411  SH               X     01                   8,411
MCKESSON CORP           COM        58155Q103        741      11,313  SH       X             01       11,313
MCKESSON CORP           COM        58155Q103          1          15  SH               X     01                      15
MDU RES GROUP INC       COM        552690109      3,732     135,177  SH       X             01       86,397     48,535        245
MDU RES GROUP INC       COM        552690109        394      14,260  SH               X     01                  14,260
MEADWESTVACO CORP       COM        583334107      8,684     277,438  SH       X             01      277,002        140        296
MEADWESTVACO CORP       COM        583334107        286       9,143  SH               X     01                   9,143
MEDASSETS INC           COM        584045108      2,753     115,013  SH       X             01      115,013
MEDCO HEALTH SOLUTION   COM        58405U102      7,864      77,551  SH       X             01       76,860        483        208
MEDCO HEALTH SOLUTION   COM        58405U102        413       4,072  SH               X     01          100      3,822        150
MEDTRONIC INC           COM        585055106     10,847     215,767  SH       X             01      210,887      2,040      2,840
MEDTRONIC INC           COM        585055106      1,477      29,387  SH               X     01          200     29,187
MEMC ELECTR MATLS INC   COM        552715104      5,209      58,860  SH       X             01       56,889                 1,971
MEMC ELECTR MATLS INC   COM        552715104        864       9,760  SH               X     01          720      2,637      6,403
MERCK & CO INC          COM        589331107     26,105     449,240  SH       X             01      439,587      5,373      4,280
MERCK & CO INC          COM        589331107      4,076      70,136  SH               X     01       18,322     50,414      1,400
MEREDITH CORP           COM        589433101        619      11,254  SH       X             01       10,596         22        636
MEREDITH CORP           COM        589433101         37         665  SH               X     01                     665
MERRILL LYNCH & CO INC  COM        590188108      6,493     120,954  SH       X             01      120,196         80        678
MERRILL LYNCH & CO INC  COM        590188108        204       3,799  SH               X     01          100      3,595        104





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
METALICO INC            COM        591176102      3,731     345,103  SH       X             01      345,103
METAVANTE TECHNOLOGIES  COM        591407101     41,340   1,772,721  SH       X             01    1,771,489      1,232
METAVANTE TECHNOLOGIES  COM        591407101     12,118     519,647  SH               X     01        2,518    478,963     38,166
METLIFE INC             COM        59156R108      7,822     126,940  SH       X             01      126,612         65        263
METLIFE INC             COM        59156R108        224       3,643  SH               X     01          100      3,543
METTLER TOLEDO INTL     COM        592688105        184       1,621  SH       X             01        1,541                    80
METTLER TOLEDO INTL     COM        592688105         97         848  SH               X     01                                848
MFA MTG INVTS INC       COM        55272X102         50       5,382  SH       X             01        5,382
MFA MTG INVTS INC       COM        55272X102         48       5,160  SH               X     01                              5,160
MGE ENERGY INC          COM        55277P104      1,593      44,915  SH       X             01       41,315                 3,600
MGE ENERGY INC          COM        55277P104        119       3,350  SH               X     01                   3,350
MGM MIRAGE              COM        552953101        247       2,942  SH       X             01        2,942
MGM MIRAGE              COM        552953101        130       1,549  SH               X     01                   1,499         50
MICRON TECHNOLOGY INC   COM        595112103        272      37,497  SH       X             01       37,497
MICRON TECHNOLOGY INC   COM        595112103         10       1,370  SH               X     01                   1,370
MICROSEMI CORP          COM        595137100      2,145      96,874  SH       X             01       96,874
MICROSOFT CORP          COM        594918104     64,626   1,815,331  SH       X             01    1,735,360     42,136     37,835
MICROSOFT CORP          COM        594918104      9,350     262,648  SH               X     01       27,907    229,585      5,156
MIDCAP SPDR TR          UNIT SER 1 595635103      8,563      55,208  SH       X             01       55,072                   136
MIDCAP SPDR TR          UNIT SER 1 595635103        761       4,909  SH               X     01                   4,909
MIDDLEBY CORP           COM        596278101      5,268      68,761  SH       X             01       68,761
MIDDLEBY CORP           COM        596278101         27         352  SH               X     01          136        216
MILLENNIUM PHARMACEUT   COM        599902103      1,924     128,424  SH       X             01      127,994                   430
MILLENNIUM PHARMACEUT   COM        599902103          1         100  SH               X     01                     100
MILLICOM INTL CELLULAR  SHS NEW    L6388F110      2,084      17,671  SH       X             01       17,571                   100
MILLICOM INTL CELLULAR  SHS NEW    L6388F110         50         427  SH               X     01                                427
MILLIPORE CORP          COM        601073109        333       4,556  SH       X             01        4,502                    54
MILLIPORE CORP          COM        601073109          1          11  SH               X     01                      11
MINDRAY MEDICAL INTL    SPON ADR   602675100      5,218     121,445  SH       X             01      121,445
MINDRAY MEDICAL INTL    SPON ADR   602675100        206       4,800  SH               X     01                   4,800
MITSUBISHI UFJ FINL     SPONS ADR  606822104        214      22,975  SH       X             01       22,975
MITSUBISHI UFJ FINL     SPONS ADR  606822104          4         480  SH               X     01                     480
MIZUHO FINL GROUP INC   SPONS ADR  60687Y109        165      17,290  SH       X             01       17,290
MODINE MFG CO           COM        607828100        894      54,128  SH       X             01       53,788                   340
MODINE MFG CO           COM        607828100        321      19,450  SH               X     01        2,000     17,250        200
MOLEX INC               CL A       608554200        171       6,511  SH       X             01        3,311                 3,200
MOLEX INC               CL A       608554200        108       4,106  SH               X     01                   4,106
MOLSON COORS BREWING    CL B       60871R209        365       7,066  SH       X             01        6,273        720         73
MOLSON COORS BREWING    CL B       60871R209          5          96  SH               X     01                      96
MONSANTO CO NEW         COM        61166W101     22,604     202,385  SH       X             01      198,372      1,234      2,779
MONSANTO CO NEW         COM        61166W101      2,182      19,534  SH               X     01          647     16,001      2,886
MONSTER WORLDWIDE INC   COM        611742107        249       7,692  SH       X             01        7,692
MONSTER WORLDWIDE INC   COM        611742107          7         230  SH               X     01                     230
MOODYS CORP             COM        615369105        349       9,783  SH       X             01        9,486         60        237
MOODYS CORP             COM        615369105        103       2,876  SH               X     01           50      2,826
MOOG INC                CL A       615394202      3,640      79,457  SH       X             01       79,332                   125
MORGAN STANLEY          COM NEW    617446448     15,024     282,882  SH       X             01      277,082      3,901      1,899
MORGAN STANLEY          COM NEW    617446448      1,437      27,051  SH               X     01          538     24,318      2,195
MOSAIC CO               COM        61945A107        451       4,776  SH       X             01        4,776
MOSAIC CO               COM        61945A107        198       2,100  SH               X     01                   2,100
MOTOROLA INC            COM        620076109      2,120     132,166  SH       X             01      130,900        212      1,054
MOTOROLA INC            COM        620076109        571      35,618  SH               X     01        5,700     21,498      8,420
MPS GROUP INC           COM        553409103        115      10,490  SH       X             01        4,640                 5,850
MPS GROUP INC           COM        553409103         82       7,500  SH               X     01                   7,500
MRV COMMUNICATIONS INC  COM        553477100      1,642     707,961  SH       X             01      707,961
MSC SOFTWARE CORP       COM        553531104        231      17,760  SH       X             01       17,760
MTC TECHNOLOGIES INC    COM        55377A106        229       9,738  SH       X             01        9,738
MURPHY OIL CORP         COM        626717102     11,040     130,132  SH       X             01      130,061                    71
MURPHY OIL CORP         COM        626717102        628       7,404  SH               X     01                   7,404
MYLAN INC               COM        628530107        764      54,352  SH       X             01       54,352
MYLAN INC               COM        628530107         22       1,552  SH               X     01                   1,552
NABORS INDUSTRIES LTD   SHS        G6359F103        391      14,268  SH       X             01       14,055         90        123
NABORS INDUSTRIES LTD   SHS        G6359F103         12         452  SH               X     01                     452
NATIONAL BK GREECE      SPONS ADR  633643408      3,430     248,713  SH       X             01      248,713
NATIONAL CITY CORP      COM        635405103      2,301     139,804  SH       X             01      138,244        415      1,145
NATIONAL CITY CORP      COM        635405103        195      11,868  SH               X     01        5,288      6,580
NATIONAL FUEL GAS CO    COM        636180101        266       5,707  SH       X             01        4,867        725        115
NATIONAL FUEL GAS CO    COM        636180101         50       1,064  SH               X     01                     532        532
NATIONAL OILWELL VARCO  COM        637071101      4,864      66,218  SH       X             01       66,138                    80
NATIONAL OILWELL VARCO  COM        637071101        262       3,570  SH               X     01          200      3,060        310
NATIONAL SEMICONDUCTOR  COM        637640103        371      16,391  SH       X             01       16,207        128         56
NATIONAL SEMICONDUCTOR  COM        637640103         12         525  SH               X     01          200        325
NATUS MEDICAL INC DEL   COM        639050103      2,778     143,574  SH       X             01      143,574
NAVTEQ CORP             COM        63936L100      1,580      20,897  SH       X             01       20,897
NAVTEQ CORP             COM        63936L100        103       1,357  SH               X     01                   1,357
NEC CORP                ADR        629050204         66      14,385  SH       X             01       14,385
NETSCOUT SYS INC        COM        64115T104      3,871     303,136  SH       X             01      303,136
NETWORK APPLIANCE INC   COM        64120L104        244       9,792  SH       X             01        9,564                   228
NETWORK APPLIANCE INC   COM        64120L104          4         176  SH               X     01                     176
NEW YORK TIMES CO       CL A       650111107        546      31,172  SH       X             01       30,772        120        280
NEW YORK TIMES CO       CL A       650111107         18       1,030  SH               X     01                   1,030
NEWELL RUBBERMAID INC   COM        651229106      4,916     189,942  SH       X             01      189,217        460        265
NEWELL RUBBERMAID INC   COM        651229106         59       2,296  SH               X     01                   2,296
NEWFIELD EXPL CO        COM        651290108      8,210     155,780  SH       X             01      155,605                   175
NEWMONT MINING CORP     COM        651639106      1,073      21,965  SH       X             01       21,777         48        140
NEWMONT MINING CORP     COM        651639106        774      15,858  SH               X     01                  15,858
NEWS CORP               CL A       65248E104      3,687     179,936  SH       X             01      179,068                   868
NEWS CORP               CL A       65248E104        150       7,322  SH               X     01                   7,322
NEXCEN BRANDS INC       COM        653351106      3,069     634,009  SH       X             01      634,009





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
NEXEN INC               COM        65334H102        468      14,510  SH               X     01                  14,510
NICHOLAS-APPLEGATE CO   COM        65370F101        244      20,000  SH       X             01       20,000
NICOR INC               COM        654086107      1,739      41,056  SH       X             01       40,746        100        210
NICOR INC               COM        654086107         64       1,512  SH               X     01                   1,447         65
NIKE INC                CL B       654106103     10,680     166,248  SH       X             01      163,520      1,360      1,368
NIKE INC                CL B       654106103        792      12,328  SH               X     01          200     11,297        831
NIPPON TELEG & TEL CO   SPONS ADR  654624105        208       8,435  SH       X             01        8,435
NIPPON TELEG & TEL CO   SPONS ADR  654624105      1,188      48,172  SH               X     01                  48,172
NISOURCE INC            COM        65473P105        872      46,160  SH       X             01       44,922        120      1,118
NISOURCE INC            COM        65473P105        260      13,753  SH               X     01        5,132      2,991      5,630
NOBLE CORPORATION       SHS        G65422100      7,132     126,214  SH       X             01      124,480                 1,734
NOBLE CORPORATION       SHS        G65422100        339       5,997  SH               X     01          718        929      4,350
NOBLE ENERGY INC        COM        655044105     10,830     136,190  SH       X             01      136,190
NOBLE ENERGY INC        COM        655044105        157       1,976  SH               X     01                   1,976
NOKIA CORP              SPONS ADR  654902204      2,854      74,336  SH       X             01       72,476      1,860
NOKIA CORP              SPONS ADR  654902204      2,274      59,225  SH               X     01       32,525     21,625      5,075
NORDSTROM INC           COM        655664100      1,352      36,796  SH       X             01       33,316         54      3,426
NORDSTROM INC           COM        655664100        495      13,480  SH               X     01        1,717      5,218      6,545
NORFOLK SOUTHERN CORP   COM        655844108        916      18,161  SH       X             01       17,840         61        260
NORFOLK SOUTHERN CORP   COM        655844108         41         816  SH               X     01                     816
NORTH EUROPEAN OIL RTY  SH BEN INT 659310106        214       6,300  SH       X             01        6,300
NORTHERN TR CORP        COM        665859104     17,621     230,098  SH       X             01      225,221      3,068      1,809
NORTHERN TR CORP        COM        665859104      1,072      14,003  SH               X     01          885     13,118
NORTHROP GRUMMAN CORP   COM        666807102      6,344      80,677  SH       X             01       79,852        736         89
NORTHROP GRUMMAN CORP   COM        666807102        402       5,116  SH               X     01          320      4,796
NOVA BIOSOURCE FUELS    COM        65488W103         80      27,561  SH       X             01       27,561
NOVARTIS A G            SPONS ADR  66987V109        380       6,988  SH       X             01        6,788        200
NOVARTIS A G            SPONS ADR  66987V109        399       7,352  SH               X     01          200      2,788      4,364
NOVAVAX INC             COM        670002104        270      81,100  SH       X             01       81,100
NOVELL INC              COM        670006105        368      53,528  SH       X             01       53,042                   486
NOVELL INC              COM        670006105          4         570  SH               X     01                     570
NUANCE COMMUNICATIONS   COM        67020Y100      8,763     469,122  SH       X             01      469,122
NUANCE COMMUNICATIONS   COM        67020Y100         35       1,875  SH               X     01                   1,534        341
NUCOR CORP              COM        670346105      9,873     166,717  SH       X             01      166,540         44        133
NUCOR CORP              COM        670346105         31         527  SH               X     01                     527
NUVASIVE INC            COM        670704105      3,157      79,884  SH       X             01       79,884
NUVEEN DIVID ADVANTAGE  COM        67066V101        133      10,000  SH       X             01       10,000
NUVEEN MUN VALUE FD     COM        670928100        237      25,423  SH       X             01       25,423
NUVEEN MUN VALUE FD     COM        670928100        107      11,500  SH               X     01       11,500
NVIDIA CORP             COM        67066G104      5,914     173,841  SH       X             01      173,541        300
NVIDIA CORP             COM        67066G104        341      10,011  SH               X     01                   9,766        245
NYSE EURONEXT           COM        629491101      2,747      31,299  SH       X             01       31,299
NYSE EURONEXT           COM        629491101         26         300  SH               X     01                     300
O2MICRO INTERNATIONAL   SPONS ADR  67107W100      2,432     210,721  SH       X             01      210,721
OBAGI MEDICAL PRODUCTS  COM        67423R108      3,514     191,695  SH       X             01      191,695
OCCIDENTAL PETE CORP    COM        674599105      7,007      91,015  SH       X             01       90,296        228        491
OCCIDENTAL PETE CORP    COM        674599105        995      12,922  SH               X     01          920     12,002
OCEANEERING INTL INC    COM        675232102        123       1,820  SH       X             01        1,580                   240
OCEANEERING INTL INC    COM        675232102        422       6,264  SH               X     01           89      6,175
ODYSSEY MARINE EXPLOR   COM        676118102        171      27,640  SH       X             01       27,640
OGE ENERGY CORP         COM        670837103        396      10,917  SH       X             01       10,767                   150
OGE ENERGY CORP         COM        670837103         93       2,556  SH               X     01        2,556
OLD NATL BANCORP IND    COM        680033107        113       7,525  SH       X             01        7,525
OLD NATL BANCORP IND    COM        680033107         41       2,710  SH               X     01                   2,710
OLD REP INTL CORP       COM        680223104        394      25,565  SH       X             01       21,665                 3,900
OLD REP INTL CORP       COM        680223104      6,037     391,759  SH               X     01        1,406    381,198      9,155
OMNICOM GROUP INC       COM        681919106      3,638      76,539  SH       X             01       76,340         58        141
OMNICOM GROUP INC       COM        681919106         20         429  SH               X     01                     243        186
OMRIX BIOPHARMACEUTICAL COM        681989109      2,547      73,309  SH       X             01       73,309
ONEOK INC NEW           COM        682680103      9,039     201,903  SH       X             01      201,763                   140
OPEN JT STK CO-VIMPEL   SPONS ADR  68370R109        146       3,500  SH       X             01        3,500
OPEN JT STK CO-VIMPEL   SPONS ADR  68370R109        220       5,281  SH               X     01                   5,281
OPTIONSXPRESS HLDGS     COM        684010101      7,176     212,194  SH       X             01      212,019                   175
OPTIONSXPRESS HLDGS     COM        684010101          3         100  SH               X     01                     100
ORACLE CORP             COM        68389X105      9,779     433,078  SH       X             01      422,234      1,180      9,664
ORACLE CORP             COM        68389X105      1,791      79,335  SH               X     01       36,139     21,485     21,711
ORIENT-EXPRESS HOTELS   CL A       G67743107        500       8,700  SH       X             01        8,700
OSHKOSH TRUCK CORP      COM        688239201      3,265      69,081  SH       X             01       68,946                   135
OSHKOSH TRUCK CORP      COM        688239201      2,169      45,895  SH               X     01                  45,895
OSI PHARMACEUTICALS     COM        671040103      2,241      46,202  SH       X             01       46,202
OTTER TAIL CORP         COM        689648103        470      13,596  SH       X             01       13,596
OTTER TAIL CORP         COM        689648103         13         384  SH               X     01                     384
OWENS ILL INC           COM NEW    690768403      2,676      54,061  SH       X             01       54,061
OWENS ILL INC           COM NEW    690768403         24         489  SH               X     01                     489
PACCAR INC              COM        693718108        977      17,933  SH       X             01       17,839         49         45
PACCAR INC              COM        693718108        158       2,903  SH               X     01                   2,903
PALL CORP               COM        696429307        257       6,363  SH       X             01        6,214        102         47
PALL CORP               COM        696429307          9         211  SH               X     01                     211
PAREXEL INTL CORP       COM        699462107      3,642      75,400  SH       X             01       75,280                   120
PARKER HANNIFIN CORP    COM        701094104      7,900     104,896  SH       X             01      104,836         60
PARKER HANNIFIN CORP    COM        701094104        399       5,294  SH               X     01        1,132      4,162
PARTNERRE LTD           COM        G6852T105     10,284     124,612  SH       X             01      124,612
PATTERSON COMPANIES     COM        703395103        189       5,553  SH       X             01        5,553
PATTERSON COMPANIES     COM        703395103         20         600  SH               X     01                                600
PAYCHEX INC             COM        704326107        561      15,487  SH       X             01       15,164         50        273
PAYCHEX INC             COM        704326107         97       2,677  SH               X     01                   2,677
PEABODY ENERGY CORP     COM        704549104        358       5,803  SH       X             01        5,803
PEABODY ENERGY CORP     COM        704549104        527       8,543  SH               X     01                   7,283      1,260
PEDIATRIX MED GROUP     COM        705324101      7,037     103,253  SH       X             01      103,108                   145





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
PEDIATRIX MED GROUP     COM        705324101         25         370  SH               X     01          145        225
PENGROWTH ENERGY TR     TR UNIT NEW706902509        202      11,355  SH       X             01       11,355
PENN VA CORP            COM        707882106         30         683  SH       X             01          558                   125
PENN VA CORP            COM        707882106        372       8,536  SH               X     01        8,536
PENNEY J C INC          COM        708160106      2,266      51,513  SH       X             01       49,090        213      2,210
PENNEY J C INC          COM        708160106      1,207      27,444  SH               X     01        1,270     20,744      5,430
PEPCO HOLDINGS INC      COM        713291102      9,610     327,634  SH       X             01      327,634
PEPSI BOTTLING GROUP    COM        713409100        591      14,978  SH       X             01       14,978
PEPSI BOTTLING GROUP    COM        713409100         10         243  SH               X     01                     243
PEPSIAMERICAS INC       COM        71343P200      2,412      72,383  SH       X             01       71,533                   850
PEPSIAMERICAS INC       COM        71343P200         15         456  SH               X     01                     456
PEPSICO INC             COM        713448108     31,844     419,555  SH       X             01      405,290      9,479      4,786
PEPSICO INC             COM        713448108      8,969     118,168  SH               X     01       28,991     74,024     15,153
PERKINELMER INC         COM        714046109        356      13,686  SH       X             01       13,357         59        270
PERKINELMER INC         COM        714046109         13         513  SH               X     01                     513
PEROT SYS CORP          CL A       714265105        267      19,800  SH       X             01       15,000                 4,800
PEROT SYS CORP          CL A       714265105         43       3,200  SH               X     01                   3,200
PERRIGO CO              COM        714290103      8,623     246,308  SH       X             01      246,138                   170
PETMED EXPRESS INC      COM        716382106      2,336     193,039  SH       X             01      192,594                   445
PETROHAWK ENERGY CORP   COM        716495106      3,829     221,210  SH       X             01      221,210
PETROHAWK ENERGY CORP   COM        716495106         29       1,691  SH               X     01          218      1,473
PETROLEO BRASILEIRO     SPONS ADR  71654V408        195       1,692  SH       X             01        1,608                    84
PETROLEO BRASILEIRO     SPONS ADR  71654V408        247       2,145  SH               X     01                   1,250        895
PFIZER INC              COM        717081103     33,390   1,468,966  SH       X             01    1,418,701     33,126     17,139
PFIZER INC              COM        717081103      5,113     224,966  SH               X     01       32,425    185,684      6,857
PG&E CORP               COM        69331C108      4,580     106,278  SH       X             01      105,982                   296
PG&E CORP               COM        69331C108         89       2,058  SH               X     01                   1,536        522
PHARMACEUTICAL PROD     COM        717124101        135       3,336  SH       X             01        3,106                   230
PHARMACEUTICAL PROD     COM        717124101         79       1,966  SH               X     01                   1,966
PICO HLDGS INC          COM NEW    693366205      2,212      65,789  SH       X             01       65,789
PILGRIMS PRIDE CORP     COM        721467108      5,965     206,054  SH       X             01      206,054
PINNACLE WEST CAP COR   COM        723484101      3,409      80,372  SH       X             01       79,682        245        445
PINNACLE WEST CAP COR   COM        723484101         55       1,288  SH               X     01                   1,288
PITNEY BOWES INC        COM        724479100      2,174      57,150  SH       X             01       56,591        145        414
PITNEY BOWES INC        COM        724479100        173       4,556  SH               X     01                   3,956        600
PLAINS ALL AMERN PIPE   UNITLTDPRT 726503105        187       3,587  SH       X             01        3,587
PLAINS ALL AMERN PIPE   UNITLTDPRT 726503105         61       1,180  SH               X     01                              1,180
PLAINS EXPL& PRODTN CO  COM        726505100        404       7,479  SH       X             01        7,329                   150
PLAINS EXPL& PRODTN CO  COM        726505100         71       1,310  SH               X     01                              1,310
PLATINUM UNDERWRITER    COM        G7127P100        223       6,277  SH       X             01        6,277
PLATINUM UNDERWRITER    COM        G7127P100         51       1,423  SH               X     01                     403      1,020
PLUM CREEK TIMBER CO    COM        729251108      9,039     196,339  SH       X             01      192,911        739      2,689
PLUM CREEK TIMBER CO    COM        729251108      1,183      25,703  SH               X     01        2,100     23,603
PNC FINL SVCS GROUP     COM        693475105      2,555      38,921  SH       X             01       38,851                    70
PNC FINL SVCS GROUP     COM        693475105        545       8,294  SH               X     01                   6,694      1,600
POTASH CORP SASK INC    COM        73755L107        275       1,913  SH       X             01        1,828                    85
POTASH CORP SASK INC    COM        73755L107        385       2,674  SH               X     01                   1,770        904
POWELL INDS INC         COM        739128106      1,097      24,900  SH               X     01                  24,900
POWERSHARES DB CMDTY    UNITBENINT 73935S105        885      28,051  SH       X             01       28,051
POWERSHARES DB CMDTY    UNITBENINT 73935S105          8         240  SH               X     01                     240
POWERSHARES ETF TRUST   PRVT EQTY  73935X195        413      18,736  SH       X             01       18,736
POWERSHARES ETF TRUST   WNDRHLL    73935X500        366      13,201  SH       X             01       13,201
POWERSHARES ETF TRUST   WATER RSRC 73935X575        451      21,085  SH       X             01       21,085
POWERSHARES ETF TRUST   WATER RSRC 73935X575         21       1,000  SH               X     01                   1,000
POWERSHARES ETF TRUST   FTSERAF100073935X583      7,894     135,776  SH       X             01      124,340      1,200     10,236
POWERSHARES ETF TRUST   FTSERAF100073935X583        156       2,682  SH               X     01                   2,682
POWERSHARES ETF TRUST   DYNBIOT&GEN73935X856        191      10,212  SH       X             01       10,212
POWERSHARES QQQ TRUST   UNIT SER 1 73935A104      1,452      28,345  SH       X             01       27,795        500         50
POWERSHARES QQQ TRUST   UNIT SER 1 73935A104         72       1,404  SH               X     01                   1,404
PPG INDS INC            COM        693506107      9,404     133,899  SH       X             01      133,624         85        190
PPG INDS INC            COM        693506107        363       5,171  SH               X     01        3,930      1,241
PPL CORP                COM        69351T106     11,694     224,501  SH       X             01      224,391                   110
PPL CORP                COM        69351T106         21         400  SH               X     01                     400
PRAXAIR INC             COM        74005P104      9,582     108,011  SH       X             01      100,824        380      6,807
PRAXAIR INC             COM        74005P104      1,337      15,067  SH               X     01        7,092      3,896      4,079
PRECISION CASTPARTS CO  COM        740189105      5,414      39,032  SH       X             01       37,723                 1,309
PRECISION CASTPARTS CO  COM        740189105        924       6,662  SH               X     01          592      2,008      4,062
PREMIERE GLOBAL SVCS    COM        740585104      3,097     208,549  SH       X             01      208,549
PREMIERE GLOBAL SVCS    COM        740585104         20       1,325  SH               X     01                   1,325
PRICE T ROWE GROUP INC  COM        74144T108      2,679      44,004  SH       X             01       43,842         66         96
PRICE T ROWE GROUP INC  COM        74144T108        235       3,862  SH               X     01        2,975        612        275
PRICELINE COM INC       COM NEW    741503403      2,619      22,801  SH       X             01       22,801
PRICESMART INC          COM        741511109      2,305      76,683  SH       X             01       76,683
PRINCIPAL FINANCIAL     COM        74251V102      6,669      96,878  SH       X             01       96,737         29        112
PRINCIPAL FINANCIAL     COM        74251V102         23         340  SH               X     01                     340
PROASSURANCE CORP       COM        74267C106        319       5,803  SH       X             01        5,698                   105
PROASSURANCE CORP       COM        74267C106         25         450  SH               X     01                     450
PROCTER & GAMBLE CO     COM        742718109     65,917     897,813  SH       X             01      871,725     12,499     13,589
PROCTER & GAMBLE CO     COM        742718109     12,281     167,273  SH               X     01       26,830    131,571      8,872
PROGRESS ENERGY INC     COM        743263105     14,158     292,342  SH       X             01      288,466        926      2,950
PROGRESS ENERGY INC     COM        743263105        254       5,241  SH               X     01                   5,241
PROGRESS SOFTWARE COR   COM        743312100      2,605      77,359  SH       X             01       77,184                   175
PROGRESSIVE CORP OHIO   COM        743315103      4,275     223,128  SH       X             01      216,815      2,336      3,977
PROGRESSIVE CORP OHIO   COM        743315103        255      13,288  SH               X     01                  10,316      2,972
PROLOGIS                SH BEN INT 743410102      6,439     101,586  SH       X             01      101,150         85        351
PROLOGIS                SH BEN INT 743410102         41         645  SH               X     01                     645
PROTECTIVE LIFE CORP    COM        743674103     10,402     253,574  SH       X             01      251,559                 2,015
PROTECTIVE LIFE CORP    COM        743674103         80       1,950  SH               X     01                   1,950
PRUDENTIAL FINL INC     COM        744320102      2,390      25,689  SH       X             01       25,458         54        177





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
PRUDENTIAL FINL INC     COM        744320102         56         598  SH               X     01          143        355        100
PUBLIC STORAGE          COM        74460D109        582       7,922  SH       X             01        7,922
PUBLIC STORAGE          COM        74460D109         56         764  SH               X     01                     764
PUBLIC SVC ENTERPRISE   COM        744573106        904       9,201  SH       X             01        9,201
PUBLIC SVC ENTERPRISE   COM        744573106        236       2,398  SH               X     01                   2,398
QUALCOMM INC            COM        747525103     11,436     290,630  SH       X             01      283,843      3,617      3,170
QUALCOMM INC            COM        747525103      1,384      35,173  SH               X     01          100     35,073
QUANTA SVCS INC         COM        74762E102        178       6,802  SH       X             01        6,572                   230
QUANTA SVCS INC         COM        74762E102         27       1,014  SH               X     01                   1,014
QUANTUM CORP            COM DSSG   747906204      3,386   1,258,553  SH       X             01    1,258,553
QUEST DIAGNOSTICS INC   COM        74834L100        161       3,043  SH       X             01        2,980                    63
QUEST DIAGNOSTICS INC   COM        74834L100        197       3,717  SH               X     01                     947      2,770
QUESTAR CORP            COM        748356102        309       5,705  SH       X             01        5,705
QUESTAR CORP            COM        748356102         87       1,600  SH               X     01                   1,600
QUICKSILVER RESOURCES   COM        74837R104      4,691      78,726  SH       X             01       78,616                   110
QUICKSILVER RESOURCES   COM        74837R104         57         950  SH               X     01                                950
QUINTANA MARITIME LTD   SHS        Y7169G109        264      11,500  SH       X             01       11,500
QWEST COMMUNICATIONS    COM        749121109      8,549   1,219,564  SH       X             01    1,219,564
QWEST COMMUNICATIONS    COM        749121109          6         853  SH               X     01                     853
RADIAN GROUP INC        COM        750236101        113       9,656  SH       X             01        9,656
RADIAN GROUP INC        COM        750236101         13       1,112  SH               X     01                   1,112
RANGE RES CORP          COM        75281A109      1,402      27,300  SH       X             01       27,300
RAYONIER INC            COM        754907103        117       2,472  SH       X             01        2,347                   125
RAYONIER INC            COM        754907103        472      10,000  SH               X     01                  10,000
RAYTHEON CO             COM NEW    755111507      6,988     115,122  SH       X             01      112,499      1,200      1,423
RAYTHEON CO             COM NEW    755111507        628      10,338  SH               X     01          579      9,759
REALTY INCOME CORP      COM        756109104        260       9,622  SH       X             01        9,422                   200
REGAL BELOIT CORP       COM        758750103     28,756     639,725  SH       X             01      639,605                   120
REGAL BELOIT CORP       COM        758750103        390       8,686  SH               X     01                   8,686
REGIONS FINANCIAL COR   COM        7591EP100      3,677     155,495  SH       X             01      153,395        505      1,595
REGIONS FINANCIAL COR   COM        7591EP100        227       9,601  SH               X     01                   5,576      4,025
REHABCARE GROUP INC     COM        759148109        590      26,156  SH       X             01       25,901                   255
RENAISSANCERE HOLDING   COM        G7496G103        249       4,137  SH       X             01        3,587        550
RENAISSANCERE HOLDING   COM        G7496G103         64       1,060  SH               X     01                   1,060
REPUBLIC SVCS INC       COM        760759100     10,115     322,634  SH       X             01      322,414                   220
REPUBLIC SVCS INC       COM        760759100        105       3,352  SH               X     01                   3,352
RESEARCH IN MOTION LT   COM        760975102      2,461      21,702  SH       X             01       18,645                 3,057
RESEARCH IN MOTION LT   COM        760975102        689       6,077  SH               X     01          375      2,469      3,233
RESMED INC              COM        761152107        283       5,383  SH       X             01        5,383
RESMED INC              COM        761152107         29         550  SH               X     01          550
REYNOLDS AMERICAN INC   COM        761713106      7,069     107,168  SH       X             01      105,744        326      1,098
REYNOLDS AMERICAN INC   COM        761713106         54         819  SH               X     01                     819
RIO TINTO PLC           SPONS ADR  767204100        371         883  SH       X             01          883
ROCK-TENN CO            CL A       772739207        261      10,285  SH       X             01       10,285
ROCKWELL AUTOMATION     COM        773903109      1,776      25,748  SH       X             01       25,522         38        188
ROCKWELL AUTOMATION     COM        773903109        370       5,361  SH               X     01          375      2,086      2,900
ROCKWELL COLLINS INC    COM        774341101      2,687      37,330  SH       X             01       37,007         70        253
ROCKWELL COLLINS INC    COM        774341101        430       5,975  SH               X     01          450      5,360        165
ROGERS CORP             COM        775133101        265       6,120  SH       X             01        6,120
ROHM & HAAS CO          COM        775371107        257       4,834  SH       X             01        4,808                    26
ROHM & HAAS CO          COM        775371107         36         678  SH               X     01          663         15
ROPER INDS INC NEW      COM        776696106      3,872      61,914  SH       X             01       61,794                   120
ROWAN COS INC           COM        779382100        281       7,118  SH       X             01        7,118
ROWAN COS INC           COM        779382100          5         125  SH               X     01                     125
ROYAL DUTCH SHELL PLC   SPON ADR B 780259107        579       6,972  SH       X             01        6,972
ROYAL DUTCH SHELL PLC   SPON ADR B 780259107        631       7,598  SH               X     01                   7,598
ROYAL DUTCH SHELL PLC   SPONS ADR A780259206      7,665      91,028  SH       X             01       91,028
ROYAL DUTCH SHELL PLC   SPONS ADR A780259206      2,640      31,352  SH               X     01       14,930     14,422      2,000
RPM INTL INC            COM        749685103         80       3,945  SH       X             01        3,790                   155
RPM INTL INC            COM        749685103        228      11,250  SH               X     01                  11,250
RYDER SYS INC           COM        783549108        218       4,638  SH       X             01        4,507                   131
RYDER SYS INC           COM        783549108          7         139  SH               X     01                     139
RYDEX ETF TRUST         S&P 500 EQ 78355W106      2,741      58,093  SH       X             01       58,093
RYDEX ETF TRUST         S&P 500 EQ 78355W106        122       2,584  SH               X     01          829      1,755
SADIA S A               SP ADR PFD 786326108      2,493      43,591  SH       X             01       43,591
SAFECO CORP             COM        786429100        396       7,118  SH       X             01        6,996         47         75
SAFECO CORP             COM        786429100          8         137  SH               X     01                     137
SAFEWAY INC             COM NEW    786514208     10,881     318,054  SH       X             01      318,054
SAFEWAY INC             COM NEW    786514208         18         530  SH               X     01                     530
SAKS INC                COM        79377W108        374      18,000  SH       X             01       17,656                   344
SANOFI AVENTIS          SPONS ADR  80105N105        403       8,847  SH       X             01        8,847
SANOFI AVENTIS          SPONS ADR  80105N105        701      15,403  SH               X     01                  14,225      1,178
SAP AKTIENGESELLSCHAFT  SPONS ADR  803054204        169       3,301  SH       X             01        3,211                    90
SAP AKTIENGESELLSCHAFT  SPONS ADR  803054204        413       8,095  SH               X     01        6,210        400      1,485
SARA LEE CORP           COM        803111103      3,127     194,687  SH       X             01      191,793      2,236        658
SARA LEE CORP           COM        803111103        374      23,258  SH               X     01        3,800     15,608      3,850
SATYAM COMPUTER SVCS    ADR        804098101        212       7,940  SH       X             01        7,940
SATYAM COMPUTER SVCS    ADR        804098101        473      17,700  SH               X     01          300     17,400
SBA COMMUNICATIONS CO   COM        78388J106      3,449     101,920  SH       X             01      101,920
SBA COMMUNICATIONS CO   COM        78388J106         87       2,583  SH               X     01                   2,583
SCANA CORP NEW          COM        80589M102        178       4,228  SH       X             01        1,832                 2,396
SCANA CORP NEW          COM        80589M102        182       4,320  SH               X     01                     800      3,520
SCHEIN HENRY INC        COM        806407102        238       3,884  SH       X             01        3,644                   240
SCHEIN HENRY INC        COM        806407102         23         367  SH               X     01                     367
SCHERING PLOUGH CORP    COM        806605101      8,568     321,633  SH       X             01      321,014        134        485
SCHERING PLOUGH CORP    COM        806605101        234       8,792  SH               X     01          100      4,988      3,704
SCHLUMBERGER LTD        COM        806857108     18,511     188,174  SH       X             01      184,753      1,256      2,165
SCHLUMBERGER LTD        COM        806857108      3,367      34,224  SH               X     01       18,328     15,746        150
SCHWAB CHARLES CORP     COM        808513105     11,701     457,946  SH       X             01      449,866      2,200      5,880





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
SCHWAB CHARLES CORP     COM        808513105        201       7,883  SH               X     01                   7,883
SCIELE PHARMA INC       COM        808627103        284      13,880  SH       X             01       13,630                   250
SCIELE PHARMA INC       COM        808627103         33       1,608  SH               X     01          207      1,401
SEAGATE TECHNOLOGY      SHS        G7945J104      3,830     150,198  SH       X             01      150,198
SEALED AIR CORP NEW     COM        81211K100      7,574     327,307  SH       X             01      327,307
SEALED AIR CORP NEW     COM        81211K100         90       3,875  SH               X     01                   3,875
SEARS HLDGS CORP        COM        812350106        271       2,658  SH       X             01        2,658
SEARS HLDGS CORP        COM        812350106          1           5  SH               X     01                       5
SEI INVESTMENTS CO      COM        784117103        352      10,956  SH       X             01        9,186      1,600        170
SEI INVESTMENTS CO      COM        784117103         11         328  SH               X     01                                328
SELECT SECTOR SPDR TR   SBICONSDISC81369Y407        675      20,627  SH       X             01       20,627
SELECT SECTOR SPDR TR   SBICONSDISC81369Y407         11         343  SH               X     01                     343
SELECT SECTOR SPDR TR   SBIINT-ENGY81369Y506        210       2,642  SH       X             01        2,642
SELECT SECTOR SPDR TR   SBIINT-FINL81369Y605      3,192     110,340  SH       X             01      109,940                   400
SELECT SECTOR SPDR TR   SBIINT-FINL81369Y605          4         149  SH               X     01                     149
SELECT SECTOR SPDR TR   SBIINT-INDS81369Y704      3,478      88,803  SH       X             01       88,281                   522
SELECT SECTOR SPDR TR   SBIINT-INDS81369Y704         16         420  SH               X     01                     420
SELECT SECTOR SPDR TR   SBIINT-TECH81369Y803        477      17,884  SH       X             01       17,078                   806
SELECT SECTOR SPDR TR   SBIINT-TECH81369Y803        315      11,803  SH               X     01                  11,803
SELECT SECTOR SPDR TR   SBIINT-UTIL81369Y886        279       6,587  SH       X             01        6,587
SELECT SECTOR SPDR TR   SBIINT-UTIL81369Y886        133       3,136  SH               X     01                   3,136
SEMPRA ENERGY           COM        816851109      8,557     138,290  SH       X             01      138,290
SEMPRA ENERGY           COM        816851109         67       1,085  SH               X     01                     671        414
SENSIENT TECHNOLOGIES   COM        81725T100        215       7,607  SH       X             01        7,402                   205
SENSIENT TECHNOLOGIES   COM        81725T100        185       6,550  SH               X     01                   3,925      2,625
SHERWIN WILLIAMS CO     COM        824348106      1,101      18,972  SH       X             01       18,972
SHERWIN WILLIAMS CO     COM        824348106         31         540  SH               X     01                     540
SHIP FINANCE INTERNAT   SHS        G81075106        284      10,257  SH       X             01        7,727      2,530
SHIP FINANCE INTERNAT   SHS        G81075106         87       3,125  SH               X     01        1,025      1,300        800
SHIRE PLC               SPONS ADR  82481R106      3,327      48,256  SH       X             01       48,160                    96
SHIRE PLC               SPONS ADR  82481R106         70       1,017  SH               X     01                              1,017
SIEMENS A G             SPONS ADR  826197501        178       1,132  SH       X             01        1,085                    47
SIEMENS A G             SPONS ADR  826197501        707       4,494  SH               X     01                   4,002        492
SIGMA ALDRICH CORP      COM        826552101      2,226      40,763  SH       X             01       40,481         84        198
SIGMA ALDRICH CORP      COM        826552101        309       5,663  SH               X     01                   5,663
SIGNATURE BK NEW YORK   COM        82669G104      2,840      84,143  SH       X             01       83,978                   165
SIMON PPTY GROUP INC    COM        828806109      4,433      51,037  SH       X             01       49,616        472        949
SIMON PPTY GROUP INC    COM        828806109        247       2,849  SH               X     01        2,315        534
SINCLAIR BROADCAST GR   CL A       829226109        109      13,250  SH       X             01       13,250
SIRIUS SATELLITE RADIO  COM        82966U103         35      11,450  SH       X             01       11,450
SJW CORP                COM        784305104        211       6,100  SH               X     01                   6,100
SK TELECOM LTD          SPONS ADR  78440P108        212       7,089  SH       X             01        7,089
SK TELECOM LTD          SPONS ADR  78440P108         10         350  SH               X     01                                350
SKYWORKS SOLUTIONS IN   COM        83088M102        125      14,649  SH       X             01       14,024                   625
SMITH A O               COM        831865209        297       8,460  SH       X             01        8,305                   155
SMITH A O               COM        831865209        212       6,050  SH               X     01                   6,050
SMITH INTL INC          COM        832110100        491       6,648  SH       X             01        6,648
SMITH INTL INC          COM        832110100         40         544  SH               X     01                                544
SMUCKER J M CO          COM NEW    832696405         77       1,496  SH       X             01        1,496
SMUCKER J M CO          COM NEW    832696405        414       8,048  SH               X     01           40      8,000          8
SNAP ON INC             COM        833034101      7,802     161,725  SH       X             01      161,625                   100
SNAP ON INC             COM        833034101        500      10,355  SH               X     01        7,800      1,580        975
SONIC FDRY INC          COM        83545R108         29      20,800  SH       X             01       20,800
SONOCO PRODS CO         COM        835495102        232       7,084  SH       X             01        6,919                   165
SONOCO PRODS CO         COM        835495102          3         100  SH               X     01                     100
SONY CORP               ADR NEW    835699307      1,649      30,374  SH       X             01       30,274        100
SONY CORP               ADR NEW    835699307         14         256  SH               X     01                     256
SOUTHERN CO             COM        842587107      9,775     252,270  SH       X             01      245,935      1,848      4,487
SOUTHERN CO             COM        842587107        640      16,519  SH               X     01        3,102      8,647      4,770
SOUTHWEST AIRLS CO      COM        844741108      1,818     149,007  SH       X             01      149,007
SOUTHWEST AIRLS CO      COM        844741108         15       1,214  SH               X     01                   1,214
SOUTHWESTERN ENERGY CO  COM        845467109        796      14,289  SH       X             01       14,059                   230
SOVEREIGN BANCORP INC   COM        845905108        469      41,116  SH       X             01       41,116
SPDR SERIES TRUST       KBW BK ETF 78464A797      1,486      34,126  SH       X             01       34,126
SPDR SERIES TRUST       KBW BK ETF 78464A797         50       1,138  SH               X     01                   1,138
SPDR TR                 UNIT SER 1 78462F103     36,721     251,151  SH       X             01      249,180      1,971
SPDR TR                 UNIT SER 1 78462F103      3,878      26,521  SH               X     01        1,803     24,718
SPECTRA ENERGY CORP     COM        847560109      2,987     115,698  SH       X             01      115,142                   556
SPECTRA ENERGY CORP     COM        847560109        120       4,649  SH               X     01          802      3,847
SPECTRUM BRANDS INC     COM        84762L105        356      66,748  SH       X             01       66,748
SPIRIT AEROSYSTEMS HL   COM CL A   848574109      1,328      38,500  SH       X             01       38,500
SPRINT NEXTEL CORP      COM SER 1  852061100      2,930     223,172  SH       X             01      215,454        389      7,329
SPRINT NEXTEL CORP      COM SER 1  852061100        563      42,869  SH               X     01        1,463     29,271     12,135
SPX CORP                COM        784635104      2,825      27,467  SH       X             01       27,392                    75
SPX CORP                COM        784635104         21         200  SH               X     01          200
ST JUDE MED INC         COM        790849103        974      23,977  SH       X             01       23,577         88        312
ST JUDE MED INC         COM        790849103        199       4,892  SH               X     01                   4,892
ST MARY LD & EXPL CO    COM        792228108      6,860     177,668  SH       X             01      176,178                 1,490
ST MARY LD & EXPL CO    COM        792228108         39       1,000  SH               X     01                   1,000
STAGE STORES INC        COM NEW    85254C305        173      11,658  SH       X             01       11,658
STAGE STORES INC        COM NEW    85254C305         21       1,410  SH               X     01                              1,410
STANCORP FINL GROUP     COM        852891100      8,931     177,278  SH       X             01      177,173                   105
STANLEY WKS             COM        854616109        220       4,543  SH       X             01        4,543
STANLEY WKS             COM        854616109          6         116  SH               X     01                     116
STANTEC INC             COM        85472N109        211       5,400  SH       X             01        5,400
STAPLES INC             COM        855030102      1,382      59,924  SH       X             01       38,671                21,253
STAPLES INC             COM        855030102        440      19,079  SH               X     01                  15,679      3,400
STARBUCKS CORP          COM        855244109        695      33,956  SH       X             01       32,567        884        505
STARBUCKS CORP          COM        855244109        458      22,388  SH               X     01                  22,388





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
STATE STR CORP          COM        857477103      8,257     101,692  SH       X             01      101,636                    56
STATE STR CORP          COM        857477103         33         408  SH               X     01          150        258
STEEL DYNAMICS INC      COM        858119100      1,514      25,408  SH       X             01       25,268                   140
STEEL DYNAMICS INC      COM        858119100         34         570  SH               X     01                     570
STERICYCLE INC          COM        858912108      1,355      22,818  SH       X             01       22,698                   120
STERICYCLE INC          COM        858912108         62       1,042  SH               X     01                   1,042
STMICROELECTRONICS NV   NY REGIS   861012102        633      44,269  SH       X             01       44,269
STMICROELECTRONICS NV   NY REGIS   861012102          5         330  SH               X     01                     330
STORA ENSO CORP         SPON ADR   86210M106        407      27,667  SH       X             01       27,667
STORA ENSO CORP         SPON ADR   86210M106        477      32,446  SH               X     01                  32,446
STREETTRACKS GOLD TR    GOLD SHS   863307104        676       8,203  SH       X             01        8,203
STRYKER CORP            COM        863667101     14,104     188,762  SH       X             01      187,010         36      1,716
STRYKER CORP            COM        863667101        904      12,103  SH               X     01          125     11,978
SUCAMPO PHARMACEUTICAL  CL A       864909106      3,395     185,099  SH       X             01      185,099
SUN HEALTHCARE GROUP    COM NEW    866933401      3,849     224,147  SH       X             01      224,147
SUN HEALTHCARE GROUP    COM NEW    866933401         15         882  SH               X     01                     882
SUN MICROSYSTEMS INC    COM NEW    866810203        185      10,225  SH       X             01       10,225
SUN MICROSYSTEMS INC    COM NEW    866810203         18         984  SH               X     01           50        934
SUNCOR ENERGY INC       COM        867229106        842       7,744  SH       X             01        7,744
SUNCOR ENERGY INC       COM        867229106        683       6,280  SH               X     01          850      5,430
SUNOCO INC              COM        86764P109      5,001      69,038  SH       X             01       65,397        700      2,941
SUNOCO INC              COM        86764P109        247       3,413  SH               X     01                   3,413
SUNTRUST BKS INC        COM        867914103        941      15,063  SH       X             01       14,926         26        111
SUNTRUST BKS INC        COM        867914103         11         178  SH               X     01                     178
SUPERIOR ENERGY SVCS    COM        868157108      1,423      41,332  SH       X             01       41,267                    65
SUPERIOR ENERGY SVCS    COM        868157108          1          37  SH               X     01                      37
SUPERVALU INC           COM        868536103      1,715      45,700  SH       X             01       45,316        120        264
SUPERVALU INC           COM        868536103        215       5,724  SH               X     01          400      1,714      3,610
SYMANTEC CORP           COM        871503108        333      20,662  SH       X             01       20,128         72        462
SYMANTEC CORP           COM        871503108         12         724  SH               X     01          200        524
SYNAPTICS INC           COM        87157D109      4,478     108,790  SH       X             01      108,680                   110
SYNGENTA AG             SPONS ADR  87160A100        374       7,391  SH       X             01        7,391
SYNGENTA AG             SPONS ADR  87160A100         20         400  SH               X     01                     400
SYNIVERSE HLDGS INC     COM        87163F106        223      14,320  SH       X             01       14,320
SYNOPSYS INC            COM        871607107      9,748     375,944  SH       X             01      375,944
SYNOVUS FINL CORP       COM        87161C105        229       9,499  SH       X             01        9,155        109        235
SYNOVUS FINL CORP       COM        87161C105        300      12,471  SH               X     01                  12,471
SYSCO CORP              COM        871829107      2,473      79,244  SH       X             01       74,970        232      4,042
SYSCO CORP              COM        871829107      1,260      40,369  SH               X     01        1,860     37,509      1,000
TAIWAN SEMICONDUCTOR    SPONS ADR  874039100        105      10,498  SH       X             01        9,982                   516
TAIWAN SEMICONDUCTOR    SPONS ADR  874039100         86       8,623  SH               X     01                              8,623
TALEO CORP              CL A       87424N104      4,084     137,154  SH       X             01      137,154
TALISMAN ENERGY INC     COM        87425E103        200      10,825  SH       X             01       10,825
TALISMAN ENERGY INC     COM        87425E103        177       9,545  SH               X     01        1,800      7,745
TARGET CORP             COM        87612E106      9,050     180,992  SH       X             01      180,384        152        456
TARGET CORP             COM        87612E106      2,204      44,086  SH               X     01       25,770     18,316
TD AMERITRADE HLDG CO   COM        87236Y108      2,929     146,007  SH       X             01      146,007
TEAM FINANCIAL INC      COM        87815X109        252      17,000  SH       X             01                             17,000
TECH DATA CORP          COM        878237106      5,083     134,761  SH       X             01      134,611                   150
TECHNE CORP             COM        878377100         85       1,285  SH       X             01        1,205                    80
TECHNE CORP             COM        878377100        330       5,000  SH               X     01                   5,000
TECO ENERGY INC         COM        872375100        178      10,371  SH       X             01       10,371
TECO ENERGY INC         COM        872375100         11         646  SH               X     01                     646
TEKELEC                 COM        879101103        210      16,800  SH       X             01       16,800
TELECOM ITALIA S P A    SPONS ADR  87927Y102        318      10,326  SH       X             01       10,326
TELECOM ITALIA S P A    SPONS ADR  87927Y102          8         271  SH               X     01                     271
TELECOM ITALIA S P A    SPONS ADR  87927Y201        696      29,625  SH               X     01                  29,625
TELEFONICA S A          SPONS ADR  879382208        322       3,304  SH       X             01        3,224                    80
TELEFONICA S A          SPONS ADR  879382208         87         889  SH               X     01                      41        848
TELEFONOS DE MEXICO SAB SPONS ADR  879403780        315       8,556  SH       X             01        8,556
TELLABS INC             COM        879664100         75      11,498  SH       X             01       11,498
TELLABS INC             COM        879664100         13       2,020  SH               X     01                   2,020
TERADATA CORP DEL       COM        88076W103        249       9,069  SH       X             01        9,069
TERADATA CORP DEL       COM        88076W103         45       1,642  SH               X     01                   1,342        300
TESORO CORP             COM        881609101        180       3,769  SH       X             01        3,769
TESORO CORP             COM        881609101         31         648  SH               X     01                     648
TEVA PHARMACEUTICAL     ADR        881624209      4,469      96,157  SH       X             01       95,854                   303
TEVA PHARMACEUTICAL     ADR        881624209      1,102      23,716  SH               X     01       15,180      6,921      1,615
TEXAS INSTRS INC        COM        882508104      2,989      89,486  SH       X             01       84,400        802      4,284
TEXAS INSTRS INC        COM        882508104      1,297      38,827  SH               X     01        2,521     26,845      9,461
TEXTRON INC             COM        883203101      3,881      54,427  SH       X             01       54,037                   390
TEXTRON INC             COM        883203101        220       3,085  SH               X     01                   2,810        275
THERMO FISHER SCIENTIF  COM        883556102     19,834     343,870  SH       X             01      340,658         57      3,155
THERMO FISHER SCIENTIF  COM        883556102        706      12,238  SH               X     01        1,240      2,495      8,503
THESTREET COM           COM        88368Q103      5,113     321,189  SH       X             01      321,189
THIRD WAVE TECHNOLOGIES COM        88428W108         29       3,000  SH       X             01        3,000
THIRD WAVE TECHNOLOGIES COM        88428W108        127      13,200  SH               X     01                  13,200
TIME WARNER INC         COM        887317105     10,331     625,723  SH       X             01      612,775      3,448      9,500
TIME WARNER INC         COM        887317105      1,247      75,515  SH               X     01        2,500     60,605     12,410
TJX COS INC NEW         COM        872540109     11,057     384,849  SH       X             01      383,129        114      1,606
TJX COS INC NEW         COM        872540109        196       6,812  SH               X     01                   4,662      2,150
TNS INC                 COM        872960109      2,624     147,814  SH       X             01      147,814
TOMKINS PLC             SPONS ADR  890030208          4         255  SH       X             01          255
TOMKINS PLC             SPONS ADR  890030208        237      16,974  SH               X     01                  16,974
TORCHMARK CORP          COM        891027104        585       9,671  SH       X             01        9,531         39        101
TORCHMARK CORP          COM        891027104         15         247  SH               X     01                     247
TOTAL S A               SPONS ADR  89151E109        235       2,849  SH       X             01        2,772                    77
TOTAL S A               SPONS ADR  89151E109        816       9,883  SH               X     01                   7,328      2,555
TOYOTA MOTOR CORP       SPONS ADR  892331307         40         376  SH       X             01          376





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
TOYOTA MOTOR CORP       SPONS ADR  892331307        173       1,630  SH               X     01                   1,630
TRADESTATION GROUP INC  COM        89267P105      3,033     213,473  SH       X             01      213,033                   440
TRADESTATION GROUP INC  COM        89267P105          3         224  SH               X     01                     224
TRANSACT TECHNOLOGIES   COM        892918103        207      43,300  SH       X             01       43,300
TRANSOCEAN INC NEW      SHS        G90073100     21,799     152,281  SH       X             01      149,210      1,074      1,996
TRANSOCEAN INC NEW      SHS        G90073100      2,249      15,708  SH               X     01        2,851     11,147      1,709
TRAVELERS COMPANIES INC COM        89417E109     11,615     215,883  SH       X             01      215,754                   129
TRAVELERS COMPANIES INC COM        89417E109        265       4,934  SH               X     01                   2,065      2,869
TRIMBLE NAVIGATION LT   COM        896239100      1,580      52,241  SH       X             01       51,891                   350
TUPPERWARE BRANDS COR   COM        899896104      6,005     181,805  SH       X             01      181,635                   170
TUPPERWARE BRANDS COR   COM        899896104        428      12,968  SH               X     01                  12,418        550
TWIN DISC INC           COM        901476101        421       5,946  SH               X     01        1,680      4,266
TXCO RES INC            COM        87311M102      5,011     415,525  SH       X             01      415,525
TYCO ELECTRONICS LTD    COM NEW    G9144P105      1,317      35,479  SH       X             01       32,403                 3,076
TYCO ELECTRONICS LTD    COM NEW    G9144P105        313       8,442  SH               X     01          211      5,519      2,712
TYCO INTL LTD BERMUDA   SHS        G9143X208        876      22,090  SH       X             01       20,192                 1,898
TYCO INTL LTD BERMUDA   SHS        G9143X208        259       6,529  SH               X     01          211      4,328      1,990
UBS AG                  SHS NEW    H89231338      4,827     104,926  SH       X             01      102,856        762      1,308
UBS AG                  SHS NEW    H89231338        567      12,317  SH               X     01                  11,440        877
UGI CORP NEW            COM        902681105        271       9,936  SH       X             01        9,621                   315
ULTRA PETROLEUM CORP    COM        903914109      3,581      50,080  SH       X             01       50,080
ULTRA PETROLEUM CORP    COM        903914109         61         860  SH               X     01                     860
ULTRALIFE BATTERIES INC COM        903899102      2,790     138,462  SH       X             01      138,462
UNILEVER N V            N Y SHS    904784709        407      11,157  SH       X             01       11,157
UNILEVER N V            N Y SHS    904784709         30         810  SH               X     01                     810
UNILEVER PLC            SPON ADR   904767704         95       2,528  SH       X             01        2,528
UNILEVER PLC            SPON ADR   904767704        277       7,414  SH               X     01                   2,149      5,265
UNION PAC CORP          COM        907818108      3,263      25,976  SH       X             01       23,160      1,816      1,000
UNION PAC CORP          COM        907818108      1,069       8,506  SH               X     01          775      7,431        300
UNITED PARCEL SERVICE   CL B       911312106      8,512     120,362  SH       X             01      117,646        817      1,899
UNITED PARCEL SERVICE   CL B       911312106        872      12,324  SH               X     01           70     10,854      1,400
UNITED STATES STL COR   COM        912909108        315       2,604  SH       X             01        2,604
UNITED STATES STL COR   COM        912909108        209       1,727  SH               X     01                   1,727
UNITED TECHNOLOGIES C   COM        913017109     14,365     187,684  SH       X             01      181,488      2,918      3,278
UNITED TECHNOLOGIES C   COM        913017109      4,706      61,486  SH               X     01       17,246     30,487     13,753
UNITEDHEALTH GROUP IN   COM        91324P102      5,414      93,023  SH       X             01       92,438        116        469
UNITEDHEALTH GROUP IN   COM        91324P102      1,348      23,164  SH               X     01          550     20,253      2,361
UNIVERSAL HLTH SVCS     CL B       913903100        211       4,120  SH       X             01        4,120
UPM KYMMENE CORP        SPONS ADR  915436109        205      10,165  SH               X     01                  10,165
URBAN OUTFITTERS INC    COM        917047102      2,741     100,533  SH       X             01      100,333                   200
US BANCORP DEL          COM NEW    902973304     22,926     722,298  SH       X             01      700,792      5,629     15,877
US BANCORP DEL          COM NEW    902973304      3,754     118,265  SH               X     01       19,028     78,941     20,296
UST INC                 COM        902911106      8,971     163,710  SH       X             01      162,215        433      1,062
UST INC                 COM        902911106         56       1,023  SH               X     01                   1,023
UTI WORLDWIDE INC       ORD        G87210103        372      19,000  SH       X             01       19,000
V F CORP                COM        918204108      2,255      32,842  SH       X             01       32,027        700        115
V F CORP                COM        918204108         24         349  SH               X     01                     349
VAIL RESORTS INC        COM        91879Q109      5,111      94,991  SH       X             01       94,991
VAIL RESORTS INC        COM        91879Q109         50         930  SH               X     01                                930
VALEANT PHARMACEUTICA   COM        91911X104        135      11,307  SH       X             01       11,307
VALERO ENERGY CORP      COM        91913Y100      4,923      70,299  SH       X             01       70,049         44        206
VALERO ENERGY CORP      COM        91913Y100        212       3,032  SH               X     01                   3,032
VANGUARD BD INDEX FD    SHTTRMBND  921937827      2,057      26,700  SH       X             01       26,700
VANGUARD INDEX FDS      REIT ETF   922908553        286       4,650  SH       X             01        4,650
VANGUARD INDEX FDS      SMCPVALETF 922908611      4,703      72,760  SH       X             01       72,350                   410
VANGUARD INDEX FDS      EXTENDMKT  922908652        271       2,578  SH       X             01        2,578
VANGUARD INDEX FDS      GROWTH ETF 922908736        683      10,587  SH       X             01       10,587
VANGUARD INDEX FDS      VALUE ETF  922908744      1,229      18,509  SH       X             01       18,509
VANGUARD INDEX FDS      SMLCP ETF  922908751        244       3,588  SH       X             01        3,588
VANGUARD INDEX FDS      STK MRK ETF922908769      2,839      19,560  SH       X             01       19,560
VANGUARD INDEX FDS      STK MRK ETF922908769        559       3,850  SH               X     01        3,850
VANGUARD INTL EQUITY    EMR MKT ETF922042858      1,220      11,698  SH       X             01       11,698
VANGUARD INTL EQUITY    EMR MKT ETF922042858      1,095      10,500  SH               X     01       10,500
VANGUARD INTL EQUITY    PACIFIC ETF922042866        215       3,170  SH       X             01        3,170
VANGUARD INTL EQUITY    EURPEAN ETF922042874      6,035      80,657  SH       X             01       80,657
VANGUARD INTL EQUITY    EURPEAN ETF922042874        243       3,250  SH               X     01        1,225      2,025
VANGUARD TAX-MANAGED    EUROPE PAC 921943858        650      13,571  SH       X             01       13,571
VANGUARD WHITEHALL FD   HIGH DIV   921946406        453       8,867  SH       X             01        8,867
VANGUARD WHITEHALL FD   HIGH DIV   921946406         30         578  SH               X     01                     578
VANGUARD WORLD FDS      HLTH CARE  92204A504        438       7,221  SH       X             01        7,221
VANGUARD WORLD FDS      UTLITIES   92204A876        260       2,974  SH       X             01        2,974
VAN KAMPEN TR INVT GR   COM        920929106        267      19,370  SH       X             01       19,370
VAN KAMPEN TR INVT GR   COM        920929106        455      33,000  SH               X     01                  33,000
VAN KAMPEN MUN OPPORT   COM        920935103        326      22,992  SH       X             01       22,992
VAN KAMPEN MUN OPPORT   COM        920935103        469      33,000  SH               X     01                  33,000
VARIAN MED SYS INC      COM        92220P105        218       4,171  SH       X             01        3,971                   200
VARIAN MED SYS INC      COM        92220P105         74       1,410  SH               X     01                   1,410
VASCO DATA SEC INTL     COM        92230Y104      2,084      74,648  SH       X             01       74,648
VASCO DATA SEC INTL     COM        92230Y104         17         600  SH               X     01                     600
VECTREN CORP            COM        92240G101        369      12,718  SH       X             01       11,703        825        190
VECTREN CORP            COM        92240G101        175       6,046  SH               X     01        5,280        766
VEOLIA ENVIRONNEMENT    SPONS ADR  92334N103        266       2,920  SH       X             01        2,070        850
VEOLIA ENVIRONNEMENT    SPONS ADR  92334N103        400       4,400  SH               X     01                   4,400
VERIZON COMMUNICATION   COM        92343V104     46,862   1,072,611  SH       X             01    1,060,252      5,497      6,862
VERIZON COMMUNICATION   COM        92343V104      4,025      92,118  SH               X     01       26,909     55,600      9,609
VERTEX PHARMACEUTICAL   COM        92532F100      1,118      48,109  SH       X             01       48,109
VERTEX PHARMACEUTICAL   COM        92532F100          7         300  SH               X     01                     300
VIACOM INC NEW          CL B       92553P201        743      16,921  SH       X             01       16,818                   103
VIACOM INC NEW          CL B       92553P201        267       6,077  SH               X     01          658      4,044      1,375





REPORT PTR289 98                                                                                                      01/07/2008
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
VIAD CORP               COM NEW    92552R406        211       6,669  SH       X             01        6,489                   180
VISHAY INTERTECHNOLOGY  COM        928298108        116      10,149  SH       X             01       10,149
VISTAPRINT LIMITED      SHS        G93762204      2,667      62,234  SH       X             01       62,234
VODAFONE GROUP PLC NE   SPONS ADR  92857W209        994      26,629  SH       X             01       26,007        473        149
VODAFONE GROUP PLC NE   SPONS ADR  92857W209        965      25,866  SH               X     01                  22,633      3,233
VORNADO RLTY TR         SH BEN INT 929042109      1,201      13,659  SH       X             01       13,549         45         65
VORNADO RLTY TR         SH BEN INT 929042109        324       3,680  SH               X     01                   3,680
VULCAN MATLS CO         COM        929160109        575       7,272  SH       X             01        7,272
VULCAN MATLS CO         COM        929160109         36         458  SH               X     01                     458
WACHOVIA CORP NEW       COM        929903102      9,394     247,023  SH       X             01      242,832      2,056      2,135
WACHOVIA CORP NEW       COM        929903102      1,656      43,547  SH               X     01       12,990     28,197      2,360
WACOAL HOLDINGS CORP    ADR        930004205        323       5,036  SH               X     01                   5,036
WAL MART STORES INC     COM        931142103     17,726     372,938  SH       X             01      350,260     15,375      7,303
WAL MART STORES INC     COM        931142103      3,653      76,858  SH               X     01        4,025     64,586      8,247
WALGREEN CO             COM        931422109     12,625     331,542  SH       X             01      319,233      8,847      3,462
WALGREEN CO             COM        931422109      6,539     171,709  SH               X     01       32,250    124,859     14,600
WASHINGTON MUT INC      COM        939322103        413      30,346  SH       X             01       29,619        162        565
WASHINGTON MUT INC      COM        939322103         10         751  SH               X     01          378        373
WASTE MGMT INC DEL      COM        94106L109      5,171     158,272  SH       X             01      154,292      1,730      2,250
WASTE MGMT INC DEL      COM        94106L109      1,222      37,403  SH               X     01        2,100     26,146      9,157
WATERS CORP             COM        941848103      2,294      29,015  SH       X             01       27,795                 1,220
WATERS CORP             COM        941848103        257       3,245  SH               X     01          316        846      2,083
WAUSAU PAPER CORP       COM        943315101      1,261     140,223  SH       X             01      139,783                   440
WAUSAU PAPER CORP       COM        943315101        970     107,946  SH               X     01       57,693     50,153        100
WAUWATOSA HLDGS INC     COM        94348P108      9,567     746,236  SH       X             01        1,600               744,636
WEATHERFORD ITNL        COM        G95089101        869      12,665  SH       X             01       12,665
WEATHERFORD ITNL        COM        G95089101        175       2,555  SH               X     01                   2,555
WEINGARTEN RLTY INVS    SH BEN INT 948741103         38       1,204  SH       X             01        1,204
WEINGARTEN RLTY INVS    SH BEN INT 948741103        473      15,049  SH               X     01                  15,049
WELLPOINT INC           COM        94973V107     14,533     165,660  SH       X             01      161,768      2,335      1,557
WELLPOINT INC           COM        94973V107        619       7,056  SH               X     01                   7,056
WELLS FARGO & CO NEW    COM        949746101     29,547     978,709  SH       X             01      963,957      2,304     12,448
WELLS FARGO & CO NEW    COM        949746101      3,126     103,531  SH               X     01       31,207     70,324      2,000
WESTAR ENERGY INC       COM        95709T100        222       8,577  SH       X             01        8,362                   215
WESTAR ENERGY INC       COM        95709T100         18         704  SH               X     01                     704
WSTRN ASSET GLBL HG INC COM        95766B109        234      20,000  SH       X             01       20,000
WESTERN DIGITAL CORP    COM        958102105      2,354      77,907  SH       X             01       77,612                   295
WESTERN DIGITAL CORP    COM        958102105         26         850  SH               X     01                     525        325
WESTERN REFNG INC       COM        959319104        242      10,000  SH       X             01                             10,000
WESTERN UN CO           COM        959802109        830      34,167  SH       X             01       33,536                   631
WESTERN UN CO           COM        959802109         69       2,828  SH               X     01        1,750      1,078
WEYCO GROUP INC         COM        962149100          0           0  SH       X             01
WEYCO GROUP INC         COM        962149100        572      20,798  SH               X     01                  10,466     10,332
WEYERHAEUSER CO         COM        962166104     11,483     155,729  SH       X             01      149,838      4,320      1,571
WEYERHAEUSER CO         COM        962166104      1,497      20,302  SH               X     01        7,454     12,848
WHIRLPOOL CORP          COM        963320106      6,046      74,062  SH       X             01       70,062                 4,000
WHIRLPOOL CORP          COM        963320106        169       2,067  SH               X     01                   2,067
WILLIAMS COS INC DEL    COM        969457100        935      26,141  SH       X             01       25,504        129        508
WILLIAMS COS INC DEL    COM        969457100        357       9,977  SH               X     01                   9,977
WILLIS GROUP HOLDINGS   SHS        G96655108        884      23,275  SH       X             01       21,475                 1,800
WILLIS GROUP HOLDINGS   SHS        G96655108        359       9,445  SH               X     01                   3,800      5,645
WINDSTREAM CORP         COM        97381W104      6,125     470,393  SH       X             01      467,540        890      1,963
WINDSTREAM CORP         COM        97381W104        146      11,182  SH               X     01                  11,182
WISCONSIN ENERGY CORP   COM        976657106      6,209     127,468  SH       X             01      123,619      2,904        945
WISCONSIN ENERGY CORP   COM        976657106      1,715      35,215  SH               X     01        3,173     28,730      3,312
WISDOMTREE TRUST        LGCP DIV   97717W307        323       5,584  SH       X             01        5,584
WISDOMTREE TRUST        PAC EXJ    97717W828        263       3,212  SH       X             01        3,212
WOODWARD GOVERNOR CO    COM        980745103        915      13,461  SH       X             01       13,371                    90
WOODWARD GOVERNOR CO    COM        980745103         14         208  SH               X     01           83        125
WRIGHT MED GROUP INC    COM        98235T107      4,605     157,857  SH       X             01      157,857
WRIGHT MED GROUP INC    COM        98235T107         18         620  SH               X     01                     620
WRIGLEY WM JR CO        COM        982526105        407       6,956  SH       X             01        6,783         37        136
WRIGLEY WM JR CO        COM        982526105      1,886      32,218  SH               X     01        1,100     17,618     13,500
WYETH                   COM        983024100      6,696     151,522  SH       X             01      149,082      1,721        719
WYETH                   COM        983024100      2,474      55,990  SH               X     01        7,175     48,815
XCEL ENERGY INC         COM        98389B100      2,519     111,618  SH       X             01      110,510        344        764
XCEL ENERGY INC         COM        98389B100        127       5,609  SH               X     01                   5,609
XEROX CORP              COM        984121103     10,675     659,364  SH       X             01      659,364
XEROX CORP              COM        984121103         26       1,636  SH               X     01                   1,636
XILINX INC              COM        983919101        245      11,211  SH       X             01       10,982                   229
XILINX INC              COM        983919101         21         963  SH               X     01                     263        700
XTO ENERGY INC          COM        98385X106      1,725      33,581  SH       X             01       33,581
XTO ENERGY INC          COM        98385X106        514      10,015  SH               X     01                  10,015
YAHOO INC               COM        984332106      1,748      75,134  SH       X             01       74,468        123        543
YAHOO INC               COM        984332106        123       5,308  SH               X     01          150      5,158
YAMANA GOLD INC         COM        98462Y100         39       3,000  SH       X             01        3,000
YAMANA GOLD INC         COM        98462Y100        140      10,850  SH               X     01                  10,850
YUM BRANDS INC          COM        988498101      4,429     115,742  SH       X             01      115,634        108
YUM BRANDS INC          COM        988498101        292       7,642  SH               X     01          600      6,792        250
ZEP INC                 COM        98944B108        205      14,750  SH       X             01       14,750
ZIMMER HLDGS INC        COM        98956P102      1,189      17,972  SH       X             01       17,846         55         71
ZIMMER HLDGS INC        COM        98956P102        415       6,276  SH               X     01          300      5,932         44
ZOLTEK COS INC          COM        98975W104         45       1,060  SH       X             01        1,060
ZOLTEK COS INC          COM        98975W104      2,377      55,438  SH               X     01                  55,438





REPORT PTR289                                                                                                         01/07/2008
                                                    M&I INVESTMENT MANAGEMENT CORP.
                                              SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
AFLAC INC               COM        001055102        216       3,445  SH       X             05        3,445
AT&T INC                COM        00206R102        722      17,372  SH       X             05       17,372
AIR PRODS & CHEMS INC   COM        009158106        232       2,350  SH       X             05        2,350
ALTRIA GROUP INC        COM        02209S103        240       3,180  SH       X             05        3,180
AMEREN CORP             COM        023608102        461       8,510  SH       X             05        8,510
ANHEUSER BUSCH COS INC  COM        035229103        283       5,415  SH       X             05        5,415
BANK OF AMERICA CORP    COM        060505104        469      11,370  SH       X             05       11,370
BRISTOL MYERS SQUIBB    COM        110122108        223       8,395  SH       X             05        8,395
CHEVRON CORP NEW        COM        166764100        941      10,085  SH       X             05       10,085
CINCINNATI FINL CORP    COM        172062101        254       6,415  SH       X             05        6,415
CISCO SYS INC           COM        17275R102        388      14,338  SH       X             05       14,338
CITIGROUP INC           COM        172967101        414      14,070  SH       X             05       14,070
CITIZENS COMMUNICATIONS COM        17453B101        263      20,655  SH       X             05       20,655
COCA COLA CO            COM        191216100        791      12,890  SH       X             05       12,890
CONOCOPHILLIPS          COM        20825C104        517       5,855  SH       X             05        5,855
CONSOLIDATED EDISON INC COM        209115104        496      10,145  SH       X             05       10,145
DTE ENERGY CO           COM        233331107        219       4,990  SH       X             05        4,990
DEERE & CO              COM        244199105        322       3,460  SH       X             05        3,460
DELL INC                COM        24702R101        235       9,590  SH       X             05        9,590
DONNELLEY R R & SONS    COM        257867101        231       6,130  SH       X             05        6,130
DU PONT E I DE NEMOURS  COM        263534109        230       5,225  SH       X             05        5,225
ELECTRONIC ARTS INC     COM        285512109        218       3,730  SH       X             05        3,730
EMBARQ CORP             COM        29078E105        201       4,060  SH       X             05        4,060
EQUITY RESIDENTIAL      SH BEN INT 29476L107        227       6,230  SH       X             05        6,230
EXXON MOBIL CORP        COM        30231G102        505       5,395  SH       X             05        5,395
GENERAL ELECTRIC CO     COM        369604103        949      25,590  SH       X             05       25,590
GOOGLE INC              CL A       38259P508        270         390  SH       X             05          390
HEINZ H J CO            COM        423074103        247       5,300  SH       X             05        5,300
INTEL CORP              COM        458140100        218       8,184  SH       X             05        8,184
ISHARES TR              MSCI EAFE  464287465        415       5,291  SH       X             05        5,291
ISHARES TR              RUSL MCP GR464287481      5,418      47,550  SH       X             05       47,550
ISHARES TR              RUSL1000GR 464287614      2,589      42,600  SH       X             05       42,600
ISHARES TR              RUSL2000GR 464287648      6,228      74,600  SH       X             05       74,600
JOHNSON & JOHNSON       COM        478160104        453       6,790  SH       X             05        6,790
KELLOGG CO              COM        487836108        404       7,705  SH       X             05        7,705
LILLY ELI & CO          COM        532457108        228       4,275  SH       X             05        4,275
LOCKHEED MARTIN CORP    COM        539830109        264       2,510  SH       X             05        2,510
MERCK & CO INC          COM        589331107        312       5,375  SH       X             05        5,375
MICROSOFT CORP          COM        594918104        331       9,306  SH       X             05        9,306
MONSANTO CO NEW         COM        61166W101        251       2,250  SH       X             05        2,250
NORTHERN TR CORP        COM        665859104        226       2,946  SH       X             05        2,946
OCULUS INNOVATIVE       COM        67575P108        126      30,674  SH       X             05       30,674
PFIZER INC              COM        717081103        484      21,300  SH       X             05       21,300
PITNEY BOWES INC        COM        724479100        235       6,170  SH       X             05        6,170
PLUM CREEK TIMBER CO    COM        729251108        443       9,630  SH       X             05        9,630
PROCTER & GAMBLE CO     COM        742718109        305       4,150  SH       X             05        4,150
PROGRESS ENERGY INC     COM        743263105        547      11,295  SH       X             05       11,295
SCHWAB CHARLES CORP     COM        808513105        266      10,400  SH       X             05       10,400
SOUTHERN CO             COM        842587107        353       9,100  SH       X             05        9,100
SPECTRA ENERGY CORP     COM        847560109        250       9,670  SH       X             05        9,670
US BANCORP DEL          COM NEW    902973304        332      10,455  SH       X             05       10,455
VERIZON COMMUNICATIONS  COM        92343V104        583      13,345  SH       X             05       13,345
WACHOVIA CORP NEW       COM        929903102        375       9,865  SH       X             05        9,865
WELLS FARGO & CO NEW    COM        949746101        517      17,125  SH       X             05       17,125
WEYERHAEUSER CO         COM        962166104        317       4,300  SH       X             05        4,300
WINDSTREAM CORP         COM        97381W104        318      24,435  SH       X             05       24,435





REPORT PTR289                                                                                                         01/07/2008
                                                       NORTH STAR TRUST COMPANY
                                              SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - 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 OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
---------------------------------------------------------------------------------------------------------------------------------
                                                                               
AFLAC INC               COM        001055102      1,013      16,175  SH       X           03 01      16,175
AFLAC INC               COM        001055102        169       2,700  SH               X   03 01       2,000        700
AT&T INC                COM        00206R102      2,173      52,283  SH       X           03 01      52,283
AT&T INC                COM        00206R102        593      14,262  SH               X   03 01      13,235      1,027
ABBOTT LABS             COM        002824100        893      15,900  SH       X           03 01      15,900
ABBOTT LABS             COM        002824100        101       1,800  SH               X   03 01       1,300        500
ALLIANT ENERGY CORP     COM        018802108        814      20,000  SH       X           03 01      20,000
ALLIANT ENERGY CORP     COM        018802108        230       5,650  SH               X   03 01       4,750        900
ANHEUSER BUSCH COS INC  COM        035229103        916      17,500  SH       X           03 01      17,500
ANHEUSER BUSCH COS INC  COM        035229103        105       2,000  SH               X   03 01       1,350        650
APACHE CORP             COM        037411105      1,648      15,325  SH       X           03 01      15,325
APACHE CORP             COM        037411105        269       2,500  SH               X   03 01       2,500
BP PLC                  SPONS ADR  055622104        363       4,960  SH       X           03 01       4,960
BP PLC                  SPONS ADR  055622104        188       2,563  SH               X   03 01       2,288        275
BANK OF AMERICA CORP    COM        060505104      1,160      28,112  SH       X           03 01      28,112
BANK OF AMERICA CORP    COM        060505104        158       3,824  SH               X   03 01       2,874        950
BHP BILLITON LTD        SPONS ADR  088606108      1,958      27,950  SH       X           03 01      27,950
BHP BILLITON LTD        SPONS ADR  088606108        186       2,650  SH               X   03 01       2,250        400
BLUE CHIP VALUE FD INC  COM        095333100         54      10,300  SH       X           03 01      10,300
BRISTOL MYERS SQUIBB CO COM        110122108        779      29,365  SH       X           03 01      29,365
BRISTOL MYERS SQUIBB CO COM        110122108         88       3,300  SH               X   03 01       3,200        100
CHEVRON CORP NEW        COM        166764100        378       4,051  SH       X           03 01       4,051
CHEVRON CORP NEW        COM        166764100        161       1,728  SH               X   03 01       1,128        600
CISCO SYS INC           COM        17275R102      1,536      56,740  SH       X           03 01      56,740
CISCO SYS INC           COM        17275R102        166       6,150  SH               X   03 01       5,000      1,150
COCA COLA CO            COM        191216100      1,042      16,974  SH       X           03 01      16,974
COCA COLA CO            COM        191216100        196       3,200  SH               X   03 01       2,600        600
CONOCOPHILLIPS          COM        20825C104      2,003      22,684  SH       X           03 01      22,684
CONOCOPHILLIPS          COM        20825C104        239       2,706  SH               X   03 01       2,362        344
DANAHER CORP DEL        COM        235851102      1,568      17,870  SH       X           03 01      17,870
DANAHER CORP DEL        COM        235851102        241       2,750  SH               X   03 01       2,225        525
DENTSPLY INTL INC NEW   COM        249030107        979      21,750  SH       X           03 01      21,750
DENTSPLY INTL INC NEW   COM        249030107        122       2,700  SH               X   03 01       2,050        650
DU PONT E I DE NEMOURS  COM        263534109        388       8,795  SH       X           03 01       8,795
DU PONT E I DE NEMOURS  COM        263534109        123       2,800  SH               X   03 01       2,500        300
EMERSON ELEC CO         COM        291011104      1,466      25,875  SH       X           03 01      25,875
EMERSON ELEC CO         COM        291011104        233       4,110  SH               X   03 01       3,310        800
EXELON CORP             COM        30161N101        928      11,366  SH       X           03 01      11,366
EXELON CORP             COM        30161N101        263       3,226  SH               X   03 01       3,226
EXXON MOBIL CORP        COM        30231G102      2,635      28,120  SH       X           03 01      28,120
EXXON MOBIL CORP        COM        30231G102        553       5,900  SH               X   03 01       4,925        975
GENERAL ELECTRIC CO     COM        369604103      1,690      45,585  SH       X           03 01      45,585
GENERAL ELECTRIC CO     COM        369604103        257       6,920  SH               X   03 01       5,570      1,350
GILEAD SCIENCES INC     COM        375558103      1,963      42,675  SH       X           03 01      42,675
GILEAD SCIENCES INC     COM        375558103        228       4,950  SH               X   03 01       3,950      1,000
HEWLETT PACKARD CO      COM        428236103      2,462      48,775  SH       X           03 01      48,775
HEWLETT PACKARD CO      COM        428236103        291       5,765  SH               X   03 01       4,640      1,125
HONEYWELL INTL INC      COM        438516106        199       3,225  SH       X           03 01       3,225
HONEYWELL INTL INC      COM        438516106         35         562  SH               X   03 01         562
ILLINOIS TOOL WKS INC   COM        452308109        331       6,190  SH       X           03 01       6,190
ILLINOIS TOOL WKS INC   COM        452308109         36         670  SH               X   03 01         670
INTL BUSINESS MACHS     COM        459200101      1,043       9,645  SH       X           03 01       9,645
INTL BUSINESS MACHS     COM        459200101        218       2,013  SH               X   03 01       1,600        413
JOHNSON & JOHNSON       COM        478160104      1,132      16,977  SH       X           03 01      16,977
JOHNSON & JOHNSON       COM        478160104        227       3,400  SH               X   03 01       2,200      1,200
KELLOGG CO              COM        487836108      1,883      35,915  SH       X           03 01      35,915
KELLOGG CO              COM        487836108        206       3,925  SH               X   03 01       2,900      1,025
KIMBERLY CLARK CORP     COM        494368103        719      10,375  SH       X           03 01      10,375
KIMBERLY CLARK CORP     COM        494368103        211       3,050  SH               X   03 01       2,250        800
L-3 COMMUNICATIONS      COM        502424104      2,378      22,450  SH       X           03 01      22,450
L-3 COMMUNICATIONS      COM        502424104        249       2,350  SH               X   03 01       1,975        375
LOCKHEED MARTIN CORP    COM        539830109        189       1,800  SH       X           03 01       1,800
LOCKHEED MARTIN CORP    COM        539830109         96         911  SH               X   03 01         711        200
LUBRIZOL CORP           COM        549271104        617      11,400  SH       X           03 01      11,400
LUBRIZOL CORP           COM        549271104        103       1,900  SH               X   03 01       1,500        400
MANULIFE FINL CORP      COM        56501R106        304       7,448  SH       X           03 01       7,448
MCGRATH RENTCORP        COM        580589109     15,891     617,126  SH       X           03 01     617,126
MEDTRONIC INC           COM        585055106        305       6,070  SH       X           03 01       6,070
MEDTRONIC INC           COM        585055106        160       3,175  SH               X   03 01       2,650        525
MERCK & CO INC          COM        589331107      1,366      23,500  SH       X           03 01      23,500
MERCK & CO INC          COM        589331107        295       5,075  SH               X   03 01       4,675        400
MICROSOFT CORP          COM        594918104        427      12,000  SH       X           03 01      12,000
MICROSOFT CORP          COM        594918104         25         700  SH               X   03 01         200        500
MIDWEST BANC HOLDINGS   COM        598251106        449      36,117  SH       X           03 01      36,117
MONSANTO CO NEW         COM        61166W101        598       5,350  SH       X           03 01       5,350
NEWMONT MINING CORP     COM        651639106        693      14,200  SH       X           03 01      14,200
NEWMONT MINING CORP     COM        651639106         93       1,900  SH               X   03 01       1,900
NIKE INC                CL B       654106103        353       5,500  SH       X           03 01       5,500
NIKE INC                CL B       654106103         13         200  SH               X   03 01         200
NOKIA CORP              SPONS ADR  654902204        493      12,850  SH       X           03 01      12,850
NOKIA CORP              SPONS ADR  654902204         31         800  SH               X   03 01         800
NORTHROP GRUMMAN CORP   COM        666807102        456       5,800  SH       X           03 01       5,800
NORTHROP GRUMMAN CORP   COM        666807102         94       1,200  SH               X   03 01         900        300
OMNICOM GROUP INC       COM        681919106        696      14,650  SH       X           03 01      14,650
OMNICOM GROUP INC       COM        681919106         76       1,600  SH               X   03 01       1,500        100
PEPSICO INC             COM        713448108      1,785      23,512  SH       X           03 01      23,512
PEPSICO INC             COM        713448108        435       5,735  SH               X   03 01       5,085        650
PFIZER INC              COM        717081103        346      15,238  SH       X           03 01      15,238
PFIZER INC              COM        717081103         18         780  SH               X   03 01         680        100





REPORT PTR289                                                                                                         01/07/2008
                                                       NORTH STAR TRUST COMPANY
                                              SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 12/31/2007

- - - - COLUMN 1 - - - - COLUMN 2- -COLUMN 3 - COLUMN 4 - COLUMN 5 -COLUMN 6 - - - -COLUMN 7 - - - - - - - - COLUMN 8 - - - - - -
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                                                                                  INVESTMENT
                                                                                  DISCRETION              VOTING AUTHORITY
                           TITLE                MARKET                       -------------------  -------------------------------
                             OF                 VALUE     SHRS OR   SH/ PUT/ SOLE SHR OTHR OTHER    SOLE      SHARED      NONE
      NAME OF ISSUER       CLASS     CUSIP     (X$1000)   PRN AMT   PRN CALL  (A) (B) (C)   MGRS     (A)        (B)        (C)
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POPULAR INC             COM        733174106        119      11,200  SH               X   03 01      11,200
PROCTER & GAMBLE CO     COM        742718109      1,902      25,900  SH       X           03 01      25,900
PROCTER & GAMBLE CO     COM        742718109        297       4,042  SH               X   03 01       3,242        800
PRUDENTIAL FINL INC     COM        744320102        407       4,372  SH       X           03 01       4,372
PRUDENTIAL FINL INC     COM        744320102        210       2,261  SH               X   03 01       2,261
ROYAL DUTCH SHELL PLC   SPONS ADR  780259206        232       2,750  SH       X           03 01       2,750
SAFEWAY INC             COM NEW    786514208        806      23,550  SH       X           03 01      23,550
SAFEWAY INC             COM NEW    786514208         80       2,350  SH               X   03 01       2,350
SCHERING PLOUGH CORP    COM        806605101        531      19,950  SH       X           03 01      19,950
SCHERING PLOUGH CORP    COM        806605101         31       1,150  SH               X   03 01       1,000        150
SCHLUMBERGER LTD        COM        806857108      2,437      24,775  SH       X           03 01      24,775
SCHLUMBERGER LTD        COM        806857108        239       2,425  SH               X   03 01       2,000        425
SNAP ON INC             COM        833034101        613      12,706  SH       X           03 01      12,706
SNAP ON INC             COM        833034101         65       1,350  SH               X   03 01       1,100        250
SONOCO PRODS CO         COM        835495102        276       8,440  SH       X           03 01       8,440
SONOCO PRODS CO         COM        835495102         67       2,050  SH               X   03 01       1,550        500
STERICYCLE INC          COM        858912108        854      14,375  SH       X           03 01      14,375
STERICYCLE INC          COM        858912108         77       1,300  SH               X   03 01         900        400
STRYKER CORP            COM        863667101      1,513      20,250  SH       X           03 01      20,250
STRYKER CORP            COM        863667101        168       2,250  SH               X   03 01       1,850        400
SUPERIOR BANCORP        COM        86806M106      1,880     350,153  SH       X           03 01     350,153
TARGET CORP             COM        87612E106        532      10,640  SH       X           03 01      10,640
TARGET CORP             COM        87612E106         74       1,475  SH               X   03 01         950        525
3M CO                   COM        88579Y101        434       5,145  SH       X           03 01       5,145
3M CO                   COM        88579Y101         44         525  SH               X   03 01         225        300
UNITED TECHNOLOGIES     COM        913017109      2,186      28,565  SH       X           03 01      28,565
UNITED TECHNOLOGIES     COM        913017109        287       3,750  SH               X   03 01       2,900        850
VALERO ENERGY CORP NEW  COM        91913Y100        439       6,275  SH       X           03 01       6,275
VALERO ENERGY CORP NEW  COM        91913Y100         58         825  SH               X   03 01         750         75
VERIZON COMMUNICATIONS  COM        92343V104      1,210      27,704  SH       X           03 01      27,704
VERIZON COMMUNICATIONS  COM        92343V104        158       3,610  SH               X   03 01       3,310        300
WALGREEN CO             COM        931422109        855      22,440  SH       X           03 01      22,440
WALGREEN CO             COM        931422109        283       7,425  SH               X   03 01       6,725        700
WELLS FARGO & CO NEW    COM        949746101        358      11,865  SH       X           03 01      11,865
WELLS FARGO & CO NEW    COM        949746101         53       1,750  SH               X   03 01         550      1,200
WYETH                   COM        983024100        666      15,075  SH       X           03 01      15,075
WYETH                   COM        983024100        141       3,200  SH               X   03 01       2,200      1,000