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

                                Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   06/30/2009

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

Institutional Investment Manager Filing this Report:

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

Form 13F File Number: 28-12609

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is true,
correct and complete, and that it is understood that all required items,
statements, schedules, lists, and tables, are considered integral parts
of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:      Kenneth C. Krei
Title:     Senior Vice President
Phone:     414-765-7448

Signature, Place, and Date of Signing:

    /s/ Kenneth C. Krei            Milwaukee, WI      08/12/2009
______________________________   _________________   ____________
        [Signature]                [City, State]        [Date]

Report Type (Check only one.):

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

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

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




                                Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:              3

Form 13F Information Table Entry Total:         2,641

Form 13F Information Table Value Total:       $ 4,816,049

                                               (thousands)

List of Other Included Mangers:

Provide a numbered list of the name(s) and Form 13F file number(s) of
all institutional investment managers with respect to which this report
is filed, other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

 No.     Form 13F File Number                    Name
____    ______________________    _____________________________________
  1           28-12568             North Star Trust Company

  2           28-274               M&I Investment Management Corp.

  3           28-05085             Marshall & Ilsley Trust Company N.A.




                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
AAR CORP                   COM         000361105        625    38,935  SH              X              3   38,885                50
ABB LTD                    SPON ADR    000375204        522    33,098  SH                    X        3    3,454    8,510   21,134
ABB LTD                    SPON ADR    000375204      1,797   113,897  SH              X              3   71,361            42,536
AFLAC INC                  COM         001055102          6       200  SH              X            1,3      200
AFLAC INC                  COM         001055102          9       290  SH              X              2      290
AFLAC INC                  COM         001055102        311    10,017  SH                    X        3    1,600    6,461    1,956
AFLAC INC                  COM         001055102      4,167   134,034  SH              X              3  130,186    1,387    2,461
AK STL HLDG CORP           COM         001547108      1,651    86,052  SH              X              3   86,052
AK STL HLDG CORP           COM         001547108          8       391  SH                    X        3               391
AMN HLTHCR SRVCS INC       COM         001744101         33     5,150  SH                    X        3             5,150
AMN HLTHCR SRVCS INC       COM         001744101         39     6,120  SH              X              3    2,045             4,075
AVI BIOPHARMA INC          COM         002346104        134    85,000  SH              X              3   85,000
AARON RENTS INC            COM         002535201         33     1,110  SH                    X        3               270      840
AARON RENTS INC            COM         002535201      7,391   247,845  SH              X              3  242,969             4,876
ABBOTT LABS                COM         002824100        463     9,850  SH              X            1,3    9,850
ABBOTT LABS                COM         002824100         96     2,050  SH                    X      1,3    1,550      500
ABBOTT LABS                COM         002824100        282     6,000  SH              X              2                      6,000
ABBOTT LABS                COM         002824100     21,283   452,460  SH              X              2  173,760           278,700
ABBOTT LABS                COM         002824100      4,025    85,559  SH                    X        3   21,445   60,964    3,150
ABBOTT LABS                COM         002824100     19,906   423,174  SH              X              3  398,256   18,436    6,482
ABERCROMBIE & FITCH        CL A        002896207      1,414    55,687  SH              X              3   55,687
ABERCROMBIE & FITCH        CL A        002896207          2        90  SH                    X        3                90
ABERDEEN AUSTRAL EQFD I    COM         003011103        148    15,710  SH              X              3   15,710
ABERDEEN AUSTRAL EQFD I    COM         003011103        864    91,773  SH                    X        3            91,773
AEGON N V                  NY REG SH   007924103        264    42,893  SH                    X        3            30,798   12,095
AEGON N V                  NY REG SH   007924103        310    50,294  SH              X              3   31,788            18,506
AFFILIATED COMP SRVCS      CL A        008190100         11       247  SH                    X        3               247
AFFILIATED COMP SRVCS      CL A        008190100      1,894    42,632  SH              X              3   42,232               400
AFFILIATED MANAGERS GR     COM         008252108         83     1,433  SH              X              2    1,433
AFFILIATED MANAGERS GR     COM         008252108        143     2,453  SH                    X        3             2,453
AFFILIATED MANAGERS GR     COM         008252108      7,563   129,979  SH              X              3  120,771             9,208
AIR PRODS & CHEMS INC      COM         009158106         42       650  SH              X            1,3      650
AIR PRODS & CHEMS INC      COM         009158106      8,816   136,487  SH              X              2   53,487            83,000
AIR PRODS & CHEMS INC      COM         009158106      1,249    19,333  SH                    X        3   10,280    9,053
AIR PRODS & CHEMS INC      COM         009158106      8,301   128,516  SH              X              3  122,782    2,406    3,328
AIRGAS INC                 COM         009363102         13       312  SH                    X        3               312
AIRGAS INC                 COM         009363102        464    11,454  SH              X              3   10,220             1,234
ALBERTO CULVER CO NEW      COM         013078100        458    18,000  SH              X              2                     18,000
ALCOA INC                  COM         013817101         10       950  SH              X            1,3      950
ALCOA INC                  COM         013817101          3       300  SH                    X      1,3      300
ALCOA INC                  COM         013817101        427    41,316  SH                    X        3   18,500   20,466    2,350
ALCOA INC                  COM         013817101      1,098   106,264  SH              X              3  101,616    1,948    2,700
ALCATEL-LUCENT             SPON ADR    013904305          0        50  SH              X            1,3       50
ALCATEL-LUCENT             SPON ADR    013904305          2       780  SH              X              2                        780
ALCATEL-LUCENT             SPON ADR    013904305        172    69,236  SH                    X        3            69,236
ALCATEL-LUCENT             SPON ADR    013904305        130    52,530  SH              X              3   35,220            17,310
ALEXION PHARMS INC         COM         015351109      4,773   116,101  SH              X              3  115,207               894
ALLEGHENY ENERGY INC       COM         017361106         13       500  SH              X            1,3      500
ALLEGHENY ENERGY INC       COM         017361106         13       500  SH                    X      1,3      500
ALLEGHENY ENERGY INC       COM         017361106          3       113  SH                    X        3               113
ALLEGHENY ENERGY INC       COM         017361106        326    12,698  SH              X              3   11,620       51    1,027
ALLERGAN INC               COM         018490102        266     5,600  SH              X              2                      5,600
ALLERGAN INC               COM         018490102        480    10,090  SH                    X        3    1,190    2,693    6,207
ALLERGAN INC               COM         018490102      2,688    56,504  SH              X              3   43,161            13,343
ALLETE INC                 COM NEW     018522300        190     6,592  SH              X              3    6,592
ALLETE INC                 COM NEW     018522300         14       486  SH                    X        3               486
ALLIANCE HLTHCRSRVCSIN     COM NEW     018606202      1,992   271,799  SH              X              3  268,472             3,327
ALLIANT ENERGY CORP        COM         018802108        436    16,700  SH              X            1,3   16,700
ALLIANT ENERGY CORP        COM         018802108         95     3,650  SH                    X      1,3    2,750      900
ALLIANT ENERGY CORP        COM         018802108        128     4,916  SH                    X        3      237    4,679
ALLIANT ENERGY CORP        COM         018802108      1,006    38,482  SH              X              3   37,207    1,235       40
ALLIANT TECHSYSTEMS        COM         018804104         16       199  SH              X              2      199
ALLIANT TECHSYSTEMS        COM         018804104         15       180  SH                    X        3               180
ALLIANT TECHSYSTEMS        COM         018804104      6,081    73,835  SH              X              3   73,405               430
ALLIANZ SE                 SPADR1/10SH 018805101        122    13,237  SH                    X        3             5,592    7,645
ALLIANZ SE                 SPADR1/10SH 018805101        233    25,314  SH              X              3   13,837            11,477
ALLSTATE CORP              COM         020002101        545    22,330  SH              X              3   22,146       65      119
ALLSTATE CORP              COM         020002101        448    18,341  SH                    X        3      184   16,113    2,044
ALTERA CORP                COM         021441100         34     2,095  SH              X              2    2,095
ALTERA CORP                COM         021441100        519    31,832  SH              X              3   31,153               679
ALTERA CORP                COM         021441100        108     6,607  SH                    X        3               443    6,164
ALUMINA LTD                SPON ADR    022205108         46     9,972  SH              X              3    9,972
ALUMINA LTD                SPON ADR    022205108         79    17,067  SH                    X        3            17,067
AMAZON COM INC             COM         023135106      1,960    23,431  SH              X              3   23,181      230       20
AMAZON COM INC             COM         023135106        298     3,558  SH                    X        3      250    1,873    1,435
AMEDISYS INC               COM         023436108         19       571  SH                    X        3      151      420
AMEDISYS INC               COM         023436108      2,314    70,087  SH              X              3   69,581               506
AMEREN CORP                COM         023608102         24       962  SH              X            1,3      962
AMEREN CORP                COM         023608102        185     7,430  SH              X              2    7,430
AMEREN CORP                COM         023608102         25     1,000  SH              X              2                      1,000
AMEREN CORP                COM         023608102         48     1,919  SH                    X        3      100    1,819
AMEREN CORP                COM         023608102      2,184    87,754  SH              X              3   86,840      250      664
AMERICAN ELEC PWR INC      COM         025537101         35     1,200  SH              X              2                      1,200
AMERICAN ELEC PWR INC      COM         025537101         32     1,113  SH                    X        3      582      531
AMERICAN ELEC PWR INC      COM         025537101        394    13,630  SH              X              3   13,492               138
AMER EQTY INVT LIFE HLD    COM         025676206         26     4,710  SH                    X        3                      4,710
AMER EQTY INVT LIFE HLD    COM         025676206         76    13,603  SH              X              3    5,048             8,555
AMERICAN EXPRESS CO        COM         025816109         43     1,839  SH              X            1,3    1,839
AMERICAN EXPRESS CO        COM         025816109        216     9,300  SH              X              2                      9,300
AMERICAN EXPRESS CO        COM         025816109      4,843   208,400  SH              X              2   89,300           119,100





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
AMERICAN EXPRESS CO        COM         025816109        787    33,855  SH                    X        3   15,400   11,080    7,375
AMERICAN EXPRESS CO        COM         025816109      3,074   132,257  SH              X              3   90,558      800   40,899
AMERICAN TOWER CORP        CL A        029912201      3,453   109,521  SH              X              3  108,581               940
AMERICAN TOWER CORP        CL A        029912201        106     3,372  SH                    X        3               281    3,091
AMETEK INC NEW             COM         031100100         19       550  SH                    X        3               220      330
AMETEK INC NEW             COM         031100100      1,931    55,847  SH              X              3   49,340             6,507
AMGEN INC                  COM         031162100        324     6,115  SH              X            1,3    6,015      100
AMGEN INC                  COM         031162100          3        50  SH                    X      1,3       50
AMGEN INC                  COM         031162100        225     4,250  SH              X              2                      4,250
AMGEN INC                  COM         031162100      2,772    52,360  SH              X              2    5,060            47,300
AMGEN INC                  COM         031162100        441     8,321  SH                    X        3      300    8,021
AMGEN INC                  COM         031162100      5,770   108,990  SH              X              3  105,806    2,019    1,165
AMPHENOL CORP NEW          CL A        032095101         33     1,049  SH                    X        3               684      365
AMPHENOL CORP NEW          CL A        032095101      2,110    66,679  SH              X              3   56,077            10,602
AMTRUST FINL SRVCS I       COM         032359309        163    14,320  SH              X              3   14,320
AMTRUST FINL SRVCS I       COM         032359309         13     1,105  SH                    X        3             1,105
ANADARKO PETE CORP         COM         032511107          9       200  SH              X            1,3      200
ANADARKO PETE CORP         COM         032511107      5,247   115,600  SH              X              2   48,900            66,700
ANADARKO PETE CORP         COM         032511107        306     6,739  SH                    X        3             6,339      400
ANADARKO PETE CORP         COM         032511107      8,739   192,536  SH              X              3  191,481      360      695
ANALOG DEVICES INC         COM         032654105         17       693  SH                    X        3               693
ANALOG DEVICES INC         COM         032654105        468    18,876  SH              X              3   18,836                40
ANCHOR BANCORP WIS INC     COM         032839102         12     9,506  SH              X              3    9,506
ANCHOR BANCORP WIS INC     COM         032839102         28    21,280  SH                    X        3            21,280
ANGLOGOLD ASHANTI LTD      SPON ADR    035128206         66     1,791  SH              X              3    1,791
ANGLOGOLD ASHANTI LTD      SPON ADR    035128206        351     9,582  SH                    X        3             9,582
ANNALY CAP MGMT INC        COM         035710409      2,646   174,795  SH              X              3  172,524             2,271
ANWORTH MORTG ASSET CP     COM         037347101      3,052   423,253  SH              X              3  418,010             5,243
AON CORP                   COM         037389103          9       225  SH              X            1,3      225
AON CORP                   COM         037389103         40     1,050  SH                    X      1,3    1,050
AON CORP                   COM         037389103         25       653  SH                    X        3               653
AON CORP                   COM         037389103        311     8,212  SH              X              3    8,187                25
APACHE CORP                COM         037411105      1,120    15,525  SH              X            1,3   15,425      100
APACHE CORP                COM         037411105         76     1,050  SH                    X      1,3    1,050
APACHE CORP                COM         037411105      7,405   102,639  SH              X              2   48,769            53,870
APACHE CORP                COM         037411105        921    12,770  SH                    X        3      591   10,717    1,462
APACHE CORP                COM         037411105     13,794   191,191  SH              X              3  186,726    2,743    1,722
APOGEE ENTERPRISES INC     COM         037598109         49     4,000  SH                    X        3             4,000
APOGEE ENTERPRISES INC     COM         037598109         78     6,351  SH              X              3    6,271                80
APOLLO GROUP INC           CL A        037604105      3,680    51,739  SH              X              3   51,739
APOLLO GROUP INC           CL A        037604105         77     1,076  SH                    X        3             1,076
APPLE INC                  COM         037833100     28,578   200,648  SH              X              2   71,048           129,600
APPLE INC                  COM         037833100      2,084    14,631  SH                    X        3    3,966    5,776    4,889
APPLE INC                  COM         037833100     15,125   106,194  SH              X              3   98,008      100    8,086
APPLIED MATLS INC          COM         038222105         90     8,150  SH              X            1,3    8,150
APPLIED MATLS INC          COM         038222105         12     1,100  SH                    X      1,3    1,100
APPLIED MATLS INC          COM         038222105      7,222   655,960  SH              X              2  268,160           387,800
APPLIED MATLS INC          COM         038222105        192    17,404  SH                    X        3    2,450   14,954
APPLIED MATLS INC          COM         038222105      4,319   392,293  SH              X              3  376,482   12,237    3,574
APTARGROUP INC             COM         038336103        119     3,525  SH                    X        3             3,525
APTARGROUP INC             COM         038336103        223     6,603  SH              X              3    1,727             4,876
ARCHER DANIELS MDLND       COM         039483102        236     8,806  SH              X              2                      8,806
ARCHER DANIELS MDLND       COM         039483102      3,471   129,671  SH              X              3  129,671
ARCHER DANIELS MDLND       COM         039483102        139     5,199  SH                    X        3             2,655    2,544
ARM HLDGS PLC              SPON ADR    042068106         83    13,890  SH              X              3   13,890
ARROW ELECTRS INC          COM         042735100      7,275   342,527  SH              X              2  137,027           205,500
ARROW ELECTRS INC          COM         042735100        156     7,325  SH                    X        3             7,325
ARROW ELECTRS INC          COM         042735100      4,655   219,172  SH              X              3  204,039            15,133
ARUBA NETWORKS INC         COM         043176106        114    13,000  SH              X              3   13,000
ARVINMERITOR INC           COM         043353101         86    19,478  SH              X              3   19,478
ASSOCIATED BANC CORP       COM         045487105         38     3,037  SH              X              2    3,037
ASSOCIATED BANC CORP       COM         045487105        441    35,285  SH                    X        3    4,878   29,982      425
ASSOCIATED BANC CORP       COM         045487105      5,418   433,467  SH              X              3  411,661    2,257   19,549
ASTORIA FINL CORP          COM         046265104         18     2,080  SH                    X        3                      2,080
ASTORIA FINL CORP          COM         046265104         74     8,634  SH              X              3    2,894             5,740
ATLANTIC TELE NTWRK INC    COM NEW     049079205         10       243  SH                    X        3               243
ATLANTIC TELE NTWRK INC    COM NEW     049079205      5,296   134,784  SH              X              3  133,120             1,664
ATLAS AIR WRLDWD HLDGS     COM NEW     049164205      2,254    97,178  SH              X              3   95,953             1,225
ATLAS AMER INC             COM         049167109     16,117   901,923  SH              X              3  895,185             6,738
AUTODESK INC               COM         052769106          9       475  SH                    X        3               475
AUTODESK INC               COM         052769106        253    13,318  SH              X              3   12,980               338
AUTOLIV INC                COM         052800109        144     5,011  SH              X              2                      5,011
AUTOMATIC DATA PROCG       COM         053015103          9       250  SH              X            1,3               250
AUTOMATIC DATA PROCG       COM         053015103        841    23,720  SH                    X        3      450   20,570    2,700
AUTOMATIC DATA PROCG       COM         053015103      1,687    47,613  SH              X              3   21,335       55   26,223
AUTOZONE INC               COM         053332102         74       491  SH                    X        3               491
AUTOZONE INC               COM         053332102      1,901    12,582  SH              X              3   12,506       22       54
AVALONBAY CMNTYS INC       COM         053484101        207     3,708  SH              X              3    3,708
AVALONBAY CMNTYS INC       COM         053484101          4        69  SH                    X        3                69
AVERY DENNISON CORP        COM         053611109         64     2,495  SH              X              2    2,495
AVERY DENNISON CORP        COM         053611109        116     4,506  SH                    X        3             4,506
AVERY DENNISON CORP        COM         053611109      1,011    39,354  SH              X              3   38,986       66      302
AVIS BUDGET GROUP          COM         053774105         88    15,600  SH              X              3   15,600
AVNET INC                  COM         053807103         40     1,925  SH              X              2    1,925
AVNET INC                  COM         053807103      2,880   136,959  SH              X              3  136,031               928
AVNET INC                  COM         053807103         47     2,240  SH                    X        3                      2,240
AVON PRODS INC             COM         054303102        394    15,299  SH              X              3   15,174               125
AVON PRODS INC             COM         054303102         20       778  SH                    X        3               328      450
AXA                        SPON ADR    054536107        125     6,615  SH                    X        3             3,052    3,563
AXA                        SPON ADR    054536107        224    11,812  SH              X              3    5,752       24    6,036





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
BB&T CORP                  COM         054937107        126     5,745  SH              X              2    5,745
BB&T CORP                  COM         054937107         72     3,291  SH                    X        3             2,151    1,140
BB&T CORP                  COM         054937107      5,012   228,027  SH              X              3  224,706      397    2,924
BJ SVCS CO                 COM         055482103          5       400  SH              X            1,3      400
BJ SVCS CO                 COM         055482103         40     2,911  SH              X              2    2,911
BJ SVCS CO                 COM         055482103         10       718  SH                    X        3               718
BJ SVCS CO                 COM         055482103      3,166   232,262  SH              X              3  226,712             5,550
BP PLC                     SPON ADR    055622104        683    14,319  SH              X            1,3   14,319
BP PLC                     SPON ADR    055622104        121     2,528  SH                    X      1,3    2,228      300
BP PLC                     SPON ADR    055622104        858    18,002  SH              X              2                     18,002
BP PLC                     SPON ADR    055622104      3,508    73,579  SH                    X        3   15,017   55,509    3,053
BP PLC                     SPON ADR    055622104     10,053   210,848  SH              X              3  182,817    5,356   22,675
BMC SOFTWARE INC           COM         055921100        361    10,683  SH                    X        3    1,339    2,870    6,474
BMC SOFTWARE INC           COM         055921100      1,554    45,994  SH              X              3   32,614            13,380
BADGER METER INC           COM         056525108          5       125  SH              X              2      125
BADGER METER INC           COM         056525108      1,524    37,180  SH              X              3   37,180
BADGER METER INC           COM         056525108        638    15,550  SH                    X        3    1,700   13,850
BAKER HUGHES INC           COM         057224107        489    13,412  SH              X              3   13,387                25
BAKER HUGHES INC           COM         057224107        224     6,134  SH                    X        3             5,119    1,015
BALDOR ELEC CO             COM         057741100        396    16,646  SH              X              3   16,601                45
BALL CORP                  COM         058498106        115     2,547  SH                    X        3             2,547
BALL CORP                  COM         058498106      2,054    45,472  SH              X              3   45,452                20
BOFA CORPORATION           COM         060505104        222    16,812  SH              X            1,3   16,812
BOFA CORPORATION           COM         060505104         14     1,024  SH                    X      1,3    1,024
BOFA CORPORATION           COM         060505104        167    12,665  SH              X              2                     12,665
BOFA CORPORATION           COM         060505104      9,567   724,806  SH              X              2  370,498           354,308
BOFA CORPORATION           COM         060505104      6,061   459,188  SH              X              3  447,962    2,497    8,729
BOFA CORPORATION           COM         060505104        997    75,505  SH                    X        3      650   65,140    9,715
BANK MUTUAL CORP NEW       COM         063750103        105    12,090  SH                    X        3            12,090
BANK MUTUAL CORP NEW       COM         063750103        140    16,014  SH              X              3   13,899             2,115
BNY MELLON CORP            COM         064058100         47     1,600  SH              X              2                      1,600
BNY MELLON CORP            COM         064058100        959    32,710  SH                    X        3    1,322   16,356   15,032
BNY MELLON CORP            COM         064058100     10,158   346,567  SH              X              3  296,310      190   50,067
BARD C R INC               COM         067383109         19       250  SH              X            1,3      250
BARD C R INC               COM         067383109      1,239    16,647  SH                    X        3   16,400       97      150
BARD C R INC               COM         067383109      1,714    23,023  SH              X              3   19,676       26    3,321
BARRICK GOLD CORP          COM         067901108        120     3,562  SH              X              3    3,562
BARRICK GOLD CORP          COM         067901108        617    18,382  SH                    X        3            17,902      480
BAXTER INTL INC            COM         071813109        117     2,217  SH              X            1,3    2,217
BAXTER INTL INC            COM         071813109        627    11,840  SH              X              2                     11,840
BAXTER INTL INC            COM         071813109     11,715   221,200  SH              X              2   74,800           146,400
BAXTER INTL INC            COM         071813109      1,276    24,103  SH                    X        3   14,497    9,606
BAXTER INTL INC            COM         071813109     15,887   299,974  SH              X              3  299,053      535      386
BECKMAN COULTER INC        COM         075811109        125     2,190  SH                    X        3             2,190
BECKMAN COULTER INC        COM         075811109        234     4,087  SH              X              3    1,312             2,775
BECTON DICKINSON & CO      COM         075887109         21       300  SH              X            1,3      300
BECTON DICKINSON & CO      COM         075887109     12,729   178,500  SH              X              2   67,300           111,200
BECTON DICKINSON & CO      COM         075887109         40       556  SH                    X        3               556
BECTON DICKINSON & CO      COM         075887109      5,291    74,203  SH              X              3   73,932       75      196
BELDEN INC                 COM         077454106         59     3,505  SH                    X        3               345    3,160
BELDEN INC                 COM         077454106        420    25,153  SH              X              3   19,419             5,734
BEMIS INC                  COM         081437105        131     5,185  SH                    X        3             5,185
BEMIS INC                  COM         081437105      1,392    55,220  SH              X              3   48,976       50    6,194
BERKLEY W R CORP           COM         084423102         15       700  SH                    X        3                        700
BERKLEY W R CORP           COM         084423102      1,431    66,645  SH              X              3   63,711             2,934
BERKSHIRE HATH INC         CL A        084670108        540         6  SH              X              3        6
BERKSHIRE HATH INC         CL A        084670108      1,170        13  SH                    X        3                13
BERKSHIRE HATH INC DEL     CL B        084670207      1,265       437  SH                    X        3       10      358       69
BERKSHIRE HATH INC DEL     CL B        084670207      4,045     1,397  SH              X              3    1,121       15      261
BEST BUY INC               COM         086516101      5,531   165,131  SH              X              2   71,481            93,650
BEST BUY INC               COM         086516101        255     7,618  SH                    X        3      500    4,618    2,500
BEST BUY INC               COM         086516101      6,499   194,066  SH              X              3  173,716            20,350
BHP BILLITON LTD           SPON ADR    088606108      2,214    40,450  SH              X            1,3   40,450
BHP BILLITON LTD           SPON ADR    088606108        156     2,850  SH                    X      1,3    1,850    1,000
BHP BILLITON LTD           SPON ADR    088606108      1,727    31,562  SH                    X        3    9,600   20,382    1,580
BHP BILLITON LTD           SPON ADR    088606108      2,749    50,232  SH              X              3   48,430             1,802
BIG LOTS INC               COM         089302103        460    21,892  SH              X              3   21,892
BIG LOTS INC               COM         089302103          9       413  SH                    X        3               413
BIO RAD LABS INC           CL A        090572207         45       600  SH                    X        3               600
BIO RAD LABS INC           CL A        090572207        293     3,886  SH              X              3    2,891               995
BLOCK H & R INC            COM         093671105         44     2,530  SH                    X        3    1,600      930
BLOCK H & R INC            COM         093671105        151     8,775  SH              X              3    8,710                65
BLUE CHIP VALUE FD INC     COM         095333100         52    20,600  SH              X            1,3   20,600
BOB EVANS FARMS INC        COM         096761101         89     3,090  SH                    X        3                      3,090
BOB EVANS FARMS INC        COM         096761101        151     5,256  SH              X              3    2,086             3,170
BOEING CO                  COM         097023105        193     4,550  SH              X            1,3    4,550
BOEING CO                  COM         097023105         19       450  SH                    X      1,3      450
BOEING CO                  COM         097023105        562    13,226  SH              X              2                     13,226
BOEING CO                  COM         097023105      4,401   103,537  SH              X              2   53,737            49,800
BOEING CO                  COM         097023105        745    17,526  SH                    X        3    1,665   15,727      134
BOEING CO                  COM         097023105     11,337   266,753  SH              X              3  256,771    5,322    4,660
BORGWARNER INC             COM         099724106         38     1,100  SH                    X        3      200      900
BORGWARNER INC             COM         099724106        545    15,957  SH              X              3   15,044      200      713
BOSTON SCIENTIFIC CORP     COM         101137107        166    16,352  SH              X              3   16,222               130
BRADY CORP                 CL A        104674106        889    35,397  SH                    X        3            35,397
BRADY CORP                 CL A        104674106         98     3,905  SH              X              3    3,683               222
BRIGGS & STRATTON CORP     COM         109043109        201    15,100  SH                    X        3      800   14,300
BRIGGS & STRATTON CORP     COM         109043109        122     9,173  SH              X              3    8,961               212
BRINKS CO                  COM         109696104         32     1,115  SH                    X        3                90    1,025
BRINKS CO                  COM         109696104        267     9,208  SH              X              3    6,337             2,871





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
BRINKS HOME SEC HLDG       COM         109699108        173     6,102  SH              X              3    5,489               613
BRINKS HOME SEC HLDG       COM         109699108         31     1,100  SH                    X        3                      1,100
BRISTOL MYERS SQUIBB       COM         110122108        731    35,990  SH              X            1,3   35,690      300
BRISTOL MYERS SQUIBB       COM         110122108         67     3,300  SH                    X      1,3    3,200      100
BRISTOL MYERS SQUIBB       COM         110122108      2,699   132,885  SH              X              2  132,885
BRISTOL MYERS SQUIBB       COM         110122108        541    26,656  SH              X              2                     26,656
BRISTOL MYERS SQUIBB       COM         110122108      7,478   368,206  SH              X              3  359,710    4,265    4,231
BRISTOL MYERS SQUIBB       COM         110122108      1,001    49,274  SH                    X        3    7,943   35,492    5,839
BRISTOW GROUP INC          COM         110394103        105     3,550  SH                    X        3             3,550
BRISTOW GROUP INC          COM         110394103        163     5,509  SH              X              3    1,049             4,460
BRITISH AMERN TOB PLC      SPON ADR    110448107         97     1,746  SH                    X        3               539    1,207
BRITISH AMERN TOB PLC      SPON ADR    110448107        205     3,666  SH              X              3    2,307             1,359
BROADCOM CORP              CL A        111320107     10,313   416,000  SH              X              2  205,900           210,100
BROADCOM CORP              CL A        111320107        186     7,510  SH                    X        3             5,072    2,438
BROADCOM CORP              CL A        111320107        895    36,084  SH              X              3   33,124             2,960
BROCADE COMM SYS I         COM NEW     111621306      6,706   855,400  SH              X              2  855,400
BROCADE COMM SYS I         COM NEW     111621306          6       803  SH                    X        3               803
BROCADE COMM SYS I         COM NEW     111621306        889   113,390  SH              X              3  106,309             7,081
BROWN FORMAN CORP          CL B        115637209        102     2,369  SH                    X        3             2,369
BROWN FORMAN CORP          CL B        115637209        109     2,537  SH              X              3    2,458                79
BRUNSWICK CORP             COM         117043109         19     4,420  SH                    X        3               120    4,300
BRUNSWICK CORP             COM         117043109         55    12,795  SH              X              3    6,195             6,600
BUCYRUS INTL INC NEW       COM         118759109      7,034   246,300  SH              X              2  100,800           145,500
BURGER KING HLDGS INC      COM         121208201      1,741   100,800  SH              X              2  100,800
C&D TECH INC               COM         124661109         67    33,500  SH              X              3   33,500
CBS CORP NEW               CL A        124857103          3       400  SH              X              2                        400
CBS CORP NEW               CL B        124857202        181    26,172  SH              X              3   26,172
CBS CORP NEW               CL B        124857202          6       934  SH                    X        3               934
CIGNA CORP                 COM         125509109      3,720   154,432  SH              X              2  154,432
CIGNA CORP                 COM         125509109         51     2,126  SH                    X        3               826    1,300
CIGNA CORP                 COM         125509109      1,588    65,912  SH              X              3   58,762             7,150
CMS ENERGY CORP            COM         125896100      1,000    82,757  SH              X              2   82,757
CMS ENERGY CORP            COM         125896100          5       390  SH                    X        3               390
CMS ENERGY CORP            COM         125896100        563    46,569  SH              X              3   43,481             3,088
CNOOC LTD                  SPON ADR    126132109        234     1,900  SH              X              3    1,900
CNOOC LTD                  SPON ADR    126132109          8        65  SH                    X        3                65
CSX CORP                   COM         126408103         55     1,600  SH              X            1,3    1,600
CSX CORP                   COM         126408103      1,212    35,000  SH              X              2   35,000
CSX CORP                   COM         126408103        118     3,407  SH                    X        3             3,407
CSX CORP                   COM         126408103        487    14,052  SH              X              3   13,829               223
CVS CAREMARK CORP          COM         126650100        265     8,300  SH              X              2                      8,300
CVS CAREMARK CORP          COM         126650100     16,898   530,205  SH              X              2  306,305           223,900
CVS CAREMARK CORP          COM         126650100        629    19,749  SH                    X        3    2,374    7,880    9,495
CVS CAREMARK CORP          COM         126650100      5,032   157,898  SH              X              3  142,469            15,429
CABOT OIL & GAS CORP       COM         127097103      1,030    33,600  SH              X              2   33,600
CABOT OIL & GAS CORP       COM         127097103         57     1,867  SH              X              3    1,837                30
CABOT OIL & GAS CORP       COM         127097103          9       281  SH                    X        3                21      260
CAMPBELL SOUP CO           COM         134429109         29     1,000  SH              X            1,3    1,000
CAMPBELL SOUP CO           COM         134429109         60     2,024  SH                    X        3      150    1,874
CAMPBELL SOUP CO           COM         134429109        407    13,840  SH              X              3   13,731               109
CANON INC                  ADR         138006309        311     9,551  SH                    X        3             4,321    5,230
CANON INC                  ADR         138006309      1,423    43,738  SH              X              3   18,868            24,870
CARLISLE COS INC           COM         142339100         94     3,900  SH                    X        3             3,900
CARLISLE COS INC           COM         142339100        159     6,630  SH              X              3    1,304             5,326
CARNIVAL CORP              PAIRED CTF  143658300        126     4,900  SH              X              2                      4,900
CARNIVAL CORP              PAIRED CTF  143658300      3,801   147,500  SH              X              2   56,400            91,100
CARNIVAL CORP              PAIRED CTF  143658300        109     4,225  SH              X              3    4,225
CARNIVAL CORP              PAIRED CTF  143658300        191     7,422  SH                    X        3             7,422
CASEYS GEN STORES INC      COM         147528103         87     3,370  SH                    X        3                      3,370
CASEYS GEN STORES INC      COM         147528103        215     8,378  SH              X              3    3,216             5,162
CATERPILLAR INC DEL        COM         149123101         93     2,825  SH              X            1,3    2,825
CATERPILLAR INC DEL        COM         149123101      6,063   183,509  SH              X              2   68,609           114,900
CATERPILLAR INC DEL        COM         149123101      2,417    73,143  SH                    X        3   33,090   38,303    1,750
CATERPILLAR INC DEL        COM         149123101      6,867   207,827  SH              X              3  202,271    2,719    2,837
CELGENE CORP               COM         151020104         50     1,050  SH              X            1,3    1,050
CELGENE CORP               COM         151020104         41       850  SH              X              2                        850
CELGENE CORP               COM         151020104     10,375   216,860  SH              X              2  113,560           103,300
CELGENE CORP               COM         151020104      1,037    21,680  SH                    X        3    8,840    9,874    2,966
CELGENE CORP               COM         151020104      8,887   185,762  SH              X              3  173,276    1,069   11,417
CENTEX CORP                COM         152312104         91    10,798  SH              X              3   10,798
CENTEX CORP                COM         152312104          1       120  SH                    X        3               120
CENTRAL GARD & PET CO      COM         153527106        568    51,800  SH              X              2   51,800
CENTRAL GARD & PET CO      COM         153527106        189    17,162  SH              X              3   17,162
CENTRAL SECS CORP          COM         155123102        181    11,816  SH              X              3   11,816
CENTURYTEL INC             COM         156700106        111     3,610  SH              X              2    3,610
CENTURYTEL INC             COM         156700106         45     1,477  SH                    X        3             1,477
CENTURYTEL INC             COM         156700106      4,269   139,058  SH              X              3  138,348      155      555
CERNER CORP                COM         156782104        470     7,553  SH              X              3      927             6,626
CHECKPOINT SYS INC         COM         162825103        418    26,625  SH              X              3   26,625
CHEESECAKE FACT INC        COM         163072101         26     1,518  SH              X              2                      1,518
CHEVRON CORP NEW           COM         166764100        341     5,150  SH              X            1,3    5,150
CHEVRON CORP NEW           COM         166764100         65       975  SH                    X      1,3      550      425
CHEVRON CORP NEW           COM         166764100        325     4,900  SH              X              2                      4,900
CHEVRON CORP NEW           COM         166764100     18,940   285,885  SH              X              2  199,127            86,758
CHEVRON CORP NEW           COM         166764100      4,919    74,254  SH                    X        3   13,190   56,585    4,479
CHEVRON CORP NEW           COM         166764100     37,645   568,230  SH              X              3  546,452   14,986    6,792
CHICOS FAS INC             COM         168615102        807    82,900  SH              X              2   82,900
CHICOS FAS INC             COM         168615102         17     1,780  SH                    X        3               200    1,580
CHICOS FAS INC             COM         168615102         82     8,518  SH              X              3    5,958             2,560
CHUBB CORP                 COM         171232101          8       200  SH                    X      1,3      200





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
CHUBB CORP                 COM         171232101        319     8,000  SH              X              2                      8,000
CHUBB CORP                 COM         171232101      8,014   200,970  SH              X              2  140,070            60,900
CHUBB CORP                 COM         171232101        194     4,872  SH                    X        3             4,872
CHUBB CORP                 COM         171232101      5,340   133,902  SH              X              3  132,718      705      479
CHURCH & DWIGHT INC        COM         171340102        385     7,085  SH              X              3    1,324             5,761
CIENA CORP                 COM NEW     171779309        389    37,549  SH              X              3   37,549
CIENA CORP                 COM NEW     171779309          1        85  SH              X              2                         85
CIMAREX ENERGY CO          COM         171798101      1,042    36,765  SH              X              2   36,765
CIMAREX ENERGY CO          COM         171798101          4       155  SH                    X        3               155
CIMAREX ENERGY CO          COM         171798101        118     4,158  SH              X              3    3,623               535
CINCINNATI FINL CORP       COM         172062101         82     3,670  SH              X              2    3,670
CINCINNATI FINL CORP       COM         172062101         26     1,141  SH                    X        3             1,141
CINCINNATI FINL CORP       COM         172062101      2,085    93,279  SH              X              3   92,795      105      379
CIRRUS LOGIC INC           COM         172755100         74    16,362  SH              X              3   16,362
CINTAS CORP                COM         172908105      3,217   140,849  SH              X              2  140,849
CINTAS CORP                COM         172908105        317    13,900  SH                    X        3             9,375    4,525
CINTAS CORP                COM         172908105      2,203    96,455  SH              X              3   54,795            41,660
CITIGROUP INC              COM         172967101          1       250  SH                    X      1,3      250
CITIGROUP INC              COM         172967101         54    18,118  SH                    X        3            18,118
CITIGROUP INC              COM         172967101      1,034   348,117  SH              X              3  343,412             4,705
CITRIX SYS INC             COM         177376100          5       145  SH                    X        3               145
CITRIX SYS INC             COM         177376100        850    26,643  SH              X              3   16,091      137   10,415
CLARCOR INC                COM         179895107        409    14,000  SH                    X        3            14,000
CLARCOR INC                COM         179895107         46     1,577  SH              X              3    1,358               219
CLEAN HARBORS INC          COM         184496107      1,469    27,200  SH              X              2   27,200
CLEAN HARBORS INC          COM         184496107        380     7,051  SH              X              3    6,375               676
CLOROX CO DEL              COM         189054109         50       900  SH              X            1,3      900
CLOROX CO DEL              COM         189054109         85     1,530  SH              X              2    1,530
CLOROX CO DEL              COM         189054109        553     9,913  SH                    X        3    8,200    1,363      350
CLOROX CO DEL              COM         189054109      3,607    64,609  SH              X              3   62,072       45    2,492
COACH INC                  COM         189754104      1,562    58,100  SH              X              2   58,100
COACH INC                  COM         189754104        538    20,023  SH                    X        3   18,050      548    1,425
COACH INC                  COM         189754104        963    35,842  SH              X              3   29,597             6,245
COCA COLA CO               COM         191216100        859    17,900  SH              X            1,3   17,775      125
COCA COLA CO               COM         191216100         72     1,500  SH                    X      1,3    1,400      100
COCA COLA CO               COM         191216100        582    12,130  SH              X              2                     12,130
COCA COLA CO               COM         191216100     23,205   483,528  SH              X              2  172,328           311,200
COCA COLA CO               COM         191216100      3,665    76,366  SH                    X        3   14,350   58,576    3,440
COCA COLA CO               COM         191216100     23,275   484,987  SH              X              3  444,747   27,449   12,791
COCA COLA ENT INC          COM         191219104          1        90  SH                    X        3                90
COCA COLA ENT INC          COM         191219104        199    11,936  SH              X              3   11,876                60
COGNEX CORP                COM         192422103        142    10,055  SH              X              3   10,055
COGNIZANT TECH SOLUT       CL A        192446102      1,479    55,400  SH              X              2   55,400
COGNIZANT TECH SOLUT       CL A        192446102          3       100  SH                    X        3      100
COGNIZANT TECH SOLUT       CL A        192446102      1,022    38,259  SH              X              3   26,824            11,435
COLGATE PALMOLIVE CO       COM         194162103          7       100  SH                    X      1,3               100
COLGATE PALMOLIVE CO       COM         194162103        760    10,750  SH              X              2                     10,750
COLGATE PALMOLIVE CO       COM         194162103     10,761   152,125  SH              X              2   58,725            93,400
COLGATE PALMOLIVE CO       COM         194162103     14,029   198,319  SH              X              3  191,834    5,816      669
COLGATE PALMOLIVE CO       COM         194162103      2,845    40,223  SH                    X        3    9,235   29,488    1,500
COMERICA INC               COM         200340107        435    20,549  SH              X              3   20,549
COMERICA INC               COM         200340107         22     1,023  SH                    X        3      500      523
COMMERCE BANCSHARES        COM         200525103        893    28,056  SH                    X        3            28,056
COMMERCE BANCSHARES        COM         200525103      2,429    76,298  SH              X              3   75,885               413
COMMSCOPE INC              COM         203372107      3,034   115,562  SH              X              2  115,562
COMMSCOPE INC              COM         203372107          9       345  SH                    X        3               345
COMMSCOPE INC              COM         203372107        389    14,817  SH              X              3   14,350               467
COMMUTY HLTH SYS INC       COM         203668108        886    35,100  SH              X              2   35,100
COMMUTY HLTH SYS INC       COM         203668108        112     4,438  SH              X              3    3,126             1,312
COMP SCIENCES CORP         COM         205363104         49     1,096  SH                    X        3             1,096
COMP SCIENCES CORP         COM         205363104        787    17,757  SH              X              3   17,257               500
COMPUWARE CORP             COM         205638109        199    29,081  SH              X              3   29,081
COMPUWARE CORP             COM         205638109          5       670  SH                    X        3               670
CONAGRA FOODS INC          COM         205887102          8       400  SH              X            1,3      400
CONAGRA FOODS INC          COM         205887102          6       300  SH                    X      1,3      300
CONAGRA FOODS INC          COM         205887102         57     3,000  SH              X              2                      3,000
CONAGRA FOODS INC          COM         205887102        402    21,100  SH              X              3   21,100
CONAGRA FOODS INC          COM         205887102         83     4,360  SH                    X        3      400    3,960
CON-WAY INC                COM         205944101      9,925   281,086  SH              X              2  195,786            85,300
CON-WAY INC                COM         205944101        834    23,601  SH              X              3   19,968             3,633
CONSECO INC                COM NEW     208464883         78    33,100  SH              X              3   33,100
CONSOLIDATED EDISON        COM         209115104         45     1,195  SH              X              2    1,195
CONSOLIDATED EDISON        COM         209115104         89     2,381  SH                    X        3             2,381
CONSOLIDATED EDISON        COM         209115104      3,681    98,369  SH              X              3   96,137      902    1,330
CONSTELLATION ENER GR      COM         210371100          6       237  SH                    X        3               237
CONSTELLATION ENER GR      COM         210371100        254     9,553  SH              X              3    9,122               431
CONVERGYS CORP             COM         212485106        339    36,538  SH              X              3   36,538
CONVERGYS CORP             COM         212485106         10     1,081  SH                    X        3             1,081
COPART INC                 COM         217204106        201     5,808  SH              X              3    1,044             4,764
CORINTHIAN COLLEGES        COM         218868107        327    19,298  SH              X              3   17,690             1,608
CORNING INC                COM         219350105          3       200  SH              X            1,3      200
CORNING INC                COM         219350105     12,915   804,200  SH              X              2  325,000           479,200
CORNING INC                COM         219350105        133     8,287  SH                    X        3      500    7,787
CORNING INC                COM         219350105      1,703   106,067  SH              X              3  104,691      199    1,177
COVANCE INC                COM         222816100        155     3,145  SH                    X        3             3,145
COVANCE INC                COM         222816100        476     9,665  SH              X              3      914             8,751
COVENTRY HLTHCARE INC      COM         222862104         14       772  SH                    X        3               772
COVENTRY HLTHCARE INC      COM         222862104        560    29,915  SH              X              3   29,265               650
CROWN CASTLE INTL CORP     COM         228227104      1,818    75,700  SH              X              2   75,700
CROWN CASTLE INTL CORP     COM         228227104         15       593  SH              X              3      593





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
CROWN HOLDINGS INC         COM         228368106        845    35,000  SH              X              2                     35,000
CRUCELL N V                SPON ADR    228769105      2,874   119,300  SH              X              2  119,300
CRUCELL N V                SPON ADR    228769105        674    27,944  SH              X              3   26,130             1,814
CUMMINS INC                COM         231021106      6,824   193,800  SH              X              2   80,600           113,200
CUMMINS INC                COM         231021106         11       324  SH                    X        3               324
CUMMINS INC                COM         231021106        580    16,464  SH              X              3   16,322               142
CYPRESS SEMICOND CORP      COM         232806109          8       888  SH                    X        3               888
CYPRESS SEMICOND CORP      COM         232806109        103    11,168  SH              X              3    6,534             4,634
DST SYS INC DEL            COM         233326107         94     2,550  SH                    X        3             2,550
DST SYS INC DEL            COM         233326107        172     4,667  SH              X              3    1,224             3,443
DTE ENERGY CO              COM         233331107         89     2,790  SH              X              2    2,790
DTE ENERGY CO              COM         233331107         33     1,028  SH                    X        3             1,028
DTE ENERGY CO              COM         233331107      1,768    55,257  SH              X              3   54,574      177      506
DANAHER CORP DEL           COM         235851102      1,301    21,070  SH              X            1,3   21,070
DANAHER CORP DEL           COM         235851102        100     1,625  SH                    X      1,3    1,125      500
DANAHER CORP DEL           COM         235851102        443     7,177  SH                    X        3    1,440    1,499    4,238
DANAHER CORP DEL           COM         235851102      2,984    48,339  SH              X              3   34,140       34   14,165
DARDEN RESTAURANTS INC     COM         237194105        511    15,500  SH              X              2                     15,500
DARDEN RESTAURANTS INC     COM         237194105      6,180   187,395  SH              X              2   94,895            92,500
DARDEN RESTAURANTS INC     COM         237194105        289     8,782  SH              X              3    8,782
DARDEN RESTAURANTS INC     COM         237194105          3        90  SH                    X        3                90
DAYTON SUPERIOR CORP       COM         240028308          1    13,200  SH              X              3   13,200
DEAN FOODS CO NEW          COM         242370104         25     1,300  SH              X            1,3    1,300
DEAN FOODS CO NEW          COM         242370104      1,328    69,205  SH              X              2   69,205
DEAN FOODS CO NEW          COM         242370104         17       874  SH                    X        3               874
DEAN FOODS CO NEW          COM         242370104      1,273    66,314  SH              X              3   66,264                50
DEERE & CO                 COM         244199105         24       600  SH              X            1,3      600
DEERE & CO                 COM         244199105      8,282   207,310  SH              X              2   84,510           122,800
DEERE & CO                 COM         244199105      1,835    45,940  SH              X              3   44,720    1,115      105
DEERE & CO                 COM         244199105        297     7,440  SH                    X        3    2,150    1,196    4,094
DENBURY RES INC            COM NEW     247916208      1,853   125,800  SH              X              2  125,800
DENBURY RES INC            COM NEW     247916208         46     3,110  SH              X              3    2,404               706
DENBURY RES INC            COM NEW     247916208         27     1,860  SH                    X        3                      1,860
DENTSPLY INTL INC NEW      COM         249030107      2,575    84,234  SH              X              2   84,234
DENTSPLY INTL INC NEW      COM         249030107        181     5,915  SH                    X        3             3,135    2,780
DENTSPLY INTL INC NEW      COM         249030107      1,899    62,124  SH              X              3   22,429            39,695
DEVRY INC DEL              COM         251893103      1,376    27,500  SH              X              2   27,500
DEVRY INC DEL              COM         251893103         15       300  SH                    X        3               300
DEVRY INC DEL              COM         251893103        443     8,847  SH              X              3    8,822                25
DEXCOM INC                 COM         252131107        993   160,500  SH              X              2  160,500
DEXCOM INC                 COM         252131107        234    37,708  SH              X              3   34,072             3,636
DIAMONDROCK HOSP CO        COM         252784301         26     4,180  SH                    X        3                      4,180
DIAMONDROCK HOSP CO        COM         252784301         91    14,465  SH              X              3    6,705             7,760
DIAMONDS TR                UNIT SER 1  252787106      5,401    63,793  SH              X              3   63,793
DIAMONDS TR                UNIT SER 1  252787106        124     1,460  SH                    X        3             1,460
DICKS SPORTING GOODS       COM         253393102        309    17,967  SH              X              3    3,205            14,762
DIEBOLD INC                COM         253651103      1,344    51,000  SH              X              2   51,000
DIEBOLD INC                COM         253651103         61     2,309  SH              X              3    1,186             1,123
DIGITAL RLTY TR INC        COM         253868103      1,771    49,400  SH              X              2   49,400
DIGITAL RLTY TR INC        COM         253868103         14       396  SH              X              3      396
DISNEY WALT CO             COM         254687106         12       500  SH              X            1,3      500
DISNEY WALT CO             COM         254687106         12       500  SH                    X      1,3      500
DISNEY WALT CO             COM         254687106         93     4,000  SH              X              2                      4,000
DISNEY WALT CO             COM         254687106      9,119   390,870  SH              X              2  156,870           234,000
DISNEY WALT CO             COM         254687106        813    34,832  SH                    X        3      925   32,562    1,345
DISNEY WALT CO             COM         254687106      4,488   192,376  SH              X              3  181,053    8,588    2,735
DISCOVER FINL SVCS         COM         254709108         39     3,822  SH                    X        3             3,822
DISCOVER FINL SVCS         COM         254709108        388    37,791  SH              X              3   37,681               110
DOLLAR TREE INC            COM         256746108      2,109    50,100  SH              X              2   50,100
DOLLAR TREE INC            COM         256746108        142     3,380  SH                    X        3             3,380
DOLLAR TREE INC            COM         256746108        138     3,279  SH              X              3    2,146             1,133
DONALDSON INC              COM         257651109        282     8,145  SH              X              3    1,725             6,420
DONNELLEY RR&SONS CO       COM         257867101        173    14,865  SH              X              3   14,865
DONNELLEY RR&SONS CO       COM         257867101          1        74  SH                    X        3                74
DOVER CORP                 COM         260003108        444    13,417  SH              X              3   13,417
DOVER CORP                 COM         260003108        188     5,684  SH                    X        3      590    5,094
DOW CHEM CO                COM         260543103         44     2,750  SH              X            1,3    2,750
DOW CHEM CO                COM         260543103         26     1,600  SH                    X      1,3    1,150      450
DOW CHEM CO                COM         260543103          1        90  SH              X              2       90
DOW CHEM CO                COM         260543103         48     3,000  SH              X              2                      3,000
DOW CHEM CO                COM         260543103      1,230    76,205  SH              X              3   70,660    2,950    2,595
DOW CHEM CO                COM         260543103        241    14,961  SH                    X        3    3,839    8,362    2,760
DRESSER-RAND GROUP INC     COM         261608103      1,044    40,000  SH              X              2   40,000
DRESSER-RAND GROUP INC     COM         261608103        128     4,900  SH                    X        3             4,000      900
DRESSER-RAND GROUP INC     COM         261608103        190     7,290  SH              X              3    2,290             5,000
DU PONT E I DE NEM&CO      COM         263534109        886    34,575  SH              X            1,3   34,325      250
DU PONT E I DE NEM&CO      COM         263534109         68     2,650  SH                    X      1,3    2,550      100
DU PONT E I DE NEM&CO      COM         263534109        581    22,674  SH              X              2                     22,674
DU PONT E I DE NEM&CO      COM         263534109      9,232   360,315  SH              X              2  140,215           220,100
DU PONT E I DE NEM&CO      COM         263534109        546    21,302  SH                    X        3    4,075   15,044    2,183
DU PONT E I DE NEM&CO      COM         263534109      5,208   203,260  SH              X              3  199,799      911    2,550
DUKE REALTY CORP           COM NEW     264411505         19     2,120  SH                    X        3               265    1,855
DUKE REALTY CORP           COM NEW     264411505        221    25,169  SH              X              3   21,478             3,691
E M C CORP MASS            COM         268648102     11,245   858,400  SH              X              2  424,800           433,600
E M C CORP MASS            COM         268648102         42     3,220  SH                    X        3      675    2,545
E M C CORP MASS            COM         268648102      1,031    78,686  SH              X              3   76,227      503    1,956
EASTMAN CHEM CO            COM         277432100          2        56  SH              X            1,3       56
EASTMAN CHEM CO            COM         277432100         18       463  SH                    X        3               463
EASTMAN CHEM CO            COM         277432100        405    10,683  SH              X              3   10,658                25
EASTMAN KODAK CO           COM         277461109          7     2,400  SH              X              2                      2,400





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
EATON CORP                 COM         278058102      7,164   160,593  SH              X              2  101,593            59,000
EATON CORP                 COM         278058102        230     5,152  SH                    X        3      800    3,317    1,035
EATON CORP                 COM         278058102        958    21,467  SH              X              3   18,137             3,330
EATON VANCE CORP           COM NONVTG  278265103        240     8,987  SH              X              3    3,608             5,379
EATONVANCE ENH EQINCFD     COM         278277108      2,482   201,985  SH              X              3  201,985
EATONVANCE ENH EQINCFD     COM         278277108         15     1,250  SH                    X        3             1,250
EBAY INC                   COM         278642103      6,652   388,300  SH              X              2  209,700           178,600
EBAY INC                   COM         278642103        185    10,789  SH                    X        3             9,429    1,360
EBAY INC                   COM         278642103        264    15,401  SH              X              3   12,385      104    2,912
EBIX INC                   COM NEW     278715206      7,507   239,700  SH              X              2  239,700
EBIX INC                   COM NEW     278715206      1,787    57,047  SH              X              3   52,987             4,060
ECOLAB INC                 COM         278865100      1,380    35,400  SH              X              2   35,400
ECOLAB INC                 COM         278865100      1,023    26,235  SH              X              3   19,810    6,268      157
ECOLAB INC                 COM         278865100        175     4,499  SH                    X        3             3,499    1,000
EDISON INTL                COM         281020107         42     1,350  SH              X            1,3    1,350
EDISON INTL                COM         281020107      3,212   102,108  SH              X              2  102,108
EDISON INTL                COM         281020107         97     3,080  SH                    X        3               807    2,273
EDISON INTL                COM         281020107      1,288    40,929  SH              X              3   36,812       61    4,056
ELAN PLC                   ADR         284131208        204    32,000  SH              X              2                     32,000
ELECTRONIC ARTS INC        COM         285512109        141     6,496  SH              X              2    6,496
ELECTRONIC ARTS INC        COM         285512109        172     7,898  SH                    X        3      865    5,653    1,380
ELECTRONIC ARTS INC        COM         285512109      3,516   161,860  SH              X              3  154,047    4,769    3,044
ELECTRONICS FOR IMAG       COM         286082102        131    12,300  SH              X              3   12,300
EMERSON ELEC CO            COM         291011104        428    13,200  SH              X            1,3   13,200
EMERSON ELEC CO            COM         291011104         45     1,400  SH                    X      1,3    1,400
EMERSON ELEC CO            COM         291011104        117     3,600  SH              X              2                      3,600
EMERSON ELEC CO            COM         291011104     11,154   344,255  SH              X              2  187,155           157,100
EMERSON ELEC CO            COM         291011104      4,866   150,200  SH                    X        3   16,881  132,304    1,015
EMERSON ELEC CO            COM         291011104     10,308   318,152  SH              X              3  311,852    2,919    3,381
EMPLOYERS HOLDINGS INC     COM         292218104        138    10,200  SH              X              3   10,200
ENCANA CORP                COM         292505104         30       600  SH              X              3      600
ENCANA CORP                COM         292505104        265     5,350  SH                    X        3             5,350
ENERGYSOLUTIONS INC        COM         292756202         24     2,660  SH                    X        3                      2,660
ENERGYSOLUTIONS INC        COM         292756202         71     7,735  SH              X              3      940             6,795
ENNIS INC                  COM         293389102         88     7,090  SH                    X        3             3,700    3,390
ENNIS INC                  COM         293389102        122     9,808  SH              X              3    3,653             6,155
ENTERPRISE GP HLDGS LP     UT LP INT   293716106         60     2,368  SH              X              3    2,368
ENTERPRISE GP HLDGS LP     UT LP INT   293716106        628    25,000  SH                    X        3            25,000
ENTERPRISE PRODS PART L    COM         293792107         17       700  SH                    X        3               700
ENTERPRISE PRODS PART L    COM         293792107        255    10,231  SH              X              3   10,031               200
EQUIFAX INC                COM         294429105         12       468  SH                    X        3               468
EQUIFAX INC                COM         294429105        188     7,207  SH              X              3    6,843       38      326
ERICSSON L M TEL CO        ADRBSEK 10  294821608        112    11,411  SH                    X        3             4,139    7,272
ERICSSON L M TEL CO        ADRBSEK 10  294821608        330    33,743  SH              X              3   13,415            20,328
ETHAN ALLEN INTRS INC      COM         297602104        173    16,670  SH              X              3   16,670
EURONET WORLDWIDE INC      COM         298736109        655    33,800  SH              X              3   33,800
EXPEDITORS INTL WASH       COM         302130109          2        50  SH              X              2       50
EXPEDITORS INTL WASH       COM         302130109         21       631  SH                    X        3       25      274      332
EXPEDITORS INTL WASH       COM         302130109        608    18,224  SH              X              3   10,468             7,756
EXPRESS SCRIPTS INC        COM         302182100      6,152    89,490  SH              X              2   89,490
EXPRESS SCRIPTS INC        COM         302182100        326     4,745  SH                    X        3      100    4,645
EXPRESS SCRIPTS INC        COM         302182100        995    14,464  SH              X              3   13,904               560
FLIR SYS INC               COM         302445101      1,015    45,000  SH              X              2   45,000
FLIR SYS INC               COM         302445101        213     9,446  SH                    X        3             2,282    7,164
FLIR SYS INC               COM         302445101      1,093    48,458  SH              X              3   14,743            33,715
FNB CORP PA                COM         302520101        127    20,584  SH              X              3   20,584
FPL GROUP INC              COM         302571104         68     1,200  SH              X            1,3    1,200
FPL GROUP INC              COM         302571104         28       500  SH                    X      1,3      500
FPL GROUP INC              COM         302571104        624    10,983  SH                    X        3    4,359    6,624
FPL GROUP INC              COM         302571104      2,689    47,286  SH              X              3   42,654    4,507      125
FTI CONSULTING INC         COM         302941109         11       225  SH                    X        3                        225
FTI CONSULTING INC         COM         302941109        220     4,331  SH              X              3    1,446             2,885
FACTSET RESH SYS INC       COM         303075105         10       200  SH                    X        3                        200
FACTSET RESH SYS INC       COM         303075105        242     4,850  SH              X              3      761             4,089
FAMILY DLR STORES INC      COM         307000109        914    32,280  SH              X              2   32,280
FAMILY DLR STORES INC      COM         307000109         82     2,904  SH                    X        3             2,904
FAMILY DLR STORES INC      COM         307000109        265     9,384  SH              X              3    6,784             2,600
FASTENAL CO                COM         311900104          3        80  SH              X              2       80
FASTENAL CO                COM         311900104         11       345  SH                    X        3      345
FASTENAL CO                COM         311900104        638    19,228  SH              X              3   10,708      450    8,070
FED HOME LN MTG CORP       COM         313400301          4     5,700  SH              X              2                      5,700
FED NATL MTG ASSN          COM         313586109          5     7,800  SH              X              2                      7,800
FIFTH THIRD BANCORP        COM         316773100      1,697   239,034  SH              X              2  239,034
FIFTH THIRD BANCORP        COM         316773100        548    77,210  SH              X              3   77,210
FIFTH THIRD BANCORP        COM         316773100         10     1,388  SH                    X        3      600      788
FIRST AMERN CORP CALIF     COM         318522307      3,159   121,941  SH              X              2  121,941
FIRST AMERN CORP CALIF     COM         318522307        816    31,490  SH              X              3   30,114             1,376
FIRST HORIZON NATL CORP    COM         320517105      1,897   158,088  SH              X              2  158,088
FIRST HORIZON NATL CORP    COM         320517105        481    40,082  SH              X              3   34,682             5,400
1ST SOURCE CORP            COM         336901103        543    31,439  SH                    X        3            31,439
FISERV INC                 COM         337738108      1,371    30,000  SH              X              2   30,000
FISERV INC                 COM         337738108        156     3,414  SH                    X        3             3,414
FISERV INC                 COM         337738108      1,241    27,152  SH              X              3   20,677      325    6,150
FIRSTENERGY CORP           COM         337932107        371     9,579  SH              X              3    9,579
FIRSTENERGY CORP           COM         337932107        108     2,776  SH                    X        3             2,776
FLUOR CORP NEW             COM         343412102      3,744    73,000  SH              X              2   28,200            44,800
FLUOR CORP NEW             COM         343412102        856    16,680  SH              X              3   16,680
FLUOR CORP NEW             COM         343412102        154     3,000  SH                    X        3             1,460    1,540
FLOWERS FOODS INC          COM         343498101        260    11,909  SH              X              3       60            11,849
FOOT LOCKER INC            COM         344849104         30     2,850  SH                    X        3                      2,850





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
FOOT LOCKER INC            COM         344849104        145    13,816  SH              X              3    5,679             8,137
FORD MTR CO DEL            COMPAR$0.01 345370860          9     1,500  SH              X            1,3    1,500
FORD MTR CO DEL            COMPAR$0.01 345370860         11     1,748  SH              X              2                      1,748
FORD MTR CO DEL            COMPAR$0.01 345370860      1,308   215,460  SH              X              3  215,280               180
FORD MTR CO DEL            COMPAR$0.01 345370860         84    13,809  SH                    X        3       98    1,211   12,500
FOREST LABS INC            COM         345838106      1,521    60,590  SH              X              2   60,590
FOREST LABS INC            COM         345838106        265    10,568  SH                    X        3            10,568
FOREST LABS INC            COM         345838106        585    23,273  SH              X              3   22,936       96      241
FORTUNE BRANDS INC         COM         349631101          7       200  SH              X            1,3      200
FORTUNE BRANDS INC         COM         349631101        313     8,996  SH                    X        3    1,600    7,396
FORTUNE BRANDS INC         COM         349631101        301     8,652  SH              X              3    7,928      164      560
FOSSIL INC                 COM         349882100      4,000   166,100  SH              X              2  166,100
FOSSIL INC                 COM         349882100         22       916  SH                    X        3               916
FOSSIL INC                 COM         349882100        621    25,815  SH              X              3   23,423             2,392
FRANKLIN RES INC           COM         354613101        568     7,892  SH              X              3    7,844                48
FRANKLIN RES INC           COM         354613101         57       798  SH                    X        3               318      480
FREDS INC                  CL A        356108100      2,074   164,100  SH              X              2  164,100
FREDS INC                  CL A        356108100         16     1,300  SH                    X        3                      1,300
FREDS INC                  CL A        356108100        549    43,390  SH              X              3   37,503             5,887
FRESENIUS MEDCARE AG&CO    SPON ADR    358029106        102     2,276  SH                    X        3               693    1,583
FRESENIUS MEDCARE AG&CO    SPON ADR    358029106        290     6,442  SH              X              3    4,543             1,899
GABELLI EQUITY TR INC      COM         362397101         74    16,360  SH              X              3   16,360
GALLAGHER ARTHUR J&CO      COM         363576109        122     5,700  SH                    X        3             5,700
GALLAGHER ARTHUR J&CO      COM         363576109        216    10,105  SH              X              3    3,343             6,762
GANNETT INC                COM         364730101        103    28,770  SH              X              3   28,170      100      500
GANNETT INC                COM         364730101          9     2,450  SH                    X        3               340    2,110
GAP INC DEL                COM         364760108      4,175   254,615  SH              X              2  254,615
GAP INC DEL                COM         364760108        319    19,479  SH                    X        3            14,527    4,952
GAP INC DEL                COM         364760108      1,096    66,785  SH              X              3   60,835             5,950
GARTNER INC                COM         366651107         34     2,200  SH                    X        3             2,200
GARTNER INC                COM         366651107        184    12,033  SH              X              3    9,085             2,948
GENERAL COMM INC           CL A        369385109        217    31,273  SH              X              3   31,273
GENERAL DYNAMICS CORP      COM         369550108      3,402    61,425  SH              X              2   61,425
GENERAL DYNAMICS CORP      COM         369550108      1,044    18,843  SH              X              3   18,119               724
GENERAL DYNAMICS CORP      COM         369550108        426     7,683  SH                    X        3    2,100    4,643      940
GENERAL ELECTRIC CO        COM         369604103        192    16,360  SH              X            1,3   16,360
GENERAL ELECTRIC CO        COM         369604103         25     2,150  SH                    X      1,3    1,550      600
GENERAL ELECTRIC CO        COM         369604103        761    64,917  SH              X              2                     64,917
GENERAL ELECTRIC CO        COM         369604103     16,201 1,382,331  SH              X              2  882,231           500,100
GENERAL ELECTRIC CO        COM         369604103      5,114   436,350  SH                    X        3  103,271  314,892   18,187
GENERAL ELECTRIC CO        COM         369604103     29,303 2,500,262  SH              X              32,310,655   86,964  102,643
GENERAL MLS INC            COM         370334104          6       100  SH              X            1,3      100
GENERAL MLS INC            COM         370334104         72     1,285  SH              X              2    1,285
GENERAL MLS INC            COM         370334104      1,346    24,030  SH              X              2                     24,030
GENERAL MLS INC            COM         370334104        967    17,268  SH                    X        3   10,300    6,618      350
GENERAL MLS INC            COM         370334104      3,530    63,007  SH              X              3   59,854    1,673    1,480
GENUINE PARTS CO           COM         372460105          1        30  SH              X              2       30
GENUINE PARTS CO           COM         372460105         98     2,933  SH                    X        3      100    2,833
GENUINE PARTS CO           COM         372460105        197     5,875  SH              X              3    5,784                91
GENZYME CORP               COM         372917104      7,120   127,900  SH              X              2   64,200            63,700
GENZYME CORP               COM         372917104         40       724  SH                    X        3               724
GENZYME CORP               COM         372917104        120     2,153  SH              X              3    1,553               600
GILEAD SCIENCES INC        COM         375558103      1,979    42,250  SH              X            1,3   42,100      150
GILEAD SCIENCES INC        COM         375558103        185     3,950  SH                    X      1,3    2,750    1,200
GILEAD SCIENCES INC        COM         375558103     19,017   405,995  SH              X              2  231,495           174,500
GILEAD SCIENCES INC        COM         375558103      1,043    22,276  SH                    X        3    1,573   10,035   10,668
GILEAD SCIENCES INC        COM         375558103      3,695    78,889  SH              X              3   61,278      214   17,397
GLOBAL CASH ACCESS HLDG    COM         378967103      2,292   287,900  SH              X              2  287,900
GLOBAL CASH ACCESS HLDG    COM         378967103        545    68,528  SH              X              3   64,111             4,417
GOODRICH CORP              COM         382388106      1,154    23,100  SH              X              2   23,100
GOODRICH CORP              COM         382388106         10       206  SH                    X        3               206
GOODRICH CORP              COM         382388106        362     7,247  SH              X              3    7,036               211
GOODYEAR TIRE & RUBR CO    COM         382550101          2       190  SH                    X        3               190
GOODYEAR TIRE & RUBR CO    COM         382550101        175    15,582  SH              X              3   15,532                50
GRAINGER W W INC           COM         384802104         35       425  SH              X            1,3      425
GRAINGER W W INC           COM         384802104        401     4,896  SH                    X        3      200    3,296    1,400
GRAINGER W W INC           COM         384802104      1,683    20,558  SH              X              3   10,573             9,985
GROUP 1 AUTOMOTIVE INC     COM         398905109         91     3,500  SH                    X        3             3,500
GROUP 1 AUTOMOTIVE INC     COM         398905109        193     7,410  SH              X              3    2,915             4,495
GUESS INC                  COM         401617105      1,578    61,200  SH              X              2   61,200
GUESS INC                  COM         401617105          9       335  SH                    X        3                        335
GUESS INC                  COM         401617105        118     4,606  SH              X              3    1,687             2,919
HNI CORP                   COM         404251100         75     4,150  SH                    X        3             4,150
HNI CORP                   COM         404251100        129     7,159  SH              X              3    2,584             4,575
HSBC HLDGS PLC             SP ADR NEW  404280406        596    14,268  SH                    X        3            12,056    2,212
HSBC HLDGS PLC             SP ADR NEW  404280406        534    12,793  SH              X              3    8,424      468    3,901
HAEMONETICS CORP           COM         405024100      1,721    30,200  SH              X              2   30,200
HAEMONETICS CORP           COM         405024100        466     8,176  SH              X              3    7,606               570
HALLIBURTON CO             COM         406216101     10,756   519,620  SH              X              2  321,320           198,300
HALLIBURTON CO             COM         406216101        724    34,935  SH              X              3   34,271      101      563
HALLIBURTON CO             COM         406216101        174     8,393  SH                    X        3             7,418      975
HANOVER INS GROUP INC      COM         410867105      3,110    81,610  SH              X              2   81,610
HANOVER INS GROUP INC      COM         410867105        936    24,558  SH              X              3   20,862             3,696
HANSEN NAT CORP            COM         411310105      1,080    35,000  SH              X              2   35,000
HANSEN NAT CORP            COM         411310105         37     1,200  SH                    X        3             1,200
HANSEN NAT CORP            COM         411310105      1,640    53,125  SH              X              3   51,327      800      998
HARLEY DAVIDSON INC        COM         412822108        660    40,703  SH              X              3   40,383      320
HARLEY DAVIDSON INC        COM         412822108        104     6,411  SH                    X        3      800    5,611
HARTE-HANKS INC            COM         416196103         91     9,875  SH                    X        3             9,875
HARTE-HANKS INC            COM         416196103        140    15,142  SH              X              3    2,702            12,440





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
HARTFORD FINLSVCS GR       COM         416515104          4       300  SH                    X      1,3      300
HARTFORD FINLSVCS GR       COM         416515104        435    36,683  SH              X              3   33,983             2,700
HARTFORD FINLSVCS GR       COM         416515104         57     4,763  SH                    X        3             1,113    3,650
HASBRO INC                 COM         418056107        198     8,188  SH              X              3    8,188
HASBRO INC                 COM         418056107         16       650  SH                    X        3               650
HEALTHSOUTH CORP           COM NEW     421924309        165    11,400  SH              X              3   11,400
HEALTH MGMT ASSOC INC      CL A        421933102      1,379   279,100  SH              X              2  279,100
HEALTH MGMT ASSOC INC      CL A        421933102        400    81,086  SH              X              3   74,517             6,569
HECLA MNG CO               COM         422704106      4,524 1,688,000  SH              X              21,688,000
HECLA MNG CO               COM         422704106          4     1,350  SH                    X        3             1,350
HECLA MNG CO               COM         422704106        585   218,213  SH              X              3  204,420            13,793
HEINZ H J CO               COM         423074103     10,950   306,735  SH              X              2  120,135           186,600
HEINZ H J CO               COM         423074103      3,218    90,151  SH              X              3   88,642      312    1,197
HEINZ H J CO               COM         423074103        602    16,870  SH                    X        3      500   14,812    1,558
HELMERICH & PAYNE INC      COM         423452101      1,694    54,880  SH              X              2   54,880
HELMERICH & PAYNE INC      COM         423452101        488    15,819  SH              X              3   13,332             2,487
HENRY JACK & ASSOC INC     COM         426281101         21     1,000  SH              X            1,3    1,000
HENRY JACK & ASSOC INC     COM         426281101        423    20,400  SH                    X        3            20,400
HENRY JACK & ASSOC INC     COM         426281101        220    10,588  SH              X              3    1,993             8,595
HERSHEY CO                 COM         427866108          9       245  SH              X            1,3      245
HERSHEY CO                 COM         427866108          2        50  SH              X              2       50
HERSHEY CO                 COM         427866108         92     2,547  SH                    X        3             2,547
HERSHEY CO                 COM         427866108        435    12,095  SH              X              3   10,565       15    1,515
HEWLETT PACKARD CO         COM         428236103      1,099    28,440  SH              X            1,3   28,440
HEWLETT PACKARD CO         COM         428236103         56     1,450  SH                    X      1,3    1,000      450
HEWLETT PACKARD CO         COM         428236103        576    14,896  SH              X              2                     14,896
HEWLETT PACKARD CO         COM         428236103     32,978   853,248  SH              X              2  444,282           408,966
HEWLETT PACKARD CO         COM         428236103      3,118    80,667  SH                    X        3   58,243   12,569    9,855
HEWLETT PACKARD CO         COM         428236103      9,665   250,058  SH              X              3  230,275    4,119   15,664
HOME DEPOT INC             COM         437076102        360    15,250  SH              X            1,3   15,000      250
HOME DEPOT INC             COM         437076102         40     1,700  SH                    X      1,3    1,700
HOME DEPOT INC             COM         437076102        429    18,155  SH              X              2   18,155
HOME DEPOT INC             COM         437076102        177     7,500  SH              X              2                      7,500
HOME DEPOT INC             COM         437076102        152     6,416  SH                    X        3    1,100    5,316
HOME DEPOT INC             COM         437076102      3,155   133,500  SH              X              3  131,096    1,097    1,307
HONDA MOTOR LTD            AMERN SH    438128308         91     3,322  SH                    X        3             1,112    2,210
HONDA MOTOR LTD            AMERN SH    438128308      1,152    42,085  SH              X              3   38,066             4,019
HONEYWELL INTL INC         COM         438516106         39     1,250  SH              X            1,3    1,250
HONEYWELL INTL INC         COM         438516106         18       562  SH                    X      1,3      562
HONEYWELL INTL INC         COM         438516106         79     2,500  SH              X              2                      2,500
HONEYWELL INTL INC         COM         438516106     11,292   359,630  SH              X              2  189,030           170,600
HONEYWELL INTL INC         COM         438516106        373    11,873  SH                    X        3    2,786    7,937    1,150
HONEYWELL INTL INC         COM         438516106      1,202    38,280  SH              X              3   34,666       79    3,535
HORMEL FOODS CORP          COM         440452100        157     4,556  SH              X              3    4,556
HORMEL FOODS CORP          COM         440452100         51     1,467  SH                    X        3             1,467
HOSPIRA INC                COM         441060100          1        30  SH                    X      1,3       30
HOSPIRA INC                COM         441060100         56     1,450  SH              X              2                      1,450
HOSPIRA INC                COM         441060100         41     1,060  SH                    X        3      891      169
HOSPIRA INC                COM         441060100        233     6,044  SH              X              3    6,014                30
HUDSON CITY BANCORP        COM         443683107         11       838  SH                    X        3               838
HUDSON CITY BANCORP        COM         443683107        349    26,286  SH              X              3   25,179             1,107
HUMANA INC                 COM         444859102      2,359    73,130  SH              X              2   73,130
HUMANA INC                 COM         444859102         19       600  SH              X              2                        600
HUMANA INC                 COM         444859102         15       455  SH                    X        3               455
HUMANA INC                 COM         444859102        448    13,885  SH              X              3   13,753               132
HUNT J B TRANS SVCS INC    COM         445658107        134     4,375  SH                    X        3             4,375
HUNT J B TRANS SVCS INC    COM         445658107        268     8,781  SH              X              3    2,172             6,609
IMS HEALTH INC             COM         449934108         19     1,467  SH                    X        3             1,467
IMS HEALTH INC             COM         449934108        285    22,439  SH              X              3   20,739             1,700
ITT CORP NEW               COM         450911102        792    17,800  SH              X              2   17,800
ITT CORP NEW               COM         450911102         73     1,648  SH                    X        3      920      528      200
ITT CORP NEW               COM         450911102      1,104    24,815  SH              X              3   23,949       16      850
IHS INC                    CL A        451734107      1,935    38,800  SH              X              2   38,800
IHS INC                    CL A        451734107        249     4,993  SH              X              3      303             4,690
ILLINOIS TOOL WKS INC      COM         452308109      1,609    43,085  SH              X            1,3   42,885      200
ILLINOIS TOOL WKS INC      COM         452308109        114     3,050  SH                    X      1,3    1,950    1,100
ILLINOIS TOOL WKS INC      COM         452308109      1,823    48,823  SH                    X        3    6,550   42,273
ILLINOIS TOOL WKS INC      COM         452308109      2,090    55,962  SH              X              3   54,118      522    1,322
ILLUMINA INC               COM         452327109      2,519    64,700  SH              X              2   64,700
ILLUMINA INC               COM         452327109         12       308  SH                    X        3               308
ILLUMINA INC               COM         452327109         70     1,778  SH              X              3    1,242               536
IMPERIAL OIL LTD           COM NEW     453038408         80     2,091  SH                    X        3               636    1,455
IMPERIAL OIL LTD           COM NEW     453038408        342     8,884  SH              X              3    7,218             1,666
IMPERIAL SUGAR CO NEW      COM NEW     453096208      4,007   330,900  SH              X              2  330,900
IMPERIAL SUGAR CO NEW      COM NEW     453096208        964    79,628  SH              X              3   74,339             5,289
INDIA FD INC               COM         454089103         49     1,580  SH              X              3    1,580
INDIA FD INC               COM         454089103        476    15,300  SH                    X        3            15,300
INFOSYS TECH LTD           SPON ADR    456788108        159     4,317  SH                    X        3             2,673    1,644
INFOSYS TECH LTD           SPON ADR    456788108        214     5,809  SH              X              3    3,058             2,751
ING GROEP N V              SPON ADR    456837103         81     8,032  SH                    X        3             2,369    5,663
ING GROEP N V              SPON ADR    456837103        189    18,651  SH              X              3   10,052             8,599
INGRAM MICRO INC           CL A        457153104      4,344   248,233  SH              X              2  248,233
INGRAM MICRO INC           CL A        457153104      1,135    64,875  SH              X              3   54,619            10,256
INTEL CORP                 COM         458140100        228    13,750  SH              X            1,3   13,750
INTEL CORP                 COM         458140100         49     2,950  SH                    X      1,3    1,650    1,300
INTEL CORP                 COM         458140100        159     9,600  SH              X              2                      9,600
INTEL CORP                 COM         458140100     25,952 1,568,057  SH              X              2  612,057           956,000
INTEL CORP                 COM         458140100      1,944   117,442  SH                    X        3    5,075  103,428    8,939
INTEL CORP                 COM         458140100     16,654 1,006,299  SH              X              3  972,618   19,586   14,095
IBM                        COM         459200101      2,015    19,300  SH              X            1,3   19,300





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
IBM                        COM         459200101        158     1,513  SH                    X      1,3      925      588
IBM                        COM         459200101      1,942    18,600  SH   PUT         X              2
IBM                        COM         459200101        865     8,288  SH              X              2                      8,288
IBM                        COM         459200101     33,699   322,721  SH              X              2  128,221           194,500
IBM                        COM         459200101      6,495    62,205  SH                    X        3   16,352   40,706    5,147
IBM                        COM         459200101     34,124   326,787  SH              X              3  303,268    9,248   14,271
INTERNATIONAL GAME TECH    COM         459902102         19     1,200  SH              X            1,3    1,200
INTERNATIONAL GAME TECH    COM         459902102          1        50  SH              X              2       50
INTERNATIONAL GAME TECH    COM         459902102         48     3,000  SH              X              2                      3,000
INTERNATIONAL GAME TECH    COM         459902102          8       533  SH                    X        3               533
INTERNATIONAL GAME TECH    COM         459902102        396    24,912  SH              X              3   24,305      114      493
INTL PAPER CO              COM         460146103         28     1,830  SH              X            1,3    1,830
INTL PAPER CO              COM         460146103      1,052    69,500  SH              X              2   69,500
INTL PAPER CO              COM         460146103        390    25,832  SH              X              3   25,832
INTL PAPER CO              COM         460146103        266    17,570  SH                    X        3      301   14,899    2,370
INTERPUBLIC GR COS INC     COM         460690100      2,282   451,803  SH              X              2  451,803
INTERPUBLIC GR COS INC     COM         460690100          1       156  SH                    X        3               156
INTERPUBLIC GR COS INC     COM         460690100        605   119,937  SH              X              3   98,292            21,645
INTUIT                     COM         461202103         11       400  SH              X            1,3      400
INTUIT                     COM         461202103         14       496  SH                    X        3               496
INTUIT                     COM         461202103        323    11,464  SH              X              3    1,214            10,250
ISHARES COMEX GOLD TR      ISHARES     464285105        167     1,830  SH              X              3    1,830
ISHARES COMEX GOLD TR      ISHARES     464285105        103     1,129  SH                    X        3               600      529
ISHARES INC                MSCI BRAZIL 464286400        212     4,000  SH              X              2    4,000
ISHARES INC                MSCI BRAZIL 464286400        265     5,010  SH              X              3    5,010
ISHARES INC                MSCI BRAZIL 464286400        541    10,210  SH                    X        3            10,210
ISHARES INC                MSCI CDAIND 464286509        147     6,880  SH              X              3    6,880
ISHARES INC                MSCI CDAIND 464286509      1,877    87,630  SH                    X        3            87,630
ISHARES TR                 MSCIEMUIND  464286608        242     8,000  SH              X              2    8,000
ISHARES INC                MSCI PACJID 464286665        238     7,500  SH              X              2    7,500
ISHARES INC                MSCI SING   464286673        103    11,462  SH              X              3   11,462
ISHARES INC                MSCI SING   464286673         13     1,450  SH                    X        3             1,450
ISHARES INC                MSCI TAIWAN 464286731         16     1,590  SH              X              3    1,590
ISHARES INC                MSCI TAIWAN 464286731        470    46,535  SH                    X        3            46,535
ISHARES TR                 MSCISKOREA  464286772         41     1,190  SH              X              3    1,190
ISHARES TR                 MSCISKOREA  464286772        188     5,400  SH                    X        3             5,400
ISHARES TR                 LC GR IND   464287119        437     9,217  SH              X              3    9,217
ISHARES TR                 S&P 1500IND 464287150         31       740  SH                    X        3               740
ISHARES TR                 S&P 1500IND 464287150        644    15,600  SH              X              3   14,890               710
ISHARES TR                 DJSELDIVIND 464287168     11,601   328,082  SH              X              3  327,503      579
ISHARES TR                 DJSELDIVIND 464287168        449    12,698  SH                    X        3      750   11,948
ISHARES TR                 TIPS BD     464287176        109     1,068  SH                    X        3             1,068
ISHARES TR                 TIPS BD     464287176      3,299    32,461  SH              X              3   31,461             1,000
ISHARES TR                 FTSEXNHUA   464287184        557    14,529  SH              X              3   14,529
ISHARES TR                 FTSEXNHUA   464287184        279     7,262  SH                    X        3      132    7,130
ISHARES TR                 S&P 500IND  464287200        746     8,074  SH                    X        3    1,224    6,850
ISHARES TR                 S&P 500IND  464287200     19,083   206,643  SH              X              3  202,898    1,220    2,525
ISHARES TR                 US AGG B    464287226      6,153    60,237  SH              X              3   59,537      700
ISHARES TR                 US AGG B    464287226        549     5,375  SH                    X        3      850    4,525
ISHARES TR                 MSCIEMERMKT 464287234        290     9,000  SH              X              2    9,000
ISHARES TR                 MSCIEMERMKT 464287234        954    29,599  SH                    X        3   14,005   12,605    2,989
ISHARES TR                 MSCIEMERMKT 464287234     14,448   448,276  SH              X              3  443,412      150    4,714
ISHARES TR                 IBOXINVCPBD 464287242         14       142  SH              X            1,3      142
ISHARES TR                 IBOXINVCPBD 464287242      1,258    12,540  SH              X              2   12,540
ISHARES TR                 IBOXINVCPBD 464287242     26,426   263,528  SH              X              3  263,528
ISHARES TR                 IBOXINVCPBD 464287242      1,892    18,870  SH                    X        3    4,750   14,120
ISHARES TR                 S&P500 GR   464287309         19       405  SH              X            1,3      405
ISHARES TR                 S&P500 GR   464287309        336     7,032  SH                    X        3    2,848    4,184
ISHARES TR                 S&P500 GR   464287309     12,346   258,442  SH              X              3  245,121    2,600   10,721
ISHARES TR                 S&P LTNAM40 464287390        243     7,000  SH              X              2    7,000
ISHARES TR                 S&P 500VL   464287408         11       260  SH              X            1,3      260
ISHARES TR                 S&P 500VL   464287408         71     1,627  SH                    X        3      200    1,427
ISHARES TR                 S&P 500VL   464287408      4,136    94,736  SH              X              3   89,646    5,000       90
ISHARES TR                 7-10 YR     464287440          9        98  SH              X            1,3       98
ISHARES TR                 7-10 YR     464287440        339     3,741  SH              X              3    3,741
ISHARES TR                 1-3 YR      464287457        572     6,836  SH              X              3    6,836
ISHARES TR                 MSCIEAFEIDX 464287465         71     1,554  SH              X              2    1,554
ISHARES TR                 MSCIEAFEIDX 464287465      2,401    52,418  SH                    X        3    5,819   45,417    1,182
ISHARES TR                 MSCIEAFEIDX 464287465     33,127   723,144  SH              X              3  702,380   15,132    5,632
ISHARES TR                 RUSS MC VL  464287473        826    28,507  SH              X              2   28,507
ISHARES TR                 RUSS MC VL  464287473        230     7,948  SH                    X        3    2,064    5,884
ISHARES TR                 RUSS MC VL  464287473      4,748   163,840  SH              X              3  158,090             5,750
ISHARES TR                 RUSS MC GR  464287481      2,373    65,100  SH              X              2   65,100
ISHARES TR                 RUSS MC GR  464287481        314     8,610  SH                    X        3    2,218    6,392
ISHARES TR                 RUSS MC GR  464287481      7,595   208,379  SH              X              3  207,479               900
ISHARES TR                 RUSS MC     464287499        567     8,650  SH                    X        3      750    7,900
ISHARES TR                 RUSS MC     464287499      8,522   130,083  SH              X              3  125,826      250    4,007
ISHARES TR                 S&P MC400   464287507          5        92  SH              X            1,3       92
ISHARES TR                 S&P MC400   464287507     11,523   199,391  SH              X              3  198,125    1,266
ISHARES TR                 S&P MC400   464287507      1,875    32,453  SH                    X        3    3,458   28,995
ISHARES TR                 NASDQBIOIND 464287556         51       700  SH                    X        3               700
ISHARES TR                 NASDQBIOIND 464287556        953    13,101  SH              X              3   13,059                42
ISHARES TR                 COH&STRLTY  464287564        490    13,635  SH              X              3   13,635
ISHARES TR                 COH&STRLTY  464287564         28       790  SH                    X        3               790
ISHARES TR                 RUSS1000VAL 464287598      1,952    41,024  SH              X              3   41,024
ISHARES TR                 RUSS1000VAL 464287598         45       943  SH                    X        3               943
ISHARES TR                 S&P MC400GR 464287606         32       511  SH              X              2      511
ISHARES TR                 S&P MC400GR 464287606        172     2,763  SH                    X        3    1,601    1,162
ISHARES TR                 S&P MC400GR 464287606      4,940    79,222  SH              X              3   79,049       90       83
ISHARES TR                 RUSS1000GRW 464287614      9,489   231,265  SH              X              3  231,265





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
ISHARES TR                 RUSS1000GRW 464287614        759    18,490  SH                    X        3    2,500   15,990
ISHARES TR                 RUSS 1000   464287622     12,446   245,670  SH              X              3  245,562      108
ISHARES TR                 RUSS 1000   464287622        267     5,280  SH                    X        3             5,280
ISHARES TR                 RUSL 2000VL 464287630        326     7,000  SH              X              2    7,000
ISHARES TR                 RUSL 2000VL 464287630        533    11,447  SH                    X        3    2,429    9,018
ISHARES TR                 RUSL 2000VL 464287630      7,388   158,786  SH              X              3  158,570       75      141
ISHARES TR                 RUSL 2000GR 464287648      3,010    53,100  SH              X              2   53,100
ISHARES TR                 RUSL 2000GR 464287648        419     7,393  SH                    X        3    1,428    5,965
ISHARES TR                 RUSL 2000GR 464287648      6,431   113,433  SH              X              3  112,220      100    1,113
ISHARES TR                 RUSS 2000   464287655         59     1,157  SH              X              2    1,157
ISHARES TR                 RUSS 2000   464287655        740    14,495  SH                    X        3    2,158   12,337
ISHARES TR                 RUSS 2000   464287655     15,471   302,873  SH              X              3  300,076    1,693    1,104
ISHARES TR                 RUSS 3000   464287689        693    12,860  SH              X              3   12,860
ISHARES TR                 DJ US UTILS 464287697         25       378  SH                    X        3      378
ISHARES TR                 DJ US UTILS 464287697        182     2,724  SH              X              3    2,724
ISHARES TR                 S&P MC VL   464287705         22       414  SH              X              2      414
ISHARES TR                 S&P MC VL   464287705      2,455    47,111  SH                    X        3   44,415    2,696
ISHARES TR                 S&P MC VL   464287705      9,782   187,725  SH              X              3  186,891      151      683
ISHARES TR                 DJ US TLCM  464287713        352    19,797  SH              X              3   19,797
ISHARES TR                 DJUSTECHSEC 464287721        856    19,233  SH              X              3   18,033      250      950
ISHARES TR                 DJ US RE    464287739        290     8,944  SH              X              3    8,944
ISHARES TR                 DJ US INDL  464287754        293     7,020  SH              X              3    7,020
ISHARES TR                 DJUSHLTHCR  464287762        634    11,723  SH              X              3   11,633       90
ISHARES TR                 DJUSHLTHCR  464287762         16       300  SH                    X        3               300
ISHARES TR                 DJUSFINLSVC 464287770        230     5,033  SH              X              3    5,033
ISHARES TR                 DJUSENERGY  464287796        487    17,008  SH              X              3   17,008
ISHARES TR                 S&P SC 600  464287804         25       564  SH              X            1,3      564
ISHARES TR                 S&P SC 600  464287804        809    18,198  SH                    X        3            18,198
ISHARES TR                 S&P SC 600  464287804      3,123    70,297  SH              X              3   70,291                 6
ISHARES TR                 CONSGDSIDX  464287812        217     4,650  SH              X              3    4,650
ISHARES TR                 DJUSBASMATL 464287838        467    10,757  SH              X              3   10,501      256
ISHARES TR                 S&P EUROPL  464287861        681    21,714  SH              X              3   21,714
ISHARES TR                 S&P EUROPL  464287861         72     2,290  SH                    X        3             2,290
ISHARES TR                 S&P SC VAL  464287879        283     6,003  SH                    X        3    5,413      590
ISHARES TR                 S&P SC VAL  464287879      3,375    71,682  SH              X              3   71,259      150      273
ISHARES TR                 LC VL IND   464288109        396     8,611  SH              X              3    8,611
ISHARES TR                 MDCORE IND  464288208        327     6,095  SH              X              3    6,095
ISHARES TR                 MG INDX     464288307        240     3,963  SH              X              3    3,963
ISHARES TR                 MV IND      464288406        408     8,229  SH              X              3    8,229
ISHARES TR                 S&PNATMUNB  464288414      2,925    29,350  SH              X              3   25,840             3,510
ISHARES TR                 S CORE IND  464288505        200     3,600  SH              X              3    3,600
ISHARES TR                 INTER GV    464288612         26       250  SH                    X        3      250
ISHARES TR                 INTER GV    464288612      1,180    11,335  SH              X              3   11,335
ISHARES TR                 INTER CR    464288638      2,564    25,645  SH              X              3   25,445      200
ISHARES TR                 USPFDSTK    464288687        502    15,610  SH              X              3   15,610
ISHARES TR                 USPFDSTK    464288687         32     1,000  SH                    X        3      200      800
ISHARES TR                 SC VAL IND  464288703      4,002    81,375  SH              X              3   81,375
ISHARES TR                 MSCI VL IDX 464288877        228     5,407  SH                    X        3    1,301    4,106
ISHARES TR                 MSCI VL IDX 464288877      4,128    97,892  SH              X              3   97,814                78
ISHARES TR                 MSCI GR IDX 464288885        308     6,663  SH                    X        3    1,156    5,507
ISHARES TR                 MSCI GR IDX 464288885      4,012    86,866  SH              X              3   86,322      471       73
JACOBS ENGR GR INC DEL     COM         469814107        285     6,775  SH              X            1,3    6,775
JACOBS ENGR GR INC DEL     COM         469814107         25       600  SH                    X      1,3      350      250
JACOBS ENGR GR INC DEL     COM         469814107        851    20,225  SH              X              3   20,225
JACOBS ENGR GR INC DEL     COM         469814107         81     1,926  SH                    X        3      200    1,101      625
JARDEN CORP                COM         471109108      4,684   249,800  SH              X              2  249,800
JARDEN CORP                COM         471109108        648    34,584  SH              X              3   31,862             2,722
JOHNSON & JOHNSON          COM         478160104      1,475    25,977  SH              X            1,3   25,427      550
JOHNSON & JOHNSON          COM         478160104        145     2,550  SH                    X      1,3    1,550    1,000
JOHNSON & JOHNSON          COM         478160104        869    15,300  SH              X              2                     15,300
JOHNSON & JOHNSON          COM         478160104     37,745   664,518  SH              X              2  292,218           372,300
JOHNSON & JOHNSON          COM         478160104      5,516    97,116  SH                    X        3   21,170   74,186    1,760
JOHNSON & JOHNSON          COM         478160104     34,602   609,192  SH              X              3  581,283   15,006   12,903
JOHNSON CTLS INC           COM         478366107          7       300  SH              X            1,3      300
JOHNSON CTLS INC           COM         478366107          1        30  SH              X              2       30
JOHNSON CTLS INC           COM         478366107      2,156    99,246  SH                    X        3   17,460   81,186      600
JOHNSON CTLS INC           COM         478366107      3,618   166,583  SH              X              3  139,733   25,100    1,750
JOY GLOBAL INC             COM         481165108         10       275  SH                    X        3               275
JOY GLOBAL INC             COM         481165108        347     9,710  SH              X              3    7,708             2,002
KLA-TENCOR CORP            COM         482480100        351    13,888  SH              X              3   13,888
KLA-TENCOR CORP            COM         482480100         12       476  SH                    X        3               476
KANSAS CITY SOUTHERN       COM NEW     485170302        100     6,220  SH                    X        3             6,220
KANSAS CITY SOUTHERN       COM NEW     485170302         94     5,837  SH              X              3    5,260               577
KAYNE ANDERSON MLP INV     COM         486606106      2,397   109,202  SH              X              3  109,202
KELLOGG CO                 COM         487836108        613    13,165  SH              X            1,3   13,065      100
KELLOGG CO                 COM         487836108        111     2,375  SH                    X      1,3    1,350    1,025
KELLOGG CO                 COM         487836108        373     8,027  SH              X              2    8,027
KELLOGG CO                 COM         487836108      1,337    28,702  SH                    X        3    9,364   19,338
KELLOGG CO                 COM         487836108     12,286   263,828  SH              X              3  258,151    4,604    1,073
KEYCORP NEW                COM         493267108         32     6,200  SH              X              2                      6,200
KEYCORP NEW                COM         493267108        158    30,099  SH              X              3   30,099
KEYCORP NEW                COM         493267108          7     1,280  SH                    X        3             1,280
KIMBERLY CLARK CORP        COM         494368103        777    14,825  SH              X            1,3   14,825
KIMBERLY CLARK CORP        COM         494368103        147     2,800  SH                    X      1,3    2,150      650
KIMBERLY CLARK CORP        COM         494368103        419     8,000  SH              X              2                      8,000
KIMBERLY CLARK CORP        COM         494368103     12,551   239,393  SH              X              2   88,181           151,212
KIMBERLY CLARK CORP        COM         494368103      3,106    59,240  SH                    X        3   17,259   37,120    4,861
KIMBERLY CLARK CORP        COM         494368103     11,212   213,845  SH              X              3  187,558   10,673   15,614
KINDER MORGAN ENER PART    UT LTDPART  494550106        773    15,115  SH              X              3   15,115
KINDER MORGAN ENER PART    UT LTDPART  494550106        282     5,520  SH                    X        3    1,520    4,000





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
KING PHARMS INC            COM         495582108      1,373   142,600  SH              X              2  142,600
KING PHARMS INC            COM         495582108          8       788  SH                    X        3               788
KING PHARMS INC            COM         495582108        167    17,293  SH              X              3   14,793             2,500
KIRBY CORP                 COM         497266106         77     2,420  SH                    X        3             2,420
KIRBY CORP                 COM         497266106        160     5,040  SH              X              3    2,656             2,384
KOHLS CORP                 COM         500255104         33       775  SH              X            1,3      775
KOHLS CORP                 COM         500255104         13       300  SH                    X      1,3               300
KOHLS CORP                 COM         500255104     12,378   289,536  SH              X              2  192,036            97,500
KOHLS CORP                 COM         500255104      1,585    37,071  SH                    X        3    2,060   33,961    1,050
KOHLS CORP                 COM         500255104     14,991   350,652  SH              X              3  326,530   12,576   11,546
KOREA ELECTRIC PWR         SPON ADR    500631106         43     3,768  SH              X              3    3,768
KOREA ELECTRIC PWR         SPON ADR    500631106        196    17,031  SH                    X        3            17,031
KORN FERRY INTL            COM NEW     500643200         81     7,600  SH                    X        3             7,600
KORN FERRY INTL            COM NEW     500643200        131    12,305  SH              X              3    4,145             8,160
KROGER CO                  COM         501044101      2,551   115,686  SH              X              2  115,686
KROGER CO                  COM         501044101        503    22,800  SH              X              2                     22,800
KROGER CO                  COM         501044101        163     7,401  SH                    X        3             7,401
KROGER CO                  COM         501044101      1,903    86,297  SH              X              3   82,076       55    4,166
KUBOTA CORP                ADR         501173207         98     2,402  SH                    X        3               707    1,695
KUBOTA CORP                ADR         501173207        225     5,495  SH              X              3    2,928             2,567
KULICKE & SOFFA INDS       COM         501242101         35    10,200  SH              X              3   10,200
LKQ CORP                   COM         501889208         15       925  SH                    X        3                        925
LKQ CORP                   COM         501889208        306    18,630  SH              X              3    3,340            15,290
LSI CORPORATION            COM         502161102         14     3,138  SH                    X        3       95    3,043
LSI CORPORATION            COM         502161102        105    22,962  SH              X              3    8,082            14,880
L-3 COMM HLDGS INC         COM         502424104      1,211    17,450  SH              X            1,3   17,450
L-3 COMM HLDGS INC         COM         502424104         73     1,050  SH                    X      1,3      775      275
L-3 COMM HLDGS INC         COM         502424104      1,618    23,320  SH              X              2   23,320
L-3 COMM HLDGS INC         COM         502424104        104     1,499  SH                    X        3      365      554      580
L-3 COMM HLDGS INC         COM         502424104        705    10,165  SH              X              3    5,805             4,360
LAUDER ESTEE COS INC       CL A        518439104         42     1,276  SH                    X        3      100    1,176
LAUDER ESTEE COS INC       CL A        518439104        383    11,726  SH              X              3   11,496      200       30
LEAP WIRELESS INTL INC     COM NEW     521863308      5,809   176,400  SH              X              2  176,400
LEAP WIRELESS INTL INC     COM NEW     521863308        771    23,431  SH              X              3   21,947             1,484
LEGG MASON INC             COM         524901105        205     8,407  SH              X              3    8,407
LEGG MASON INC             COM         524901105         11       456  SH                    X        3               456
LENNAR CORP                CL A        526057104         14     1,400  SH              X              2                      1,400
LENNAR CORP                CL A        526057104        190    19,632  SH              X              3   19,632
LENNAR CORP                CL A        526057104         12     1,213  SH                    X        3             1,213
LEXMARK INTL NEW           CL A        529771107      1,883   118,786  SH              X              2  118,786
LEXMARK INTL NEW           CL A        529771107          2       111  SH                    X        3               111
LEXMARK INTL NEW           CL A        529771107        558    35,230  SH              X              3   34,620               610
LIBERTY ALL STAR EQ FD     SH BEN INT  530158104      4,444 1,284,409  SH              X              31,284,409
LIBERTY ALL STAR EQ FD     SH BEN INT  530158104         91    26,220  SH                    X        3            26,220
LIBERTY GLOBAL INC         COM SER A   530555101      3,169   199,436  SH              X              2  199,436
LIBERTY GLOBAL INC         COM SER A   530555101         19     1,192  SH                    X        3                      1,192
LIBERTY GLOBAL INC         COM SER A   530555101        788    49,570  SH              X              3   42,770             6,800
LILLY ELI & CO             COM         532457108         87     2,500  SH              X            1,3    2,500
LILLY ELI & CO             COM         532457108      2,038    58,860  SH              X              2   58,860
LILLY ELI & CO             COM         532457108         38     1,100  SH              X              2                      1,100
LILLY ELI & CO             COM         532457108      7,198   207,784  SH              X              3  204,606    2,458      720
LILLY ELI & CO             COM         532457108      9,068   261,781  SH                    X        3  252,129    8,662      990
LIMITED BRANDS INC         COM         532716107        413    34,538  SH              X              3   34,538
LIMITED BRANDS INC         COM         532716107         13     1,048  SH                    X        3             1,048
LINCOLN ELEC HLDGS INC     COM         533900106         13       360  SH                    X        3                        360
LINCOLN ELEC HLDGS INC     COM         533900106        231     6,422  SH              X              3      740             5,682
LINCOLN NATL CORP IND      COM         534187109         39     2,250  SH              X            1,3    2,250
LINCOLN NATL CORP IND      COM         534187109          4       250  SH                    X      1,3      250
LINCOLN NATL CORP IND      COM         534187109      1,900   110,426  SH              X              2  110,426
LINCOLN NATL CORP IND      COM         534187109        948    55,096  SH              X              3   55,096
LINCOLN NATL CORP IND      COM         534187109        150     8,723  SH                    X        3             8,723
LINEAR TECH CORP           COM         535678106          1        45  SH              X            1,3       45
LINEAR TECH CORP           COM         535678106      1,051    45,000  SH              X              2   45,000
LINEAR TECH CORP           COM         535678106         27     1,180  SH              X              3    1,180
LINEAR TECH CORP           COM         535678106         14       592  SH                    X        3                37      555
LOCKHEED MARTIN CORP       COM         539830109         58       725  SH              X            1,3      725
LOCKHEED MARTIN CORP       COM         539830109         48       600  SH                    X      1,3      400      200
LOCKHEED MARTIN CORP       COM         539830109      1,573    19,513  SH              X              2   19,513
LOCKHEED MARTIN CORP       COM         539830109         24       300  SH              X              2                        300
LOCKHEED MARTIN CORP       COM         539830109      1,210    15,003  SH                    X        3    1,140   10,468    3,395
LOCKHEED MARTIN CORP       COM         539830109     13,945   172,904  SH              X              3  160,754    3,640    8,510
LOEWS CORP                 COM         540424108        333    12,159  SH              X              3   12,159
LOEWS CORP                 COM         540424108         77     2,814  SH                    X        3             2,814
LORILLARD INC              COM         544147101      2,939    43,364  SH              X              2   43,364
LORILLARD INC              COM         544147101         17       255  SH                    X        3               255
LORILLARD INC              COM         544147101      1,077    15,888  SH              X              3   14,453             1,435
LOWES COS INC              COM         548661107        857    44,155  SH              X            1,3   44,155
LOWES COS INC              COM         548661107         46     2,350  SH                    X      1,3    1,200    1,150
LOWES COS INC              COM         548661107      3,150   162,292  SH              X              2  162,292
LOWES COS INC              COM         548661107        238    12,250  SH              X              2                     12,250
LOWES COS INC              COM         548661107      1,492    76,868  SH                    X        3   25,840   51,028
LOWES COS INC              COM         548661107      8,986   462,969  SH              X              3  450,790    8,781    3,398
LUBRIZOL CORP              COM         549271104        108     2,275  SH              X            1,3    2,275
LUBRIZOL CORP              COM         549271104         50     1,050  SH                    X      1,3    1,050
LUBRIZOL CORP              COM         549271104         38       800  SH                    X        3               800
LUBRIZOL CORP              COM         549271104        128     2,703  SH              X              3    1,703             1,000
LUCAS ENERGY INC           COM NEW     549333201         40    47,500  SH              X              3   47,500
LULULEMON ATHLETICA INC    COM         550021109        254    19,502  SH              X              3   19,502
MDU RES GROUP INC          COM         552690109        247    13,024  SH                    X        3            13,024
MDU RES GROUP INC          COM         552690109      2,305   121,488  SH              X              3   79,864   40,279    1,345





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
MEMC ELECTR MATLS INC      COM         552715104        330    18,519  SH              X              3   13,503             5,016
MEMC ELECTR MATLS INC      COM         552715104        164     9,198  SH                    X        3    1,236    2,535    5,427
MPS GROUP INC              COM         553409103         81    10,600  SH                    X        3            10,600
MPS GROUP INC              COM         553409103        138    18,046  SH              X              3    6,616            11,430
MSC SOFTWARE CORP          COM         553531104        126    18,960  SH              X              3   18,960
MACK CALI RLTY CORP        COM         554489104      1,966    86,235  SH              X              2   86,235
MACK CALI RLTY CORP        COM         554489104         15       645  SH                    X        3                        645
MACK CALI RLTY CORP        COM         554489104        514    22,520  SH              X              3   20,386             2,134
MAGNA INTL INC             CL A        559222401         55     1,303  SH              X              3    1,303
MAGNA INTL INC             CL A        559222401        273     6,457  SH                    X        3             6,457
MAGYAR TELEKOM TLCM P      SPON ADR    559776109         50     3,342  SH                    X        3             1,149    2,193
MAGYAR TELEKOM TLCM P      SPON ADR    559776109        114     7,640  SH              X              3    4,191             3,449
MAIDENFORM BRANDS INC      COM         560305104        123    10,751  SH              X              3   10,751
MAIDENFORM BRANDS INC      COM         560305104         18     1,575  SH                    X        3             1,575
MANITOWOC INC              COM         563571108        257    48,868  SH              X              3   48,868
MANITOWOC INC              COM         563571108         22     4,150  SH                    X        3             4,150
MARATHON OIL CORP          COM         565849106     11,190   371,390  SH              X              2  241,290           130,100
MARATHON OIL CORP          COM         565849106      2,637    87,513  SH              X              3   86,968      107      438
MARATHON OIL CORP          COM         565849106        254     8,437  SH                    X        3      200    5,106    3,131
MARCUS CORP                COM         566330106         19     1,780  SH              X              3    1,780
MARCUS CORP                COM         566330106        221    21,040  SH                    X        3      300   19,050    1,690
MARSH & MCLENNAN CO INC    COM         571748102        181     9,000  SH              X              2    9,000
MARSH & MCLENNAN CO INC    COM         571748102         60     3,000  SH              X              2                      3,000
M&I CORP NEW               COM         571837103         13     2,676  SH              X            1,3                      2,676
M&I CORP NEW               COM         571837103         16     3,248  SH              X              2                      3,248
M&I CORP NEW               COM         571837103        230    47,886  SH              X              2                     47,886
M&I CORP NEW               COM         571837103      6,115 1,274,038  SH                    X        3  102,222  191,055  980,761
M&I CORP NEW               COM         571837103     31,130 6,485,325  SH              X              32,916,208   38,2003,530,917
MASCO CORP                 COM         574599106        118    12,285  SH              X              3   12,205                80
MASSEY ENERGY CORP         COM         576206106        120     6,133  SH                    X        3      754    1,287    4,092
MASSEY ENERGY CORP         COM         576206106        413    21,112  SH              X              3    7,159            13,953
MATTEL INC                 COM         577081102        212    13,223  SH              X              3   13,223
MATTEL INC                 COM         577081102        118     7,345  SH                    X        3             2,568    4,777
MAXIMUS INC                COM         577933104        784    18,994  SH              X              3   17,995               999
MCAFEE INC                 COM         579064106      2,304    54,600  SH              X              2   54,600
MCAFEE INC                 COM         579064106        230     5,454  SH                    X        3      732    1,170    3,552
MCAFEE INC                 COM         579064106      1,391    32,976  SH              X              3   12,884            20,092
MCDONALDS CORP             COM         580135101      1,253    21,790  SH              X            1,3   21,790
MCDONALDS CORP             COM         580135101         69     1,200  SH                    X      1,3      600      600
MCDONALDS CORP             COM         580135101        161     2,800  SH              X              2                      2,800
MCDONALDS CORP             COM         580135101     22,010   382,847  SH              X              2  189,747           193,100
MCDONALDS CORP             COM         580135101      2,921    50,812  SH                    X        3   27,200   23,612
MCDONALDS CORP             COM         580135101     18,700   325,279  SH              X              3  321,478    2,384    1,417
MCGRATH RENTCORP           COM         580589109      9,800   514,174  SH              X            1,3  514,174
MCGRATH RENTCORP           COM         580589109          3       140  SH              X              2      140
MCGRAW HILL COS INC        COM         580645109        220     7,319  SH                    X        3             5,119    2,200
MCGRAW HILL COS INC        COM         580645109      2,293    76,160  SH              X              3   46,705    6,601   22,854
MEADWESTVACO CORP          COM         583334107      3,116   189,842  SH              X              2  189,842
MEADWESTVACO CORP          COM         583334107         48     2,916  SH                    X        3             2,916
MEADWESTVACO CORP          COM         583334107      1,058    64,480  SH              X              3   58,180             6,300
MEDASSETS INC              COM         584045108      1,482    76,200  SH              X              2   76,200
MEDASSETS INC              COM         584045108        355    18,247  SH              X              3   17,058             1,189
MEDTRONIC INC              COM         585055106        190     5,445  SH              X            1,3    5,445
MEDTRONIC INC              COM         585055106         72     2,075  SH                    X      1,3    2,000       75
MEDTRONIC INC              COM         585055106      6,079   174,234  SH              X              2   53,234           121,000
MEDTRONIC INC              COM         585055106        696    19,936  SH                    X        3      370   19,566
MEDTRONIC INC              COM         585055106     11,483   329,126  SH              X              3  318,031    6,951    4,144
MERCK & CO INC             COM         589331107        122     4,350  SH              X            1,3    4,350
MERCK & CO INC             COM         589331107         59     2,125  SH                    X      1,3    2,125
MERCK & CO INC             COM         589331107        330    11,814  SH              X              2                     11,814
MERCK & CO INC             COM         589331107      8,964   320,610  SH              X              2  132,910           187,700
MERCK & CO INC             COM         589331107      7,301   261,124  SH              X              3  251,660    5,089    4,375
MERCK & CO INC             COM         589331107      1,532    54,807  SH                    X        3   18,122   31,964    4,721
MEREDITH CORP              COM         589433101        134     5,228  SH                    X        3             5,228
MEREDITH CORP              COM         589433101        591    23,140  SH              X              3   17,330             5,810
METAVANTE TECH INC         COM         591407101         23       892  SH              X            1,3                        892
METAVANTE TECH INC         COM         591407101      8,103   313,330  SH                    X        3    8,707    7,798  296,825
METAVANTE TECH INC         COM         591407101     35,314 1,365,598  SH              X              3  458,923    7,900  898,775
METROPCS COMM INC          COM         591708102      2,340   175,800  SH              X              2  175,800
METROPCS COMM INC          COM         591708102          5       374  SH                    X        3               374
METROPCS COMM INC          COM         591708102         90     6,761  SH              X              3    3,564             3,197
METTLER TOLEDO INTERNTL    COM         592688105      1,319    17,100  SH              X              2   17,100
METTLER TOLEDO INTERNTL    COM         592688105        137     1,782  SH                    X        3               542    1,240
METTLER TOLEDO INTERNTL    COM         592688105        409     5,294  SH              X              3    3,848             1,446
MICROS SYS INC             COM         594901100          9       375  SH                    X        3      182      193
MICROS SYS INC             COM         594901100        337    13,329  SH              X              3    2,535            10,794
MICROSOFT CORP             COM         594918104        140     5,900  SH              X            1,3    5,900
MICROSOFT CORP             COM         594918104         12       500  SH                    X      1,3               500
MICROSOFT CORP             COM         594918104        257    10,800  SH              X              2                     10,800
MICROSOFT CORP             COM         594918104     52,315 2,200,901  SH              X              2  917,801         1,283,100
MICROSOFT CORP             COM         594918104      4,947   208,106  SH                    X        3   31,232  167,492    9,382
MICROSOFT CORP             COM         594918104     31,725 1,334,659  SH              X              31,260,002   42,939   31,718
MICROCHIP TECH INC         COM         595017104      1,184    52,500  SH              X              2   52,500
MICROCHIP TECH INC         COM         595017104         21       936  SH                    X        3               936
MICROCHIP TECH INC         COM         595017104        382    16,959  SH              X              3   16,719               240
MICRON TECH INC            COM         595112103      3,909   772,500  SH              X              2  319,300           453,200
MIDCAP SPDR TR             UNIT SER 1  595635103         16       150  SH              X            1,3      150
MIDCAP SPDR TR             UNIT SER 1  595635103         11       100  SH                    X      1,3               100
MIDCAP SPDR TR             UNIT SER 1  595635103        762     7,242  SH                    X        3      535    6,707
MIDCAP SPDR TR             UNIT SER 1  595635103      9,305    88,452  SH              X              3   86,694    1,278      480





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
MIDDLEBY CORP              COM         596278101      2,811    64,000  SH              X              2   64,000
MIDDLEBY CORP              COM         596278101         11       247  SH                    X        3      120      127
MIDDLEBY CORP              COM         596278101        374     8,517  SH              X              3    7,977               540
MIDWEST BANC HLDGS INC     COM         598251106         22    29,247  SH              X            1,3   29,247
MILLIPORE CORP             COM         601073109          2        22  SH                    X        3                22
MILLIPORE CORP             COM         601073109        438     6,245  SH              X              3    6,158                87
MINDRAY MEDICALINTL LTD    SPON ADR    602675100         63     2,240  SH              X              3    2,240
MINDRAY MEDICALINTL LTD    SPON ADR    602675100        321    11,500  SH                    X        3            11,500
MITSUBISHI UFJ FINLGRIN    SPON ADR    606822104         83    13,560  SH              X              3   13,045               515
MODINE MFG CO              COM         607828100         94    19,620  SH              X              3   19,620
MODINE MFG CO              COM         607828100          5       970  SH                    X        3               970
MOLEX INC                  CL A        608554200        129     9,005  SH                    X        3             7,975    1,030
MOLEX INC                  CL A        608554200        161    11,175  SH              X              3    1,145            10,030
MOODYS CORP                COM         615369105         62     2,366  SH                    X        3             2,366
MOODYS CORP                COM         615369105        322    12,213  SH              X              3   12,093               120
MORGAN STANLEY             COM NEW     617446448      1,568    55,000  SH   PUT        X              2
MORGAN STANLEY             COM NEW     617446448      3,168   111,115  SH              X              2  111,115
MORGAN STANLEY             COM NEW     617446448      1,294    45,403  SH              X              3   45,333                70
MORGAN STANLEY             COM NEW     617446448        143     5,015  SH                    X        3      156    2,945    1,914
MOTOROLA INC               COM         620076109        154    23,158  SH              X              3   22,883               275
MOTOROLA INC               COM         620076109        142    21,490  SH                    X        3    5,500    5,320   10,670
MURPHY OIL CORP            COM         626717102        378     6,960  SH                    X        3             6,960
MURPHY OIL CORP            COM         626717102        546    10,051  SH              X              3    9,918               133
MYLAN INC                  COM         628530107      2,101   161,000  SH              X              2  161,000
MYLAN INC                  COM         628530107         10       776  SH                    X        3               776
MYLAN INC                  COM         628530107        117     8,968  SH              X              3    4,833             4,135
NYSE EURONEXT              COM         629491101      8,421   309,020  SH              X              2  123,720           185,300
NYSE EURONEXT              COM         629491101         21       778  SH                    X        3               778
NYSE EURONEXT              COM         629491101        972    35,678  SH              X              3   35,513       35      130
NANOGEN INC                COM         630075109          0    10,000  SH              X              3   10,000
NATIONAL FUEL GAS CO NJ    COM         636180101      6,870   190,400  SH              X              2  190,400
NATIONAL FUEL GAS CO NJ    COM         636180101         23       632  SH                    X        3      100      532
NATIONAL FUEL GAS CO NJ    COM         636180101        970    26,886  SH              X              3   24,042      150    2,694
NAT OILWELL VARCO INC      COM         637071101      1,633    50,000  SH              X              2   50,000
NAT OILWELL VARCO INC      COM         637071101      1,578    48,312  SH              X              3   47,712      600
NAT OILWELL VARCO INC      COM         637071101        279     8,555  SH                    X        3    6,800      665    1,090
NATIONAL PRESTO INDS       COM         637215104        148     1,950  SH                    X        3             1,950
NATIONAL PRESTO INDS       COM         637215104         71       934  SH              X              3      609               325
NATIONAL SEMICOND CORP     COM         637640103          9       754  SH                    X        3               754
NATIONAL SEMICOND CORP     COM         637640103        331    26,382  SH              X              3   26,044               338
NEOGEN CORP                COM         640491106      2,355    81,250  SH              X              2   81,250
NEOGEN CORP                COM         640491106        627    21,641  SH              X              3   20,408             1,233
NEW ORIENTAL ED&TEC GRI    SPON ADR    647581107        317     4,700  SH                    X        3             4,700
NEW YORK TIMES CO          CL A        650111107        106    19,249  SH              X              3   19,249
NEW YORK TIMES CO          CL A        650111107          5       879  SH                    X        3               879
NEWELL RUBBERMAID INC      COM         651229106          2       200  SH              X            1,3      200
NEWELL RUBBERMAID INC      COM         651229106          6       550  SH                    X      1,3      550
NEWELL RUBBERMAID INC      COM         651229106        951    91,335  SH              X              2   91,335
NEWELL RUBBERMAID INC      COM         651229106        839    80,599  SH              X              3   78,243    2,076      280
NEWELL RUBBERMAID INC      COM         651229106         26     2,465  SH                    X        3               825    1,640
NEWFIELD EXPL CO           COM         651290108      2,926    89,551  SH              X              2   89,551
NEWFIELD EXPL CO           COM         651290108        887    27,161  SH              X              3   25,488             1,673
NEWMONT MINING CORP        COM         651639106        373     9,125  SH              X            1,3    8,975      150
NEWMONT MINING CORP        COM         651639106         27       650  SH                    X      1,3      650
NEWMONT MINING CORP        COM         651639106         77     1,872  SH              X              2                      1,872
NEWMONT MINING CORP        COM         651639106        371     9,086  SH                    X        3             9,086
NEWMONT MINING CORP        COM         651639106        661    16,163  SH              X              3   15,916       49      198
NICOR INC                  COM         654086107          9       248  SH                    X      1,3      248
NICOR INC                  COM         654086107         36     1,045  SH              X              2    1,045
NICOR INC                  COM         654086107        118     3,410  SH                    X        3    1,650    1,310      450
NICOR INC                  COM         654086107      3,190    92,135  SH              X              3   89,350      277    2,508
NIDEC CORP                 SPON ADR    654090109         98     6,513  SH                    X        3             2,056    4,457
NIDEC CORP                 SPON ADR    654090109        231    15,288  SH              X              3    8,258             7,030
NIKE INC                   CL B        654106103        976    18,850  SH              X            1,3   18,850
NIKE INC                   CL B        654106103         54     1,050  SH                    X      1,3      500      550
NIKE INC                   CL B        654106103        917    17,712  SH              X              2   17,712
NIKE INC                   CL B        654106103        833    16,093  SH                    X        3    1,924    8,925    5,244
NIKE INC                   CL B        654106103     10,115   195,350  SH              X              3  176,604    2,560   16,186
NIPPON TELEG & TEL CORP    SPON ADR    654624105        445    21,880  SH                    X        3            21,880
NIPPON TELEG & TEL CORP    SPON ADR    654624105        122     6,018  SH              X              3    5,848               170
NOKIA CORP                 SPON ADR    654902204         12       800  SH              X              2                        800
NOKIA CORP                 SPON ADR    654902204        661    45,354  SH                    X        3   26,100   13,662    5,592
NOKIA CORP                 SPON ADR    654902204        638    43,736  SH              X              3   34,561             9,175
NOBLE ENERGY INC           COM         655044105      4,292    72,770  SH              X              2   72,770
NOBLE ENERGY INC           COM         655044105        187     3,170  SH                    X        3               865    2,305
NOBLE ENERGY INC           COM         655044105      1,302    22,083  SH              X              3   18,653             3,430
NORDSTROM INC              COM         655664100        222    11,180  SH                    X        3    1,717    2,395    7,068
NORDSTROM INC              COM         655664100        809    40,678  SH              X              3   27,084            13,594
NORFOLK SOUTHERN CORP      COM         655844108          8       200  SH              X              2                        200
NORFOLK SOUTHERN CORP      COM         655844108      9,278   246,300  SH              X              2  102,300           144,000
NORFOLK SOUTHERN CORP      COM         655844108        464    12,315  SH              X              3   12,100      150       65
NORFOLK SOUTHERN CORP      COM         655844108        102     2,701  SH                    X        3      200    2,041      460
NORTH EURO OIL RTY TR      SH BEN INT  659310106        206     6,300  SH              X              3    6,300
NORTHERN TR CORP           COM         665859104         72     1,345  SH              X            1,3    1,345
NORTHERN TR CORP           COM         665859104         24       450  SH                    X      1,3      300      150
NORTHERN TR CORP           COM         665859104      1,621    30,193  SH              X              2   30,193
NORTHERN TR CORP           COM         665859104      1,221    22,737  SH                    X        3    7,279   14,948      510
NORTHERN TR CORP           COM         665859104      9,308   173,392  SH              X              3  167,917    4,104    1,371
NORTHROP GRUMMAN CORP      COM         666807102         55     1,200  SH              X            1,3    1,200
NORTHROP GRUMMAN CORP      COM         666807102      1,897    41,520  SH              X              2   41,520





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
NORTHROP GRUMMAN CORP      COM         666807102        849    18,594  SH              X              3   18,075      436       83
NORTHROP GRUMMAN CORP      COM         666807102        244     5,348  SH                    X        3      250    3,754    1,344
NOVELL INC                 COM         670006105         66    14,514  SH              X              3   14,514
NOVELL INC                 COM         670006105          5     1,152  SH                    X        3             1,152
NOVELLUS SYS INC           COM         670008101          8       484  SH                    X        3               484
NOVELLUS SYS INC           COM         670008101        200    11,958  SH              X              3   11,903                55
NOVO-NORDISK A S           ADR         670100205         82     1,514  SH                    X        3               585      929
NOVO-NORDISK A S           ADR         670100205        281     5,160  SH              X              3    4,028             1,132
NUCOR CORP                 COM         670346105      2,591    58,305  SH              X              2   58,305
NUCOR CORP                 COM         670346105      5,065   113,994  SH              X              3  111,348      450    2,196
NUCOR CORP                 COM         670346105        373     8,396  SH                    X        3      350    5,571    2,475
NUVASIVE INC               COM         670704105      5,994   134,400  SH              X              2  134,400
NUVASIVE INC               COM         670704105        804    18,022  SH              X              3   16,882             1,140
NUVEEN MUN VALUE FD INC    COM         670928100        553    60,346  SH              X              3   60,346
NUVEEN MUN VALUE FD INC    COM         670928100         81     8,800  SH                    X        3             8,800
OCCIDENTAL PETE CORP       COM         674599105         46       700  SH              X            1,3      700
OCCIDENTAL PETE CORP       COM         674599105      6,272    95,300  SH              X              2   48,100            47,200
OCCIDENTAL PETE CORP       COM         674599105        355     5,388  SH                    X        3             5,388
OCCIDENTAL PETE CORP       COM         674599105      4,115    62,529  SH              X              3   60,856    1,124      549
OCEANEERING INTL INC       COM         675232102        565    12,500  SH                    X        3            12,500
OCEANEERING INTL INC       COM         675232102         95     2,100  SH              X              3    1,285               815
OFFICE DEPOT INC           COM         676220106        730   160,000  SH              X              2  160,000
OFFICE DEPOT INC           COM         676220106         55    12,222  SH              X              3   12,222
OFFICE DEPOT INC           COM         676220106         11     2,400  SH                    X        3             2,400
OIL SVC HOLDRS TR          DEP RCPT    678002106        202     2,067  SH              X              3    2,067
OIL SVC HOLDRS TR          DEP RCPT    678002106         10       100  SH                    X        3               100
OLD NATL BANCORP IND       COM         680033107         72     7,378  SH              X              3    7,378
OLD NATL BANCORP IND       COM         680033107        107    10,914  SH                    X        3            10,914
OLD REP INTL CORP          COM         680223104        169    17,120  SH                    X        3            17,120
OLD REP INTL CORP          COM         680223104        253    25,653  SH              X              3   12,350            13,303
OMNICARE INC               COM         681904108      1,409    54,700  SH              X              2   54,700
OMNICARE INC               COM         681904108         14       530  SH                    X        3               530
OMNICARE INC               COM         681904108        167     6,490  SH              X              3    3,419             3,071
OMNICOM GROUP INC          COM         681919106         32     1,000  SH              X            1,3    1,000
OMNICOM GROUP INC          COM         681919106          3       100  SH                    X      1,3      100
OMNICOM GROUP INC          COM         681919106        154     4,883  SH                    X        3             4,883
OMNICOM GROUP INC          COM         681919106        306     9,700  SH              X              3    8,886       62      752
ON SEMICONDUCTOR CORP      COM         682189105      1,793   261,300  SH              X              2  261,300
ON SEMICONDUCTOR CORP      COM         682189105         29     4,271  SH              X              3    2,043             2,228
ONEOK INC NEW              COM         682680103      1,997    67,730  SH              X              2   67,730
ONEOK INC NEW              COM         682680103        264     8,939  SH              X              3    8,158               781
ONYX PHARMS INC            COM         683399109      1,543    54,588  SH              X              3   54,518       70
ONYX PHARMS INC            COM         683399109         41     1,450  SH                    X        3      100    1,350
O REILLY AUTOMOTIVE INC    COM         686091109      2,167    56,900  SH              X              2   56,900
O REILLY AUTOMOTIVE INC    COM         686091109        427    11,214  SH              X              3    1,924             9,290
OSHKOSH CORP               COM         688239201        529    36,350  SH                    X        3            36,350
OSHKOSH CORP               COM         688239201        286    19,674  SH              X              3   18,174             1,500
OVERHILL FARMS INC         COM         690212105        826   156,800  SH              X              2  156,800
OVERHILL FARMS INC         COM         690212105        185    35,082  SH              X              3   34,891               191
OWENS & MINOR INC NEW      COM         690732102         59     1,350  SH                    X        3                      1,350
OWENS & MINOR INC NEW      COM         690732102        217     4,956  SH              X              3    2,049             2,907
PICO HLDGS INC             COM NEW     693366205      2,836    98,800  SH              X              2   98,800
PICO HLDGS INC             COM NEW     693366205        683    23,802  SH              X              3   22,272             1,530
PNC FINL SVCS GROUP INC    COM         693475105      7,458   192,180  SH              X              2  110,980            81,200
PNC FINL SVCS GROUP INC    COM         693475105         80     2,073  SH                    X        3             2,073
PNC FINL SVCS GROUP INC    COM         693475105      2,197    56,608  SH              X              3   56,339       55      214
PPG INDS INC               COM         693506107      3,417    77,830  SH              X              2   77,830
PPG INDS INC               COM         693506107        243     5,524  SH                    X        3    4,660      864
PPG INDS INC               COM         693506107      2,799    63,756  SH              X              3   60,639      139    2,978
PACCAR INC                 COM         693718108        136     4,187  SH              X              2    4,187
PACCAR INC                 COM         693718108        240     7,410  SH                    X        3      130    7,280
PACCAR INC                 COM         693718108      5,097   157,157  SH              X              3  154,060      959    2,138
PACKAGING CORP AMER        COM         695156109        972    60,000  SH                    X        3            60,000
PACKAGING CORP AMER        COM         695156109         54     3,308  SH              X              3    2,704               604
PALOMAR MED TECH INC       COM NEW     697529303        947    64,300  SH              X              2   64,300
PALOMAR MED TECH INC       COM NEW     697529303        265    17,987  SH              X              3   17,001               986
PARKER HANNIFIN CORP       COM         701094104         27       625  SH                    X      1,3      625
PARKER HANNIFIN CORP       COM         701094104      4,870   113,350  SH              X              2   43,700            69,650
PARKER HANNIFIN CORP       COM         701094104      1,129    26,272  SH              X              3   26,062      210
PARKER HANNIFIN CORP       COM         701094104        124     2,896  SH                    X        3    1,132    1,459      305
PATTERSON COMPANIES INC    COM         703395103        135     6,225  SH                    X        3             6,225
PATTERSON COMPANIES INC    COM         703395103        227    10,438  SH              X              3    2,563             7,875
PAYCHEX INC                COM         704326107         15       600  SH              X            1,3      600
PAYCHEX INC                COM         704326107         69     2,742  SH                    X        3             2,742
PAYCHEX INC                COM         704326107        185     7,353  SH              X              3    7,232       50       71
PENGROWTH ENERGY TR        TR UT NEW   706902509         82    10,405  SH              X              3   10,405
PENN VA CORP               COM         707882106      1,383    84,500  SH              X              2   84,500
PENN VA CORP               COM         707882106         39     2,348  SH              X              3    2,323                25
PENNEY J C INC             COM         708160106         11       400  SH              X            1,3      400
PENNEY J C INC             COM         708160106        152     5,300  SH              X              2                      5,300
PENNEY J C INC             COM         708160106      8,059   280,700  SH              X              2  118,600           162,100
PENNEY J C INC             COM         708160106        522    18,194  SH                    X        3            18,194
PENNEY J C INC             COM         708160106        685    23,844  SH              X              3   23,529       65      250
PEOPLES UNITED FINL INC    COM         712704105        104     6,900  SH              X              2    6,900
PEOPLES UNITED FINL INC    COM         712704105        176    11,702  SH                    X        3            11,702
PEOPLES UNITED FINL INC    COM         712704105      2,428   161,105  SH              X              3  160,260      185      660
PEPBOYS MANNY MOE & JACK   COM         713278109      1,258   124,100  SH              X              2  124,100
PEPBOYS MANNY MOE & JACK   COM         713278109        302    29,791  SH              X              3   27,764             2,027
PEPCO HOLDINGS INC         COM         713291102         40     2,940  SH              X              2    2,940
PEPCO HOLDINGS INC         COM         713291102          8       601  SH                    X        3               601





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
PEPCO HOLDINGS INC         COM         713291102        751    55,912  SH              X              3   55,716       45      151
PEPSI BOTTLING GR INC      COM         713409100         14       420  SH                    X        3               420
PEPSI BOTTLING GR INC      COM         713409100        561    16,590  SH              X              3   16,560                30
PEPSICO INC                COM         713448108      1,203    21,887  SH              X            1,3   21,887
PEPSICO INC                COM         713448108        194     3,525  SH                    X      1,3    2,875      650
PEPSICO INC                COM         713448108        720    13,100  SH              X              2                     13,100
PEPSICO INC                COM         713448108     21,801   396,680  SH              X              2  174,880           221,800
PEPSICO INC                COM         713448108      5,171    94,081  SH                    X        3   25,069   63,142    5,870
PEPSICO INC                COM         713448108     17,077   310,712  SH              X              3  281,886   16,689   12,137
PEROT SYS CORP             CL A        714265105         41     2,875  SH                    X        3             2,875
PEROT SYS CORP             CL A        714265105        267    18,625  SH              X              3   15,000             3,625
PERRIGO CO                 COM         714290103        255     9,192  SH              X              3    8,536               656
PETROHAWK ENERGY CORP      COM         716495106         19       860  SH                    X        3               860
PETROHAWK ENERGY CORP      COM         716495106        214     9,614  SH              X              3    9,519                95
PETSMART INC               COM         716768106      1,610    75,000  SH              X              2   75,000
PETSMART INC               COM         716768106        126     5,890  SH                    X        3             5,890
PETSMART INC               COM         716768106        228    10,606  SH              X              3    3,313             7,293
PFIZER INC                 COM         717081103        222    14,825  SH              X            1,3   14,825
PFIZER INC                 COM         717081103         18     1,205  SH                    X      1,3    1,055      150
PFIZER INC                 COM         717081103        773    51,549  SH              X              2                     51,549
PFIZER INC                 COM         717081103     13,228   881,849  SH              X              2  597,849           284,000
PFIZER INC                 COM         717081103      2,275   151,671  SH                    X        3   26,890  115,864    8,917
PFIZER INC                 COM         717081103     20,349 1,356,611  SH              X              31,299,201   37,983   19,427
PHILIP MORRIS INTL INC     COM         718172109          9       200  SH              X            1,3      200
PHILIP MORRIS INTL INC     COM         718172109        170     3,900  SH              X              2                      3,900
PHILIP MORRIS INTL INC     COM         718172109     22,450   514,660  SH              X              2  209,460           305,200
PHILIP MORRIS INTL INC     COM         718172109      7,483   171,561  SH                    X        3   12,858  155,221    3,482
PHILIP MORRIS INTL INC     COM         718172109     23,257   533,173  SH              X              3  512,351    6,016   14,806
PITNEY BOWES INC           COM         724479100        186     8,495  SH              X              2    8,495
PITNEY BOWES INC           COM         724479100         58     2,649  SH                    X        3             2,649
PITNEY BOWES INC           COM         724479100      2,419   110,311  SH              X              3  109,255      195      861
PLAINS ALL AMER PPLN L     UT LTDPART  726503105        326     7,665  SH              X              3    7,665
PLAINS ALL AMER PPLN L     UT LTDPART  726503105         53     1,240  SH                    X        3                      1,240
PLAINS EXPL& PRODTN CO     COM         726505100      1,601    58,500  SH              X              2   58,500
PLAINS EXPL& PRODTN CO     COM         726505100        192     7,011  SH                    X        3             7,011
PLAINS EXPL& PRODTN CO     COM         726505100        256     9,366  SH              X              3    8,603               763
PLUMCREEK TIMBER CO INC    COM         729251108         33     1,100  SH              X              2    1,100
PLUMCREEK TIMBER CO INC    COM         729251108        621    20,840  SH                    X        3    1,200   19,290      350
PLUMCREEK TIMBER CO INC    COM         729251108      1,204    40,443  SH              X              3   38,158      147    2,138
POLO RALPH LAUREN          CL A        731572103        236     4,404  SH              X              3    4,404
POLO RALPH LAUREN          CL A        731572103          5        98  SH                    X        3                98
POWELL INDS INC            COM         739128106        489    13,200  SH                    X        3            13,200
PRICELINE COM INC          COM NEW     741503403         20       175  SH                    X        3                        175
PRICELINE COM INC          COM NEW     741503403        194     1,741  SH              X              3    1,215               526
PROCTER & GAMBLE CO        COM         742718109      1,643    32,145  SH              X            1,3   32,145
PROCTER & GAMBLE CO        COM         742718109        158     3,092  SH                    X      1,3    2,392      700
PROCTER & GAMBLE CO        COM         742718109      1,202    23,519  SH              X              2                     23,519
PROCTER & GAMBLE CO        COM         742718109     37,568   735,183  SH              X              2  337,083           398,100
PROCTER & GAMBLE CO        COM         742718109      7,235   141,581  SH                    X        3   22,305  112,283    6,993
PROCTER & GAMBLE CO        COM         742718109     38,103   745,656  SH              X              3  706,688   17,977   20,991
PROGRESS ENERGY INC        COM         743263105        114     3,025  SH              X              2    3,025
PROGRESS ENERGY INC        COM         743263105      4,324   114,294  SH              X              3  111,962      691    1,641
PROGRESS ENERGY INC        COM         743263105        155     4,086  SH                    X        3      100    1,831    2,155
PROGRESSIVE CORP OHIO      COM         743315103        165    10,914  SH              X              2   10,914
PROGRESSIVE CORP OHIO      COM         743315103        229    15,130  SH                    X        3      350   11,808    2,972
PROGRESSIVE CORP OHIO      COM         743315103      4,397   290,996  SH              X              3  279,071    6,486    5,439
PROLOGIS                   SH BEN INT  743410102        277    34,327  SH              X              3   34,327
PROLOGIS                   SH BEN INT  743410102          1       129  SH                    X        3               129
PROTECTIVE LIFE CORP       COM         743674103         75     6,575  SH                    X        3             6,575
PROTECTIVE LIFE CORP       COM         743674103        130    11,344  SH              X              3    4,394             6,950
PRUDENTIAL FINL INC        COM         744320102        245     6,570  SH              X            1,3    6,570
PRUDENTIAL FINL INC        COM         744320102        742    19,940  SH              X              3   19,940
PRUDENTIAL FINL INC        COM         744320102         15       392  SH                    X        3      143      249
PUBLIC SVC ENT GR          COM         744573106        869    26,630  SH              X              3   24,800             1,830
PUBLIC SVC ENT GR          COM         744573106        346    10,617  SH                    X        3             7,867    2,750
PULTE HOMES INC            COM         745867101      2,960   335,200  SH              X              2  153,000           182,200
QLOGIC CORP                COM         747277101        146    11,481  SH              X              3   11,481
QLOGIC CORP                COM         747277101          5       375  SH                    X        3               375
QUALCOMM INC               COM         747525103        283     6,250  SH              X            1,3    6,250
QUALCOMM INC               COM         747525103         20       450  SH                    X      1,3      200      250
QUALCOMM INC               COM         747525103     24,167   534,681  SH              X              2  243,681           291,000
QUALCOMM INC               COM         747525103      2,082    46,070  SH                    X        3      480   42,830    2,760
QUALCOMM INC               COM         747525103     15,007   332,009  SH              X              3  321,933    6,813    3,263
QUANTUM CORP               COM DSSG    747906204      2,968 3,575,400  SH              X              23,575,400
QUANTUM CORP               COM DSSG    747906204        714   860,754  SH              X              3  804,973            55,781
QUESTAR CORP               COM         748356102        220     7,069  SH              X              3    7,069
QUESTAR CORP               COM         748356102         50     1,600  SH                    X        3             1,600
QWEST COMM INTL IN         COM         749121109          1       285  SH                    X        3               285
QWEST COMM INTL IN         COM         749121109        178    42,778  SH              X              3   42,553               225
RPM INTL INC               COM         749685103        158    11,250  SH                    X        3            11,250
RPM INTL INC               COM         749685103         57     4,063  SH              X              3    2,106             1,957
RADIOSHACK CORP            COM         750438103          4       269  SH                    X        3               269
RADIOSHACK CORP            COM         750438103        156    11,169  SH              X              3   11,099                70
RALCORP HLDGS INC NEW      COM         751028101        938    15,400  SH              X              2   15,400
RALCORP HLDGS INC NEW      COM         751028101        141     2,310  SH              X              3    1,897               413
RAYONIER INC               COM         754907103        364    10,000  SH                    X        3            10,000
RAYONIER INC               COM         754907103         65     1,787  SH              X              3    1,302               485
RAYTHEON CO                COM NEW     755111507        104     2,350  SH              X            1,3    2,350
RAYTHEON CO                COM NEW     755111507      6,522   146,800  SH              X              2   72,600            74,200
RAYTHEON CO                COM NEW     755111507        304     6,853  SH                    X        3      429    6,424





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
RAYTHEON CO                COM NEW     755111507      2,010    45,233  SH              X              3   43,563    1,650       20
REGAL BELOIT CORP          COM         758750103        278     6,993  SH                    X        3             6,993
REGAL BELOIT CORP          COM         758750103     25,396   639,376  SH              X              3  639,201               175
REINSURANCE GR AMER INC    COM NEW     759351604      3,092    88,559  SH              X              2   88,559
REINSURANCE GR AMER INC    COM NEW     759351604        143     4,093  SH                    X        3             4,093
REINSURANCE GR AMER INC    COM NEW     759351604        782    22,401  SH              X              3   19,361             3,040
REPUBLIC AWYS HLDGS INC    COM         760276105      1,776   272,000  SH              X              2  272,000
REPUBLIC AWYS HLDGS INC    COM         760276105        420    64,245  SH              X              3   60,073             4,172
REPUBLIC SVCS INC          COM         760759100         11       450  SH              X            1,3      450
REPUBLIC SVCS INC          COM         760759100      1,615    66,144  SH              X              2   66,144
REPUBLIC SVCS INC          COM         760759100        415    17,025  SH              X              3   14,855             2,170
RESEARCH IN MOTION LTD     COM         760975102        156     2,200  SH              X            1,3    2,200
RESEARCH IN MOTION LTD     COM         760975102          7       100  SH                    X      1,3      100
RESEARCH IN MOTION LTD     COM         760975102      1,919    27,000  SH              X              2   27,000
RESEARCH IN MOTION LTD     COM         760975102        344     4,841  SH                    X        3      460    2,332    2,049
RESEARCH IN MOTION LTD     COM         760975102      2,318    32,607  SH              X              3   26,953      500    5,154
RESMED INC                 COM         761152107        413    10,147  SH              X              3    2,649             7,498
REX ENERGY CORP            COM         761565100      5,164   905,900  SH              X              2  905,900
REX ENERGY CORP            COM         761565100      1,227   215,387  SH              X              3  201,535            13,852
REYNOLDS AMERICAN INC      COM         761713106         60     1,551  SH                    X        3    1,000      551
REYNOLDS AMERICAN INC      COM         761713106      2,739    70,911  SH              X              3   69,726      263      922
RISKMETRICS GROUP INC      COM         767735103      1,466    83,000  SH              X              2   83,000
RISKMETRICS GROUP INC      COM         767735103        351    19,901  SH              X              3   18,606             1,295
RITE AID CORP              COM         767754104         17    11,025  SH              X              3   11,025
ROBERT HALF INTL INC       COM         770323103        313    13,269  SH              X              3   13,269
ROBERT HALF INTL INC       COM         770323103          9       374  SH                    X        3               374
ROCK-TENN CO               CL A        772739207        260     6,826  SH              X              3    6,109               717
ROCKWELL AUTOMATION INC    COM         773903109        190     5,900  SH              X              2                      5,900
ROCKWELL AUTOMATION INC    COM         773903109      4,574   142,400  SH              X              2   54,900            87,500
ROCKWELL AUTOMATION INC    COM         773903109        496    15,428  SH                    X        3      300    9,928    5,200
ROCKWELL AUTOMATION INC    COM         773903109      1,790    55,727  SH              X              3   17,480       10   38,237
ROCKWELL COLLINS INC       COM         774341101      1,523    36,500  SH              X              2   36,500
ROCKWELL COLLINS INC       COM         774341101         63     1,500  SH              X              2                      1,500
ROCKWELL COLLINS INC       COM         774341101        426    10,201  SH              X              3   10,201
ROCKWELL COLLINS INC       COM         774341101        137     3,291  SH                    X        3      300    2,991
ROPER INDS INC NEW         COM         776696106        399     8,795  SH              X              3    1,245             7,550
ROSS STORES INC            COM         778296103      2,138    55,400  SH              X              2   55,400
ROSS STORES INC            COM         778296103         20       508  SH                    X        3               508
ROSS STORES INC            COM         778296103        299     7,728  SH              X              3    3,686             4,042
ROWAN COS INC              COM         779382100         15       786  SH                    X        3               786
ROWAN COS INC              COM         779382100        425    22,021  SH              X              3   21,971                50
ROYAL BK CDA MONTR QUE     COM         780087102        600    14,691  SH                    X        3            12,818    1,873
ROYAL BK CDA MONTR QUE     COM         780087102        296     7,236  SH              X              3    4,267             2,969
ROYAL DUTCH SHELL PLC      SPON ADR B  780259107         53     1,034  SH              X              3    1,034
ROYAL DUTCH SHELL PLC      SPON ADR B  780259107        352     6,913  SH                    X        3       86    6,827
ROYAL DUTCH SHELL PLC      SPON ADR A  780259206         83     1,650  SH              X            1,3    1,650
ROYAL DUTCH SHELL PLC      SPON ADR A  780259206        206     4,100  SH              X              2                      4,100
ROYAL DUTCH SHELL PLC      SPON ADR A  780259206      1,003    19,985  SH                    X        3    9,840    9,595      550
ROYAL DUTCH SHELL PLC      SPON ADR A  780259206      3,602    71,758  SH              X              3   68,458    1,200    2,100
ROYAL GOLD INC             COM         780287108      1,159    27,800  SH              X              2   27,800
ROYAL GOLD INC             COM         780287108        272     6,526  SH              X              3    6,101               425
RYANAIR HLDGS PLC          SPON ADR    783513104        102     3,603  SH                    X        3             1,096    2,507
RYANAIR HLDGS PLC          SPON ADR    783513104        286    10,083  SH              X              3    6,100             3,983
SJW CORP                   COM         784305104        300    13,200  SH                    X        3            13,200
SPX CORP                   COM         784635104      4,417    90,200  SH              X              2   40,410            49,790
SAFEWAY INC                COM NEW     786514208         10       500  SH              X            1,3      500
SAFEWAY INC                COM NEW     786514208      1,962    96,330  SH              X              2   96,330
SAFEWAY INC                COM NEW     786514208         69     3,389  SH                    X        3                      3,389
SAFEWAY INC                COM NEW     786514208        646    31,702  SH              X              3   28,312             3,390
ST JOE CO                  COM         790148100        215     8,130  SH              X              3    8,130
ST JUDE MED INC            COM         790849103      2,314    56,300  SH              X              2   56,300
ST JUDE MED INC            COM         790849103        483    11,741  SH                    X        3      800    5,681    5,260
ST JUDE MED INC            COM         790849103      1,333    32,446  SH              X              3   19,961       61   12,424
ST MARY LD & EXPL CO       COM         792228108        353    16,915  SH                    X        3            16,425      490
ST MARY LD & EXPL CO       COM         792228108      2,477   118,698  SH              X              3  109,441             9,257
SAP AKTIENGESELLSCHAFT     SPON ADR    803054204         81     2,012  SH                    X        3               612    1,400
SAP AKTIENGESELLSCHAFT     SPON ADR    803054204        268     6,661  SH              X              3    3,593             3,068
SARA LEE CORP              COM         803111103         27     2,800  SH              X            1,3    2,800
SARA LEE CORP              COM         803111103         14     1,400  SH                    X      1,3    1,400
SARA LEE CORP              COM         803111103        108    11,112  SH                    X        3    2,000    9,112
SARA LEE CORP              COM         803111103        390    39,945  SH              X              3   35,015    4,700      230
SASOL LTD                  SPON ADR    803866300        202     5,800  SH                    X        3             5,800
SCANSOURCE INC             COM         806037107         99     4,025  SH                    X        3             4,025
SCANSOURCE INC             COM         806037107        167     6,809  SH              X              3    2,394             4,415
SCHEIN HENRY INC           COM         806407102         14       300  SH                    X        3               300
SCHEIN HENRY INC           COM         806407102        202     4,214  SH              X              3    2,654             1,560
SCHERING PLOUGH CORP       COM         806605101        284    11,325  SH              X            1,3   11,075      250
SCHERING PLOUGH CORP       COM         806605101         13       500  SH                    X      1,3      500
SCHERING PLOUGH CORP       COM         806605101        517    20,600  SH              X              2                     20,600
SCHERING PLOUGH CORP       COM         806605101     11,528   458,900  SH              X              2  178,800           280,100
SCHERING PLOUGH CORP       COM         806605101      1,327    52,821  SH              X              3   50,910             1,911
SCHERING PLOUGH CORP       COM         806605101        337    13,422  SH                    X        3            10,122    3,300
SCHLUMBERGER LTD           COM         806857108      1,088    20,100  SH              X            1,3   20,100
SCHLUMBERGER LTD           COM         806857108         77     1,425  SH                    X      1,3    1,150      275
SCHLUMBERGER LTD           COM         806857108     14,880   275,000  SH              X              2  115,600           159,400
SCHLUMBERGER LTD           COM         806857108      1,528    28,244  SH                    X        3   16,548   10,196    1,500
SCHLUMBERGER LTD           COM         806857108      5,439   100,521  SH              X              3   84,188    1,188   15,145
SCHWAB CHARLES CORP NEW    COM         808513105      1,032    58,850  SH              X            1,3   58,850
SCHWAB CHARLES CORP NEW    COM         808513105         73     4,150  SH                    X      1,3    2,100    2,050
SCHWAB CHARLES CORP NEW    COM         808513105      2,403   137,024  SH              X              2  137,024





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
SCHWAB CHARLES CORP NEW    COM         808513105        532    30,336  SH                    X        3    1,800   28,536
SCHWAB CHARLES CORP NEW    COM         808513105      9,837   560,838  SH              X              3  544,832   11,323    4,683
SEARS HLDGS CORP           COM         812350106         91     1,373  SH                    X        3             1,373
SEARS HLDGS CORP           COM         812350106        531     7,989  SH              X              3    7,974                15
SEMPRA ENERGY              COM         816851109      2,132    42,963  SH              X              2   42,963
SEMPRA ENERGY              COM         816851109         34       676  SH                    X        3               676
SEMPRA ENERGY              COM         816851109      1,242    25,012  SH              X              3   23,512             1,500
SHAW GROUP INC             COM         820280105      1,296    47,300  SH              X              2   47,300
SHAW GROUP INC             COM         820280105         55     1,976  SH              X              3    1,429               547
SHERWIN WILLIAMS CO        COM         824348106         16       300  SH                    X      1,3               300
SHERWIN WILLIAMS CO        COM         824348106        129     2,400  SH              X              2                      2,400
SHERWIN WILLIAMS CO        COM         824348106         12       217  SH                    X        3               217
SHERWIN WILLIAMS CO        COM         824348106        194     3,602  SH              X              3    3,582                20
SIEMENS A G                SPON ADR    826197501        556     8,032  SH                    X        3             7,049      983
SIEMENS A G                SPON ADR    826197501        263     3,802  SH              X              3    2,262             1,540
SIGMA ALDRICH CORP         COM         826552101        131     2,637  SH                    X        3             2,637
SIGMA ALDRICH CORP         COM         826552101      1,413    28,501  SH              X              3   23,371             5,130
SILVER WHEATON CORP        COM         828336107      3,531   428,500  SH              X              2  428,500
SILVER WHEATON CORP        COM         828336107        470    57,038  SH              X              3   53,426             3,612
SIMON PPTY GR INC NEW      COM         828806109         37       725  SH                    X        3      676       49
SIMON PPTY GR INC NEW      COM         828806109      1,219    23,693  SH              X              3   23,030               663
SMITH & WESSON HLDG        COM         831756101      3,092   544,300  SH              X              2  544,300
SMITH & WESSON HLDG        COM         831756101        685   120,745  SH              X              3  112,424             8,321
SMITH A O                  COM         831865209        197     6,050  SH                    X        3             6,050
SMITH A O                  COM         831865209         73     2,255  SH              X              3    2,228                27
SMITH INTL INC             COM         832110100          2        87  SH                    X        3                87
SMITH INTL INC             COM         832110100        255     9,907  SH              X              3    2,562             7,345
SMITH MICRO SOFTWR INC     COM         832154108      2,575   262,800  SH              X              2  262,800
SMITH MICRO SOFTWR INC     COM         832154108        622    63,455  SH              X              3   58,844             4,611
SMUCKER J M CO             COM NEW     832696405          0         4  SH                    X      1,3        4
SMUCKER J M CO             COM NEW     832696405        165     3,401  SH              X              3    3,401
SMUCKER J M CO             COM NEW     832696405        391     8,028  SH                    X        3             8,020        8
SNAP ON INC                COM         833034101          9       300  SH              X            1,3      300
SNAP ON INC                COM         833034101        263     9,160  SH                    X        3    7,800    1,360
SNAP ON INC                COM         833034101         84     2,925  SH              X              3    2,140               785
SOCIEDADQUIMICAMIN DE C    SPADRSERB   833635105         92     2,529  SH                    X        3               775    1,754
SOCIEDADQUIMICAMIN DE C    SPADRSERB   833635105        226     6,253  SH              X              3    4,196             2,057
SOLUTIA INC                COM NEW     834376501      1,580   274,328  SH              X              3  274,328
SONOCO PRODS CO            COM         835495102         75     3,125  SH              X            1,3    3,125
SONOCO PRODS CO            COM         835495102         16       650  SH                    X      1,3      650
SONOCO PRODS CO            COM         835495102          2       100  SH                    X        3               100
SONOCO PRODS CO            COM         835495102        153     6,381  SH              X              3    5,798               583
SOUTH FINL GROUP INC       COM         837841105         68    57,000  SH              X              3   57,000
SOUTH JERSEY INDS INC      COM         838518108         45     1,300  SH                    X        3                      1,300
SOUTH JERSEY INDS INC      COM         838518108        157     4,495  SH              X              3    1,619             2,876
SOUTHERN CO                COM         842587107         25       804  SH              X            1,3      804
SOUTHERN CO                COM         842587107         37     1,200  SH                    X      1,3    1,200
SOUTHERN CO                COM         842587107        106     3,400  SH              X              2    3,400
SOUTHERN CO                COM         842587107      6,840   219,497  SH              X              3  211,405    3,528    4,564
SOUTHERN CO                COM         842587107        443    14,202  SH                    X        3    2,202    7,230    4,770
SOUTHWEST AIRLS CO         COM         844741108        257    38,238  SH              X              3   38,238
SOUTHWEST AIRLS CO         COM         844741108          2       257  SH                    X        3               257
SOUTHWESTERN ENERGY CO     COM         845467109      1,360    35,000  SH              X              2   35,000
SOUTHWESTERN ENERGY CO     COM         845467109        126     3,237  SH                    X        3             3,237
SOUTHWESTERN ENERGY CO     COM         845467109      1,313    33,797  SH              X              3   23,800             9,997
SPECTRA ENERGY CORP        COM         847560109          5       300  SH              X            1,3      300
SPECTRA ENERGY CORP        COM         847560109        127     7,485  SH              X              2    7,485
SPECTRA ENERGY CORP        COM         847560109         99     5,857  SH                    X        3    3,102    2,355      400
SPECTRA ENERGY CORP        COM         847560109      2,305   136,227  SH              X              3  133,804      135    2,288
SPRINT NEXTEL CORP         COM SER 1   852061100        158    32,868  SH              X              3   32,678               190
STAPLES INC                COM         855030102      4,063   201,365  SH              X              2  201,365
STAPLES INC                COM         855030102         29     1,424  SH              X              2                      1,424
STAPLES INC                COM         855030102        511    25,302  SH                    X        3      300   25,002
STAPLES INC                COM         855030102      6,767   335,333  SH              X              3  322,554    3,880    8,899
STARBUCKS CORP             COM         855244109         14     1,000  SH              X            1,3    1,000
STARBUCKS CORP             COM         855244109          8       600  SH                    X      1,3      600
STARBUCKS CORP             COM         855244109        312    22,476  SH                    X        3            21,576      900
STARBUCKS CORP             COM         855244109        764    55,008  SH              X              3   45,924      153    8,931
STATE STR CORP             COM         857477103     11,485   243,321  SH              X              2  150,321            93,000
STATE STR CORP             COM         857477103        117     2,477  SH                    X        3             2,172      305
STATE STR CORP             COM         857477103      2,213    46,885  SH              X              3   44,477             2,408
STEIN MART INC             COM         858375108      1,576   177,900  SH              X              2  177,900
STEIN MART INC             COM         858375108        376    42,402  SH              X              3   39,679             2,723
STERICYCLE INC             COM         858912108        258     5,000  SH              X            1,3    4,875      125
STERICYCLE INC             COM         858912108         26       500  SH                    X      1,3      500
STERICYCLE INC             COM         858912108      2,055    39,870  SH              X              2   39,870
STERICYCLE INC             COM         858912108        374     7,250  SH                    X        3    6,750      500
STERICYCLE INC             COM         858912108      1,836    35,626  SH              X              3   28,856      500    6,270
STRAYER ED INC             COM         863236105        386     1,768  SH              X              3      216             1,552
STRYKER CORP               COM         863667101        777    19,560  SH              X            1,3   19,560
STRYKER CORP               COM         863667101         61     1,525  SH                    X      1,3      850      675
STRYKER CORP               COM         863667101      5,099   128,300  SH              X              2   49,200            79,100
STRYKER CORP               COM         863667101        739    18,590  SH                    X        3      673   14,504    3,413
STRYKER CORP               COM         863667101      7,527   189,415  SH              X              3   19,560       36  169,819
SUN MICROSYSTEMS INC       COM NEW     866810203         11     1,144  SH                    X        3       50    1,094
SUN MICROSYSTEMS INC       COM NEW     866810203        213    23,055  SH              X              3   22,255               800
SUN HEALTHCARE GR INC      COM NEW     866933401      1,044   123,700  SH              X              2  123,700
SUN HEALTHCARE GR INC      COM NEW     866933401          6       709  SH                    X        3               709
SUN HEALTHCARE GR INC      COM NEW     866933401        250    29,634  SH              X              3   27,738             1,896
SUNCOR ENERGY INC          COM         867229106        317    10,453  SH              X              3   10,453





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
SUNCOR ENERGY INC          COM         867229106        500    16,474  SH                    X        3      650   12,414    3,410
SUNTRUST BKS INC           COM         867914103        802    48,780  SH              X              3   48,780
SUNTRUST BKS INC           COM         867914103          2       138  SH                    X        3               138
SUPERVALU INC              COM         868536103      1,296   100,100  SH              X              2  100,100
SUPERVALU INC              COM         868536103        223    17,189  SH              X              3   17,154                35
SUPERVALU INC              COM         868536103         51     3,915  SH                    X        3      400    1,485    2,030
SYBASE INC                 COM         871130100      1,655    52,800  SH              X              2   52,800
SYBASE INC                 COM         871130100        111     3,536  SH              X              3    1,770             1,766
SYKES ENTERPRISES INC      COM         871237103      1,749    96,700  SH              X              2   96,700
SYKES ENTERPRISES INC      COM         871237103         10       541  SH                    X        3               541
SYKES ENTERPRISES INC      COM         871237103        447    24,692  SH              X              3   22,052             2,640
SYMANTEC CORP              COM         871503108      3,417   219,337  SH              X              2  219,337
SYMANTEC CORP              COM         871503108          9       594  SH                    X        3               594
SYMANTEC CORP              COM         871503108        826    52,978  SH              X              3   48,553      172    4,253
SYNOPSYS INC               COM         871607107      2,000   102,515  SH              X              2  102,515
SYNOPSYS INC               COM         871607107          7       350  SH                    X        3               350
SYNOPSYS INC               COM         871607107        565    28,997  SH              X              3   22,331             6,666
SYSCO CORP                 COM         871829107      1,172    52,140  SH              X              2   52,140
SYSCO CORP                 COM         871829107        807    35,884  SH                    X        3    1,860   28,854    5,170
SYSCO CORP                 COM         871829107      4,502   200,269  SH              X              3  158,421      415   41,433
TCF FINL CORP              COM         872275102        848    63,430  SH              X              2   63,430
TCF FINL CORP              COM         872275102          2       171  SH                    X        3               171
TCF FINL CORP              COM         872275102        161    12,044  SH              X              3   11,004      320      720
TDK CORP                   ADR         872351408         16       353  SH              X              3      353
TDK CORP                   ADR         872351408        268     5,758  SH                    X        3             5,758
TECO ENERGY INC            COM         872375100          6       500  SH              X            1,3      500
TECO ENERGY INC            COM         872375100          6       500  SH                    X      1,3      500
TECO ENERGY INC            COM         872375100        147    12,315  SH              X              3   12,315
TECO ENERGY INC            COM         872375100          7       600  SH                    X        3               600
TEPPCO PARTERS L P         UT LTDPART  872384102        248     8,318  SH              X              3    8,318
TJX COS INC NEW            COM         872540109      1,888    60,015  SH              X              2   60,015
TJX COS INC NEW            COM         872540109         60     1,923  SH                    X        3             1,923
TJX COS INC NEW            COM         872540109        340    10,786  SH              X              3   10,650               136
TAIWAN SEMICOND MFG LTD    SPON ADR    874039100        333    35,340  SH              X              3   22,714            12,626
TAIWAN SEMICOND MFG LTD    SPON ADR    874039100        191    20,295  SH                    X        3             7,559   12,736
TASEKO MINES LTD           COM         876511106      4,930 2,882,800  SH              X              22,882,800
TASEKO MINES LTD           COM         876511106      1,182   691,295  SH              X              3  646,936            44,359
TECHNE CORP                COM         878377100        319     5,000  SH                    X        3             5,000
TECHNE CORP                COM         878377100         39       616  SH              X              3      601                15
TEKELEC                    COM         879101103        386    22,920  SH              X              3   21,510             1,410
TELECOM CORP NEWZEALLTD    SPON ADR    879278208          3       355  SH                    X        3      355
TELECOM CORP NEWZEALLTD    SPON ADR    879278208         89    10,161  SH              X              3   10,161
TELEFONICA S A             SPON ADR    879382208        154     2,275  SH                    X        3             1,035    1,240
TELEFONICA S A             SPON ADR    879382208        397     5,845  SH              X              3    4,425             1,420
TELEPHONE&DATASYS INC      COM         879433100        172     6,084  SH                    X        3             6,084
TELEPHONE&DATASYS INC      COM         879433100         95     3,346  SH              X              3    2,029             1,317
TELLABS INC                COM         879664100          3       500  SH              X            1,3      500
TELLABS INC                COM         879664100         24     4,132  SH                    X        3             4,132
TELLABS INC                COM         879664100        113    19,757  SH              X              3   19,572               185
TEMPLE INLAND INC          COM         879868107         37     2,850  SH                    X        3                      2,850
TEMPLE INLAND INC          COM         879868107        198    15,087  SH              X              3    7,772             7,315
TERADYNE INC               COM         880770102      4,391   640,100  SH              X              2  267,200           372,900
TERADYNE INC               COM         880770102         74    10,810  SH              X              3   10,810
TERADYNE INC               COM         880770102          9     1,310  SH                    X        3             1,310
TERRA NITROGEN CO L P      COM UT      881005201        280     2,775  SH              X              3    2,775
TESORO CORP                COM         881609101         23     1,790  SH                    X        3             1,790
TESORO CORP                COM         881609101        394    30,976  SH              X              3   25,561             5,415
TEVA PHARM INDS LTD        ADR         881624209      2,289    46,400  SH              X              2   46,400
TEVA PHARM INDS LTD        ADR         881624209      2,845    57,650  SH              X              3   54,690             2,960
TEVA PHARM INDS LTD        ADR         881624209      1,010    20,467  SH                    X        3   13,060    3,098    4,309
TEXAS INSTRS INC           COM         882508104      7,753   364,000  SH              X              2  140,400           223,600
TEXAS INSTRS INC           COM         882508104        954    44,790  SH              X              3   44,191      158      441
TEXAS INSTRS INC           COM         882508104        795    37,323  SH                    X        3       95   35,668    1,560
TEXTRON INC                COM         883203101          7       750  SH              X            1,3      750
TEXTRON INC                COM         883203101          4       450  SH                    X      1,3      450
TEXTRON INC                COM         883203101         96     9,903  SH              X              3    9,553               350
TEXTRON INC                COM         883203101         32     3,362  SH                    X        3             2,462      900
THERMO FISHER SCI INC      COM         883556102      3,931    96,429  SH              X              2   96,429
THERMO FISHER SCI INC      COM         883556102        576    14,137  SH                    X        3    1,721    3,056    9,360
THERMO FISHER SCI INC      COM         883556102      2,931    71,884  SH              X              3   50,770       57   21,057
THOMAS & BETTS CORP        COM         884315102         23       800  SH                    X        3               600      200
THOMAS & BETTS CORP        COM         884315102        220     7,629  SH              X              3    4,957             2,672
THORATEC CORP              COM NEW     885175307      1,508    56,300  SH              X              2   56,300
THORATEC CORP              COM NEW     885175307        451    16,849  SH              X              3   14,211             2,638
TIDEWATER INC              COM         886423102      1,846    43,062  SH              X              2   43,062
TIDEWATER INC              COM         886423102         15       340  SH                    X        3                        340
TIDEWATER INC              COM         886423102        549    12,809  SH              X              3   10,712             2,097
TIME WARNER INC            COM         887317105         13       533  SH              X              2                        533
TIME WARNER INC            COM NEW     887317303      8,703   345,525  SH              X              2  134,542           210,983
TIME WARNER INC            COM NEW     887317303        354    14,053  SH                    X        3      100    7,686    6,267
TIME WARNER INC            COM NEW     887317303      4,581   181,839  SH              X              3  143,496      264   38,079
TITANIUM METALS CORP       COM NEW     888339207          3       301  SH                    X        3               301
TITANIUM METALS CORP       COM NEW     888339207        230    25,054  SH              X              3   24,944               110
TOLL BROTHERS INC          COM         889478103      2,409   141,910  SH              X              2  141,910
TOLL BROTHERS INC          COM         889478103        619    36,484  SH              X              3   29,647             6,837
TOMKINS PLC                SPON ADR    890030208          1       141  SH              X              3      141
TOMKINS PLC                SPON ADR    890030208        102    10,507  SH                    X        3            10,507
TOMOTHERAPY INC            COM         890088107      2,446   889,567  SH              X              3  889,567
TORCHMARK CORP             COM         891027104        341     9,218  SH              X              3    9,218
TORCHMARK CORP             COM         891027104         10       277  SH                    X        3               277





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
TORONTO DOMINION BK ONT    COM NEW     891160509        126     2,430  SH                    X        3               737    1,693
TORONTO DOMINION BK ONT    COM NEW     891160509        304     5,871  SH              X              3    3,212             2,659
TOTAL SYS SVCS INC         COM         891906109         34     2,529  SH              X              3    2,529
TOTAL SYS SVCS INC         COM         891906109        138    10,301  SH                    X        3            10,301
TOYOTA MOTOR CORP          SP ADR REP2 892331307      1,090    14,425  SH              X              3   14,125               300
TOYOTA MOTOR CORP          SP ADR REP2 892331307         46       613  SH                    X        3               258      355
TRACTOR SUPPLY CO          COM         892356106        319     7,712  SH              X              3      654             7,058
TRANSATLANTIC HLDGS INC    COM         893521104         46     1,062  SH              X              3    1,062
TRANSATLANTIC HLDGS INC    COM         893521104        176     4,072  SH                    X        3             4,072
TRIMBLE NAVIGATION LTD     COM         896239100         13       660  SH                    X        3                        660
TRIMBLE NAVIGATION LTD     COM         896239100        238    12,140  SH              X              3    1,725            10,415
TUPPERWARE BRANDS CORP     COM         899896104        492    18,922  SH                    X        3            17,462    1,460
TUPPERWARE BRANDS CORP     COM         899896104        346    13,314  SH              X              3    9,385             3,929
TWIN DISC INC              COM         901476101         81    11,932  SH                    X        3    3,360    8,572
TYSON FOODS INC            CL A        902494103      5,022   398,260  SH              X              2  398,260
TYSON FOODS INC            CL A        902494103        969    76,810  SH              X              3   66,830             9,980
UGI CORP NEW               COM         902681105        311    12,196  SH              X              3   10,690             1,506
US BANCORP DEL             COM NEW     902973304         29     1,625  SH              X            1,3    1,625
US BANCORP DEL             COM NEW     902973304     10,146   566,176  SH              X              2  348,376           217,800
US BANCORP DEL             COM NEW     902973304      1,245    69,456  SH                    X        3   15,363   53,013    1,080
US BANCORP DEL             COM NEW     902973304     13,611   759,522  SH              X              3  736,891   12,240   10,391
URS CORP NEW               COM         903236107         15       293  SH                    X        3               293
URS CORP NEW               COM         903236107        294     5,941  SH              X              3    3,057             2,884
UNILEVER PLC               SP ADR NEW  904767704         59     2,520  SH                    X        3             1,105    1,415
UNILEVER PLC               SP ADR NEW  904767704        180     7,680  SH              X              3    2,780             4,900
UNILEVER N V               N Y SHS NEW 904784709         19       775  SH                    X        3               775
UNILEVER N V               N Y SHS NEW 904784709        408    16,875  SH              X              3   16,785                90
UNION PAC CORP             COM         907818108         10       200  SH              X            1,3      200
UNION PAC CORP             COM         907818108      1,614    31,000  SH              X              2                     31,000
UNION PAC CORP             COM         907818108        934    17,932  SH                    X        3    1,625   15,807      500
UNION PAC CORP             COM         907818108      3,710    71,271  SH              X              3   65,809    3,632    1,830
UPS INC                    CL B        911312106         10       200  SH              X            1,3      200
UPS INC                    CL B        911312106        806    16,114  SH              X              2   16,114
UPS INC                    CL B        911312106          5       100  SH              X              2                        100
UPS INC                    CL B        911312106        879    17,586  SH                    X        3      180   15,256    2,150
UPS INC                    CL B        911312106     11,571   231,464  SH              X              3  210,752    2,843   17,869
UTED STATES NATL GAS FD    UT          912318102        570    41,100  SH              X              3   41,100
UTED STATES STL CORP       COM         912909108      2,748    76,900  SH              X              2   29,560            47,340
UTED STATES STL CORP       COM         912909108        691    19,334  SH              X              3   19,334
UTED STATES STL CORP       COM         912909108         60     1,673  SH                    X        3             1,673
UNITED TECH CORP           COM         913017109      1,502    28,915  SH              X            1,3   28,915
UNITED TECH CORP           COM         913017109        145     2,800  SH                    X      1,3    1,925      875
UNITED TECH CORP           COM         913017109        109     2,100  SH              X              2                      2,100
UNITED TECH CORP           COM         913017109     13,321   256,365  SH              X              2  108,765           147,600
UNITED TECH CORP           COM         913017109      2,944    56,661  SH                    X        3   18,602   29,617    8,442
UNITED TECH CORP           COM         913017109      6,546   125,980  SH              X              3  113,688    1,611   10,681
UNIVERSAL HLTH SVCS INC    CL B        913903100        806    16,500  SH              X              2   16,500
UNIVERSAL HLTH SVCS INC    CL B        913903100          9       190  SH                    X        3               190
UNIVERSAL HLTH SVCS INC    CL B        913903100        277     5,669  SH              X              3    5,213               456
URBAN OUTFITTERS INC       COM         917047102        201     9,635  SH              X              3    8,876               759
V F CORP                   COM         918204108         71     1,277  SH                    X        3             1,277
V F CORP                   COM         918204108      1,394    25,185  SH              X              3   25,105       20       60
VALSPAR CORP               COM         920355104         74     3,300  SH                    X        3             3,300
VALSPAR CORP               COM         920355104        202     8,988  SH              X              3    2,222             6,766
VANGUARD BD IND FD INC     INTRMDTRM   921937819     12,881   166,699  SH              X              3  166,699
VANGUARD BD IND FD INC     INTRMDTRM   921937819        643     8,320  SH                    X        3             8,320
VANGUARD BD IND FD INC     SH TRM BD   921937827      8,125   102,760  SH              X              3  102,760
VANGUARD BD IND FD INC     SH TRM BD   921937827        446     5,640  SH                    X        3             5,640
VANGUARD WHITEHALL FDS     HIGHDIVYLD  921946406        202     6,399  SH              X              3    6,399
VANGUARD WHITEHALL FDS     HIGHDIVYLD  921946406         50     1,578  SH                    X        3             1,578
VANGUARD INTLEQIND FD      ALLWRLDEXUS 922042775        244     6,800  SH              X              3    6,800
VANGUARD INTL EQ IND F     EMR MKT ETF 922042858      2,475    77,792  SH              X              3   77,792
VANGUARD INTL EQ IND F     EMR MKT ETF 922042858        285     8,950  SH                    X        3             8,950
VANGUARD INTL EQ IND F     EURPEAN ETF 922042874         44     1,090  SH                    X        3      765      325
VANGUARD INTL EQ IND F     EURPEAN ETF 922042874      1,457    36,166  SH              X              3   34,966    1,200
VANGUARD IND FDS           MCVLIDXVIP  922908512        528    15,500  SH              X              3   15,500
VANGUARD IND FDS           MCGRIDXVIP  922908538        385    10,000  SH              X              3   10,000
VANGUARD IND FDS           SC VAL ETF  922908611      3,675    85,245  SH              X              3   84,835               410
VANGUARD IND FDS           MC ETF      922908629        871    18,610  SH              X              3   18,610
VANGUARD IND FDS           MC ETF      922908629        187     4,000  SH                    X        3             4,000
VANGUARD IND FDS           EXTMKTETF   922908652        221     6,400  SH              X              3    6,400
VANGUARD IND FDS           EXTMKTETF   922908652        138     4,000  SH                    X        3             4,000
VANGUARD IND FDS           GR ETF      922908736      3,541    81,670  SH              X              3   81,670
VANGUARD IND FDS           GR ETF      922908736        326     7,510  SH                    X        3             7,510
VANGUARD IND FDS           VALUE ETF   922908744        382     9,652  SH              X              3    9,652
VANGUARD IND FDS           VALUE ETF   922908744        475    12,014  SH                    X        3            12,014
VANGUARD IND FDS           STKMRKETF   922908769      5,918   127,906  SH              X              3  127,906
VANGUARD IND FDS           STKMRKETF   922908769        713    15,406  SH                    X        3    8,500    6,906
VIROPHARMA INC             COM         928241108        316    53,205  SH              X              3   53,205
VORNADO RLTY TR            SH BEN INT  929042109         25       555  SH              X              3      555
VORNADO RLTY TR            SH BEN INT  929042109        312     6,925  SH                    X        3             6,925
VULCAN MATLS CO            COM         929160109         54     1,250  SH              X            1,3    1,250
VULCAN MATLS CO            COM         929160109      1,288    29,891  SH              X              3   29,891
VULCAN MATLS CO            COM         929160109         10       221  SH                    X        3               221
WMS INDS INC               COM         929297109      1,604    50,900  SH              X              2   50,900
WMS INDS INC               COM         929297109         22       701  SH                    X        3               376      325
WMS INDS INC               COM         929297109         89     2,823  SH              X              3    1,836               987
WACOAL HOLDINGS CORP       ADR         930004205         13       216  SH              X              3      216
WACOAL HOLDINGS CORP       ADR         930004205        246     3,954  SH                    X        3             3,954
WAL MART STORES INC        COM         931142103      1,394    28,770  SH              X            1,3   28,570      200





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
WAL MART STORES INC        COM         931142103         63     1,300  SH                    X      1,3    1,000      300
WAL MART STORES INC        COM         931142103        516    10,650  SH              X              2                     10,650
WAL MART STORES INC        COM         931142103     36,359   750,585  SH              X              2  317,485           433,100
WAL MART STORES INC        COM         931142103      3,224    66,547  SH                    X        3    4,745   56,115    5,687
WAL MART STORES INC        COM         931142103     23,338   481,792  SH              X              3  443,997   16,733   21,062
WALGREEN CO                COM         931422109        271     9,215  SH              X            1,3    9,015      200
WALGREEN CO                COM         931422109        216     7,350  SH                    X      1,3    7,250      100
WALGREEN CO                COM         931422109        295    10,050  SH              X              2   10,050
WALGREEN CO                COM         931422109      1,408    47,907  SH              X              2                     47,907
WALGREEN CO                COM         931422109      3,000   102,046  SH                    X        3   26,165   75,881
WALGREEN CO                COM         931422109      7,411   252,086  SH              X              3  237,956   11,096    3,034
WATERS CORP                COM         941848103        220     4,278  SH                    X        3      462    1,017    2,799
WATERS CORP                COM         941848103      1,156    22,460  SH              X              3   15,816             6,644
WATSCO INC                 COM         942622200         80     1,625  SH                    X        3             1,625
WATSCO INC                 COM         942622200        147     3,003  SH              X              3      503             2,500
WATSON PHARMS INC          COM         942683103         85     2,524  SH                    X        3             2,524
WATSON PHARMS INC          COM         942683103        383    11,359  SH              X              3   11,324                35
WAUSAU PAPER CORP          COM         943315101        870   129,507  SH                    X        3   27,387  102,020      100
WAUSAU PAPER CORP          COM         943315101        694   103,286  SH              X              3  102,531               755
WELLS FARGO & CO NEW       COM         949746101        243    10,025  SH              X            1,3   10,025
WELLS FARGO & CO NEW       COM         949746101         29     1,200  SH                    X      1,3      900      300
WELLS FARGO & CO NEW       COM         949746101          2        99  SH              X              2                         99
WELLS FARGO & CO NEW       COM         949746101     18,786   774,363  SH              X              2  409,063           365,300
WELLS FARGO & CO NEW       COM         949746101      2,555   105,322  SH                    X        3   36,949   65,003    3,370
WELLS FARGO & CO NEW       COM         949746101     16,132   664,964  SH              X              3  641,484    5,824   17,656
WENDYS ARBYS GROUP INC     COM         950587105         43    10,710  SH              X              3   10,490               220
WESTERN DIGITAL CORP       COM         958102105     10,115   381,700  SH              X              2  180,900           200,800
WESTERN DIGITAL CORP       COM         958102105          9       337  SH                    X        3               337
WESTERN DIGITAL CORP       COM         958102105        277    10,474  SH              X              3    7,335             3,139
WESTERN UN CO              COM         959802109         19     1,152  SH                    X        3             1,152
WESTERN UN CO              COM         959802109        307    18,697  SH              X              3   17,974               723
WEYCO GROUP INC            COM         962149100        239    10,332  SH                    X        3            10,332
WEYERHAEUSER CO            COM         962166104      2,918    95,876  SH              X              2   39,176            56,700
WEYERHAEUSER CO            COM         962166104        256     8,413  SH                    X        3    2,560    5,853
WEYERHAEUSER CO            COM         962166104      4,445   146,069  SH              X              3  134,231    9,204    2,634
WHIRLPOOL CORP             COM         963320106      4,352   102,266  SH              X              2  102,266
WHIRLPOOL CORP             COM         963320106          1        18  SH                    X        3                18
WHIRLPOOL CORP             COM         963320106      1,044    24,521  SH              X              3   20,331             4,190
WILLIAMS COS INC DEL       COM         969457100      1,992   127,591  SH              X              2  127,591
WILLIAMS COS INC DEL       COM         969457100         80     5,137  SH                    X        3             5,137
WILLIAMS COS INC DEL       COM         969457100      1,046    67,053  SH              X              3   66,778      134      141
WILLIAMS SONOMA INC        COM         969904101      1,306   110,000  SH              X              2  110,000
WILLIAMS SONOMA INC        COM         969904101         64     5,401  SH              X              3    3,486             1,915
WINN DIXIE STORES INC      COM NEW     974280307        123     9,800  SH                    X        3             6,300    3,500
WINN DIXIE STORES INC      COM NEW     974280307        110     8,810  SH              X              3      935             7,875
WISCONSIN ENERGY CORP      COM         976657106      3,974    97,619  SH              X              3   93,234    3,600      785
WISCONSIN ENERGY CORP      COM         976657106      1,191    29,261  SH                    X        3    3,148   24,771    1,342
WOODWARD GOVERNOR CO       COM         980745103         10       480  SH                    X        3      233      247
WOODWARD GOVERNOR CO       COM         980745103        498    25,162  SH              X              3   25,112                50
WYETH                      COM         983024100        336     7,400  SH              X            1,3    7,400
WYETH                      COM         983024100         45     1,000  SH                    X      1,3      750      250
WYETH                      COM         983024100        113     2,500  SH              X              2    2,500
WYETH                      COM         983024100      7,209   158,823  SH              X              3  154,098    3,780      945
WYETH                      COM         983024100      2,409    53,079  SH                    X        3   11,939   39,156    1,984
XATA CORP                  COM NEW     983882309      1,032   275,223  SH              X              3  275,223
XILIND INC                 COM         983919101          5       242  SH                    X        3               242
XILIND INC                 COM         983919101        196     9,601  SH              X              3    9,243               358
XEROX CORP                 COM         984121103      2,353   363,180  SH              X              2  363,180
XEROX CORP                 COM         984121103         86    13,200  SH              X              2                     13,200
XEROX CORP                 COM         984121103         50     7,689  SH                    X        3             1,151    6,538
XEROX CORP                 COM         984121103        767   118,375  SH              X              3  105,905            12,470
YAHOO INC                  COM         984332106        146     9,300  SH              X              2                      9,300
YAHOO INC                  COM         984332106      3,168   202,300  SH              X              2   78,100           124,200
YAHOO INC                  COM         984332106        137     8,744  SH                    X        3             8,744
YAHOO INC                  COM         984332106        574    36,628  SH              X              3   35,657      222      749
YUM BRANDS INC             COM         988498101        179     5,360  SH              X              2                      5,360
YUM BRANDS INC             COM         988498101      6,070   182,072  SH              X              2  121,572            60,500
YUM BRANDS INC             COM         988498101        230     6,909  SH                    X        3    2,100    2,804    2,005
YUM BRANDS INC             COM         988498101      2,410    72,267  SH              X              3   67,465      528    4,274
ZEBRA TECH CORP            CL A        989207105         67     2,835  SH                    X        3             2,835
ZEBRA TECH CORP            CL A        989207105        209     8,851  SH              X              3    6,118             2,733
ZWEIG FD                   COM         989834106        161    56,735  SH              X              3   56,735
ALLIANCEBERNSTEIN INCFD    COM         01881E101          9     1,200  SH                    X        3    1,200
ALLIANCEBERNSTEIN INCFD    COM         01881E101        222    28,802  SH              X              3   28,802
QUANTA SVCS INC            COM         74762E102         19       842  SH                    X        3               842
QUANTA SVCS INC            COM         74762E102      1,542    66,674  SH              X              3   64,074             2,600
AMERISOURCEBERGEN CORP     COM         03073E105         75     4,240  SH              X              2    4,240
AMERISOURCEBERGEN CORP     COM         03073E105         27     1,500  SH                    X        3             1,500
AMERISOURCEBERGEN CORP     COM         03073E105      7,616   429,299  SH              X              3  422,113             7,186
NEWS CORP                  CL A        65248E104        621    68,151  SH              X              3   68,021               130
NEWS CORP                  CL A        65248E104         70     7,734  SH                    X        3             4,034    3,700
SALLY BEAUTY HLDGS INC     COM         79546e104         95    15,000  SH              X              2                     15,000
EMBARQ CORP                COM         29078E105         69     1,646  SH              X              2    1,646
EMBARQ CORP                COM         29078E105         35       834  SH                    X        3               834
EMBARQ CORP                COM         29078E105      6,570   156,216  SH              X              3  153,214      219    2,783
UNIVERSAL HLTH RLTY INC    SH BEN INT  91359E105         54     1,700  SH              X              2                      1,700
TARGET CORP                COM         87612E106        962    24,365  SH              X            1,3   24,365
TARGET CORP                COM         87612E106         82     2,075  SH                    X      1,3    1,450      625
TARGET CORP                COM         87612E106         36       900  SH              X              2                        900
TARGET CORP                COM         87612E106     12,508   316,900  SH              X              2  133,600           183,300





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
TARGET CORP                COM         87612E106      5,511   139,635  SH              X              3  135,479      717    3,439
TARGET CORP                COM         87612E106      1,620    41,055  SH                    X        3   28,070    9,485    3,500
EDWARDS LIFESCI CORP       COM         28176E108         30       448  SH              X              2                        448
EDWARDS LIFESCI CORP       COM         28176E108      5,055    74,300  SH              X              2   26,800            47,500
EDWARDS LIFESCI CORP       COM         28176E108         48       701  SH                    X        3               701
EDWARDS LIFESCI CORP       COM         28176E108      2,555    37,564  SH              X              3   36,654               910
DR PEPPER SNAPPLE GR       COM         26138E109         37     1,728  SH              X              2    1,728
DR PEPPER SNAPPLE GR       COM         26138E109          2        88  SH                    X        3                88
DR PEPPER SNAPPLE GR       COM         26138E109      1,880    88,710  SH              X              3   86,325             2,385
IMAX CORP                  COM         45245E109      9,627 1,185,541  SH              X              31,170,202            15,339
TOTAL S A                  SPON ADR    89151E109        142     2,622  SH                    X        3             1,439    1,183
TOTAL S A                  SPON ADR    89151E109        214     3,952  SH              X              3    2,102             1,850
TRAVELERS COMPANIES INC    COM         89417E109          1        14  SH                    X      1,3       14
TRAVELERS COMPANIES INC    COM         89417E109      2,930    71,401  SH              X              3   71,237               164
TRAVELERS COMPANIES INC    COM         89417E109        360     8,783  SH                    X        3             6,100    2,683
ACCO BRANDS CORP           COM         00081T108         43    15,107  SH              X              3   15,107
AFC ENTERPRISES INC        COM         00104Q107         80    11,850  SH              X              3   11,850
AES CORP                   COM         00130H105         31     2,656  SH                    X        3    1,543    1,113
AES CORP                   COM         00130H105        426    36,665  SH              X              3   35,563      251      851
AMAG PHARMA INC            COM         00163U106      1,498    27,400  SH              X              2   27,400
AMAG PHARMA INC            COM         00163U106         12       214  SH              X              3      214
AT&T INC                   COM         00206R102      1,486    59,819  SH              X            1,3   59,569      250
AT&T INC                   COM         00206R102        165     6,650  SH                    X      1,3    5,173    1,477
AT&T INC                   COM         00206r102        139     5,593  SH              X              2                      5,593
AT&T INC                   COM         00206R102     31,746 1,278,051  SH              X              2  753,905           524,146
AT&T INC                   COM         00206R102      4,638   186,706  SH                    X        3   35,613  145,883    5,210
AT&T INC                   COM         00206R102     28,120 1,132,065  SH              X              31,104,834   17,193   10,038
ATMI INC                   COM         00207R101         54     3,475  SH                    X        3             3,475
ATMI INC                   COM         00207R101        171    10,995  SH              X              3    6,495             4,500
ABOVENET INC               COM         00374N107      2,097    25,900  SH              X              2   25,900
ABOVENET INC               COM         00374N107        499     6,160  SH              X              3    5,763               397
ACTIVISION BLIZZARD        COM         00507V109      1,745   138,200  SH              X              2  138,200
ACTIVISION BLIZZARD        COM         00507V109         70     5,502  SH              X              3    5,502
ADOBE SYS INC              COM         00724F101          4       153  SH                    X        3               153
ADOBE SYS INC              COM         00724F101        692    24,439  SH              X              3   15,409       73    8,957
ADTRAN INC                 COM         00738A106         59     2,770  SH                    X        3                      2,770
ADTRAN INC                 COM         00738A106        328    15,266  SH              X              3    9,940             5,326
ADVANCE AUTO PARTS INC     COM         00751Y106         20       481  SH                    X        3               481
ADVANCE AUTO PARTS INC     COM         00751Y106        270     6,513  SH              X              3    2,948             3,565
ADVANCED SEMICOND ENGR     SPON ADR    00756M404        113    38,000  SH              X              3   38,000
ADVANTAGE ENERGY INCFD     TR UNIT     00762L101        202    48,020  SH              X              3   48,020
AECOM TECH CORP DEL        COM         00766T100      2,554    79,800  SH              X              2   79,800
AECOM TECH CORP DEL        COM         00766T100         13       397  SH                    X        3               397
AECOM TECH CORP DEL        COM         00766T100        890    27,821  SH              X              3   24,649             3,172
AETNA INC NEW              COM         00817Y108        692    27,619  SH              X              3   25,368       61    2,190
AETNA INC NEW              COM         00817Y108        324    12,949  SH                    X        3             9,799    3,150
AFFYMETRIX INC             COM         00826T108         98    16,577  SH              X              3   16,577
AGILENT TECH INC           COM         00846U101      5,050   248,665  SH              X              2  102,107           146,558
AKAMAI TECH INC            COM         00971T101        959    50,000  SH              X              2   50,000
AKAMAI TECH INC            COM         00971T101          8       400  SH                    X        3               400
AKAMAI TECH INC            COM         00971T101         77     4,039  SH              X              3    2,884             1,155
ALLEGHENY TECH INC         COM         01741R102        167     4,769  SH                    X        3             4,769
ALLEGHENY TECH INC         COM         01741R102        350    10,006  SH              X              3    9,876               130
ALLIANCEBERNST HLDG LP     UT LTDPART  01881G106         94     4,700  SH              X              3    4,700
ALLIANCEBERNST HLDG LP     UT LTDPART  01881G106        137     6,800  SH                    X        3             6,800
ALLSCRIPT HLTHCR SOL       COM         01988P108        254    16,005  SH              X              3   15,000             1,005
ALTRIA GROUP INC           COM         02209S103          8       500  SH              X            1,3      500
ALTRIA GROUP INC           COM         02209S103      3,008   183,530  SH              X              2  183,530
ALTRIA GROUP INC           COM         02209S103         64     3,900  SH              X              2                      3,900
ALTRIA GROUP INC           COM         02209S103      2,437   148,711  SH                    X        3   15,215  132,596      900
ALTRIA GROUP INC           COM         02209S103     10,483   639,618  SH              X              3  621,806    7,662   10,150
AMERICAN CAP AGY CORP      COM         02503X105      1,075    46,800  SH              X              2   46,800
AMERICAN CAP AGY CORP      COM         02503X105        265    11,524  SH              X              3   10,665               859
AMERIPRISE FINL INC        COM         03076C106          5       218  SH              X            1,3      218
AMERIPRISE FINL INC        COM         03076C106         70     2,881  SH              X              2                      2,881
AMERIPRISE FINL INC        COM         03076C106     12,941   533,209  SH              X              2  368,309           164,900
AMERIPRISE FINL INC        COM         03076C106        237     9,749  SH                    X        3      125    7,824    1,800
AMERIPRISE FINL INC        COM         03076C106      5,143   211,896  SH              X              3  199,908    1,704   10,284
ANSYS INC                  COM         03662Q105         15       475  SH                    X        3                        475
ANSYS INC                  COM         03662Q105        347    11,126  SH              X              3    1,570             9,556
APARTMENT INVT&MGMTCO      CL A        03748R101         87     9,818  SH              X              3    9,818
APARTMENT INVT&MGMTCO      CL A        03748R101          4       398  SH                    X        3               398
ARIBA INC                  COM NEW     04033V203      1,900   193,100  SH              X              2  193,100
ARIBA INC                  COM NEW     04033V203        471    47,887  SH              X              3   43,205             4,682
ART TECHNOLOGY GR INC      COM         04289L107      3,022   795,200  SH              X              2  795,200
ART TECHNOLOGY GR INC      COM         04289L107        722   190,087  SH              X              3  177,814            12,273
ASIAINFO HLDGS INC         COM         04518A104      1,318    76,600  SH              X              2   76,600
ASIAINFO HLDGS INC         COM         04518A104        313    18,186  SH              X              3   16,991             1,195
ASSURANT INC               COM         04621X108          5       220  SH                    X        3               220
ASSURANT INC               COM         04621X108        312    12,943  SH              X              3   12,343               600
AUTONATION INC             COM         05329W102         12       688  SH                    X        3               688
AUTONATION INC             COM         05329W102        444    25,567  SH              X              3   25,507                60
AVISTA CORP                COM         05379B107        208    11,658  SH              X              3   11,348               310
BANCO BILBAOVIZCAYA ARG    SPON ADR    05946K101        115     9,121  SH                    X        3             2,775    6,346
BANCO BILBAOVIZCAYA ARG    SPON ADR    05946K101        268    21,346  SH              X              3   11,510             9,836
BARCLAYS BK PLC            DJAIG CMDTY 06738C778      2,742    73,825  SH              X              3   73,825
BARCLAYS BK PLC            DJAIG CMDTY 06738C778        221     5,940  SH                    X        3    2,850    3,090
BARCLAYS BK PLC            IPSPCROIL   06738C786      1,252    50,000  SH              X              3   50,000
BIO REFERENCE LABS INC     COM$.01NEW  09057G602      1,824    57,700  SH              X              2   57,700
BIO REFERENCE LABS INC     COM$.01NEW  09057G602        477    15,091  SH              X              3   14,207               884





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
BIOGEN IDEC INC            COM         09062X103         47     1,046  SH                    X        3             1,046
BIOGEN IDEC INC            COM         09062X103        241     5,330  SH              X              3    5,310                20
BIOTECH HOLDRS TR          DEP RCPTS   09067D201          9       100  SH              X              2                        100
BLACKROCK INC              COM         09247X101        158       898  SH              X              3      898
BLACKROCK INC              COM         09247X101        542     3,090  SH                    X        3    2,945               145
BLACKROCK WORLD INVT TR    COMSHBNINT  09250K103        143    14,544  SH              X              3   14,544
BLACKROCK MUNIVST FD       COM         09253R105        139    17,400  SH              X            1,3   17,400
BURLING NRTHN SANTA FE     COM         12189T104      7,758   105,500  SH              X              2   49,500            56,000
BURLING NRTHN SANTA FE     COM         12189T104      1,361    18,512  SH              X              3   16,799       41    1,672
BURLING NRTHN SANTA FE     COM         12189T104        949    12,907  SH                    X        3      750    8,607    3,550
C H ROBINSON WRLDWD INC    COM NEW     12541W209        513     9,843  SH                    X        3    1,135    2,391    6,317
C H ROBINSON WRLDWD INC    COM NEW     12541W209      2,286    43,829  SH              X              3   21,700            22,129
CME GROUP INC              COM         12572Q105      4,671    15,015  SH              X              2    9,115             5,900
CME GROUP INC              COM         12572Q105      2,159     6,939  SH              X              3    6,934                 5
CME GROUP INC              COM         12572Q105        447     1,438  SH                    X        3             1,339       99
CA INC                     COM         12673P105      1,207    69,270  SH              X              2   69,270
CA INC                     COM         12673P105         34     1,966  SH                    X        3             1,966
CA INC                     COM         12673P105        182    10,430  SH              X              3    7,772             2,658
CAMECO CORP                COM         13321L108         12       462  SH              X              3      462
CAMECO CORP                COM         13321L108        434    16,972  SH                    X        3            16,972
CAMERON INTERNATL CORP     COM         13342B105        212     7,504  SH              X              3    7,474                30
CAMERON INTERNATL CORP     COM         13342B105         43     1,502  SH                    X        3               777      725
CAPITAL ONE FINL CORP      COM         14040H105      1,892    86,472  SH              X              2   86,472
CAPITAL ONE FINL CORP      COM         14040H105        722    33,021  SH              X              3   33,021
CAPITAL ONE FINL CORP      COM         14040H105         85     3,869  SH                    X        3             3,869
CAPITALSOURCE INC          COM         14055X102      1,689   346,111  SH              X              2  346,111
CAPITALSOURCE INC          COM         14055X102        412    84,573  SH              X              3   84,573
CAPSTEAD MTG CORP          COM NO PAR  14067E506      1,329   104,530  SH              X              2  104,530
CAPSTEAD MTG CORP          COM NO PAR  14067E506        318    25,079  SH              X              3   23,481             1,598
CARDINAL HEALTH INC        COM         14149Y108          2        73  SH              X            1,3       73
CARDINAL HEALTH INC        COM         14149Y108          5       156  SH              X              2                        156
CARDINAL HEALTH INC        COM         14149Y108        510    16,678  SH                    X        3       21   12,347    4,310
CARDINAL HEALTH INC        COM         14149Y108      2,928    95,849  SH              X              3   77,285       30   18,534
CARDIONET INC              COM         14159L103      1,831   112,200  SH              X              2  112,200
CARDIONET INC              COM         14159L103        439    26,865  SH              X              3   25,141             1,724
CENTERPOINT ENERGY INC     COM         15189T107      2,003   180,740  SH              X              2  180,740
CENTERPOINT ENERGY INC     COM         15189T107         86     7,776  SH                    X        3             3,016    4,760
CENTERPOINT ENERGY INC     COM         15189T107      2,197   198,244  SH              X              3  189,237      751    8,256
CENVEO INC                 COM         15670S105         78    18,400  SH              X              3   18,400
CHENIERE ENERGY INC        COM NEW     16411R208      2,471   840,600  SH              X              2  840,600
CHENIERE ENERGY INC        COM NEW     16411R208        586   199,249  SH              X              3  186,304            12,945
CHIMERA INVT CORP          COM         16934Q109      2,770   793,600  SH              X              2  793,600
CHIMERA INVT CORP          COM         16934Q109        370   105,990  SH              X              3   99,243             6,747
CISCO SYS INC              COM         17275R102      1,482    79,490  SH              X            1,3   79,490
CISCO SYS INC              COM         17275R102        107     5,750  SH                    X      1,3    4,100    1,650
CISCO SYS INC              COM         17275R102          7       400  SH              X              2                        400
CISCO SYS INC              COM         17275R102     31,445 1,686,035  SH              X              2  795,935           890,100
CISCO SYS INC              COM         17275R102      3,611   193,603  SH                    X        3   37,575  149,385    6,643
CISCO SYS INC              COM         17275R102     24,773 1,328,283  SH              X              31,287,904   24,451   15,928
CLAYMORE ETF               BNY BRI&C   18383M100        788    24,550  SH              X              3   24,550
CLAYMORE ETF               BNY BRI&C   18383M100        159     4,962  SH                    X        3    1,111      803    3,048
CLIFFS NAT RESRCS INC      COM         18683K101          2       100  SH              X            1,3      100
CLIFFS NAT RESRCS INC      COM         18683K101      1,280    52,300  SH              X              2   52,300
CLIFFS NAT RESRCS INC      COM         18683K101          7       298  SH                    X        3               298
CLIFFS NAT RESRCS INC      COM         18683K101        138     5,658  SH              X              3    3,396             2,262
COINSTAR INC               COM         19259P300     11,401   427,000  SH              X              2  427,000
COINSTAR INC               COM         19259P300      1,552    58,138  SH              X              3   54,534             3,604
COMCAST CORP NEW           CL A        20030N101         15     1,012  SH              X            1,3    1,012
COMCAST CORP NEW           CL A        20030N101      4,821   333,397  SH              X              2  333,397
COMCAST CORP NEW           CL A        20030N101        127     8,785  SH              X              2                      8,785
COMCAST CORP NEW           CL A        20030N101        188    12,992  SH                    X        3    3,213    9,779
COMCAST CORP NEW           CL A        20030N101      5,144   355,706  SH              X              3  346,452    4,098    5,156
COMCAST CORP NEW           CL A SPL    20030N200        126     8,969  SH              X              3    8,969
COMCAST CORP NEW           CL A SPL    20030N200        124     8,818  SH                    X        3             4,039    4,779
CONOCOPHILLIPS             COM         20825C104        940    22,354  SH              X            1,3   22,204      150
CONOCOPHILLIPS             COM         20825C104         90     2,130  SH                    X      1,3    1,786      344
CONOCOPHILLIPS             COM         20825C104      5,580   132,675  SH              X              2  132,675
CONOCOPHILLIPS             COM         20825C104      1,352    32,145  SH                    X        3   17,700   12,117    2,328
CONOCOPHILLIPS             COM         20825C104      6,543   155,576  SH              X              3  150,997      379    4,200
CONSOL ENERGY INC          COM         20854P109        764    22,500  SH              X              2   22,500
CONSOL ENERGY INC          COM         20854P109          9       277  SH                    X        3               277
CONSOL ENERGY INC          COM         20854P109        126     3,696  SH              X              3    2,320             1,376
CONSTELLATION BRANDS       CL A        21036P108        154    12,113  SH              X              3   12,113
CONSTELLATION BRANDS       CL A        21036P108          1        58  SH                    X        3                58
COSTCO WHSL CORP NEW       COM         22160K105      2,934    64,100  SH              X              2   40,000            24,100
COSTCO WHSL CORP NEW       COM         22160K105      1,557    34,006  SH              X              3   33,356       30      620
COSTCO WHSL CORP NEW       COM         22160K105        273     5,967  SH                    X        3             5,150      817
CYBERSOURCE CORP           COM         23251J106      2,058   134,500  SH              X              2  134,500
CYBERSOURCE CORP           COM         23251J106          7       433  SH                    X        3               433
CYBERSOURCE CORP           COM         23251J106        534    34,891  SH              X              3   32,527             2,364
CYBERONICS INC             COM         23251P102        518    31,160  SH              X              3   30,117             1,043
DNP SELECT INCOME FD       COM         23325P104         58     7,204  SH              X            1,3    7,204
DNP SELECT INCOME FD       COM         23325P104      1,029   128,875  SH              X              3  128,875
DNP SELECT INCOME FD       COM         23325P104         48     6,000  SH                    X        3             6,000
DG FASTCHANNEL INC         COM         23326R109      1,296    70,800  SH              X              2   70,800
DG FASTCHANNEL INC         COM         23326R109        318    17,419  SH              X              3   15,697             1,722
D R HORTON INC             COM         23331A109        102    10,863  SH              X              3   10,863
DAVITA INC                 COM         23918K108      3,700    74,808  SH              X              2   74,808
DAVITA INC                 COM         23918K108          1        21  SH                    X        3                21
DAVITA INC                 COM         23918K108        938    18,952  SH              X              3   16,452             2,500





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
DELL INC                   COM         24702R101         46     3,350  SH              X            1,3    3,350
DELL INC                   COM         24702R101      2,679   195,135  SH              X              2  195,135
DELL INC                   COM         24702R101        138    10,033  SH                    X        3      430    8,573    1,030
DELL INC                   COM         24702R101      6,422   467,736  SH              X              3  457,138    4,288    6,310
DENNYS CORP                COM         24869P104        102    47,420  SH              X              3   47,420
DEVON ENERGY CORP NEW      COM         25179M103      8,860   162,565  SH              X              2   95,465            67,100
DEVON ENERGY CORP NEW      COM         25179M103      1,004    18,409  SH              X              3   18,197               212
DEVON ENERGY CORP NEW      COM         25179M103        145     2,656  SH                    X        3             2,056      600
DIAGEO P L C               SP ADR NEW  25243Q205        564     9,850  SH                    X        3             7,825    2,025
DIAGEO P L C               SP ADR NEW  25243Q205      1,490    26,028  SH              X              3   11,428            14,600
DIAMOND OFFSH DRILL INC    COM         25271C102        850    10,240  SH              X              2   10,240
DIAMOND OFFSH DRILL INC    COM         25271C102          6        77  SH                    X        3                77
DIAMOND OFFSH DRILL INC    COM         25271C102        180     2,157  SH              X              3    2,142                15
DIRECTV GROUP INC          COM         25459L106        670    27,112  SH                    X        3    2,030   12,538   12,544
DIRECTV GROUP INC          COM         25459L106      1,245    50,403  SH              X              3   32,361            18,042
DOLAN MEDIA CO             COM         25659P402      2,658   207,800  SH              X              2  207,800
DOLAN MEDIA CO             COM         25659P402        756    59,148  SH              X              3   55,956             3,192
DOMINION RES INC VA NEW    COM         25746U109          7       198  SH              X            1,3      198
DOMINION RES INC VA NEW    COM         25746U109      4,490   134,365  SH              X              2  134,365
DOMINION RES INC VA NEW    COM         25746U109        219     6,553  SH                    X        3    4,400    2,153
DOMINION RES INC VA NEW    COM         25746U109      2,819    84,337  SH              X              3   82,303      117    1,917
DUKE ENERGY CORP NEW       COM         26441C105        983    67,376  SH              X              3   64,543             2,833
DUKE ENERGY CORP NEW       COM         26441C105        112     7,656  SH                    X        3    1,404    3,187    3,065
DYNCORP INTL INC           CL A        26817C101      1,625    96,800  SH              X              2   96,800
DYNCORP INTL INC           CL A        26817C101        389    23,155  SH              X              3   21,670             1,485
ENSCO INTL INC             COM         26874Q100        573    16,444  SH              X              3   16,419                25
ENSCO INTL INC             COM         26874Q100         70     2,019  SH                    X        3             1,219      800
ENI S P A                  SPON ADR    26874R108         29       603  SH                    X        3               603
ENI S P A                  SPON ADR    26874R108        206     4,355  SH              X              3    3,400               955
EOG RES INC                COM         26875P101        978    14,400  SH              X              2   14,400
EOG RES INC                COM         26875P101         66       974  SH                    X        3               974
EOG RES INC                COM         26875P101        298     4,385  SH              X              3    4,249       42       94
EQT CORP                   COM         26884L109      3,415    97,820  SH              X              2   97,820
EQT CORP                   COM         26884L109        872    24,979  SH              X              3   21,639             3,340
EMBRAER-EMPRESABRASIL D    SPADRCOMSH  29081M102         43     2,577  SH                    X        3               785    1,792
EMBRAER-EMPRESABRASIL D    SPADRCOMSH  29081M102        158     9,531  SH              X              3    3,918             5,613
ENBRIDGE INC               COM         29250N105        383    11,031  SH                    X        3    1,330    2,151    7,550
ENBRIDGE INC               COM         29250N105      1,245    35,861  SH              X              3   12,213            23,648
ENERGIZER HLDGS INC        COM         29266R108      3,254    62,283  SH              X              3   61,038             1,245
ENERGIZER HLDGS INC        COM         29266R108      1,910    36,553  SH                    X        3      400    7,203   28,950
ENERGY TRANS PRTNRS L P    UT LTDPART  29273R109        310     7,644  SH              X              3    7,644
ENERGY TRANS PRTNRS L P    UT LTDPART  29273R109         16       400  SH                    X        3               400
ENERGY TRANSFER EQ L P     CMUTLTDPTN  29273V100         64     2,533  SH              X              3    2,533
ENERGY TRANSFER EQ L P     CMUTLTDPTN  29273V100        634    25,000  SH                    X        3            25,000
ENTERGY CORP NEW           COM         29364G103         23       300  SH              X            1,3      300
ENTERGY CORP NEW           COM         29364G103      1,990    25,669  SH              X              2   25,669
ENTERGY CORP NEW           COM         29364G103         11       147  SH                    X        3               147
ENTERGY CORP NEW           COM         29364G103      1,041    13,430  SH              X              3   12,464               966
EQUINIX INC                COM NEW     29444U502      5,477    75,300  SH              X              2   75,300
EQUINIX INC                COM NEW     29444U502         19       257  SH                    X        3                        257
EQUINIX INC                COM NEW     29444U502        667     9,165  SH              X              3    8,590               575
EQUITY RESIDENTIAL         SH BEN INT  29476L107          1        60  SH              X              2       60
EQUITY RESIDENTIAL         SH BEN INT  29476L107        284    12,773  SH              X              3   12,773
EQUITY RESIDENTIAL         SH BEN INT  29476L107          9       396  SH                    X        3      200      196
EXELON CORP                COM         30161N101        378     7,374  SH              X            1,3    7,374
EXELON CORP                COM         30161N101         99     1,926  SH                    X      1,3    1,926
EXELON CORP                COM         30161N101      1,013    19,784  SH              X              2   19,784
EXELON CORP                COM         30161N101        699    13,649  SH                    X        3    1,195   12,454
EXELON CORP                COM         30161N101      7,696   150,271  SH              X              3  146,579    2,719      973
EXPEDIA INC DEL            COM         30212P105      3,521   232,972  SH              X              2  232,972
EXPEDIA INC DEL            COM         30212P105          2       163  SH                    X        3               163
EXPEDIA INC DEL            COM         30212P105        887    58,715  SH              X              3   50,235             8,480
EXXON MOBIL CORP           COM         30231G102      1,880    26,890  SH              X            1,3   26,740      150
EXXON MOBIL CORP           COM         30231G102        315     4,500  SH                    X      1,3    3,575      925
EXXON MOBIL CORP           COM         30231G102     52,391   749,413  SH              X              2  382,965           366,448
EXXON MOBIL CORP           COM         30231G102     15,084   215,766  SH                    X        3   35,414  177,692    2,660
EXXON MOBIL CORP           COM         30231G102     68,776   983,782  SH              X              3  941,145   31,673   10,964
FMC TECH INC               COM         30249U101        284     7,546  SH                    X        3    1,050    1,574    4,922
FMC TECH INC               COM         30249U101      1,235    32,852  SH              X              3    9,631            23,221
FEDEX CORP                 COM         31428X106     11,753   211,300  SH              X              2   81,300           130,000
FEDEX CORP                 COM         31428X106         39       694  SH                    X        3      150      544
FEDEX CORP                 COM         31428X106        527     9,472  SH              X              3    9,351       27       94
FEDEX CORP                 COM         31428X106        178     3,200  SH              X              2                      3,200
FIDELITY NATL INFO SV      COM         31620M106         30     1,488  SH                    X        3               688      800
FIDELITY NATL INFO SV      COM         31620M106        366    18,361  SH              X              3   16,611             1,750
FLOWSERVE CORP             COM         34354P105        361     5,170  SH                    X        3      676    1,214    3,280
FLOWSERVE CORP             COM         34354P105      1,558    22,323  SH              X              3    7,658            14,665
FREEPORT-MCMORAN CO&GO     PFD CONV    35671D782         58       724  SH              X              3      724
FREEPORT-MCMORAN CO&GO     PFD CONV    35671D782      1,240    15,600  SH                    X        3            15,600
FREEPORT-MCMORAN CO&GO     COM         35671D857      9,629   192,167  SH              X              2  112,772            79,395
FREEPORT-MCMORAN CO&GO     COM         35671D857         24       475  SH                    X        3               475
FREEPORT-MCMORAN CO&GO     COM         35671D857        984    19,625  SH              X              3   19,462               163
FRONTIER COM CORP          COM         35906A108        136    19,026  SH              X              3   19,026
FRONTIER COM CORP          COM         35906A108          3       490  SH                    X        3               490
FUJIFILM HLDGS CORP        ADR 2 ORD   35958N107        404    12,747  SH                    X        3            12,747
FUJIFILM HLDGS CORP        ADR 2 ORD   35958N107         67     2,129  SH              X              3    2,089                40
GAMESTOP CORP NEW          CL A        36467W109      2,705   122,900  SH              X              2  122,900
GAMESTOP CORP NEW          CL A        36467W109        190     8,634  SH                    X        3      964    3,271    4,399
GAMESTOP CORP NEW          CL A        36467W109        472    21,433  SH              X              3    8,991            12,442
GENOPTIX INC               COM         37243V100      2,063    64,500  SH              X              2   64,500





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
GENOPTIX INC               COM         37243V100          8       238  SH                    X        3               238
GENOPTIX INC               COM         37243V100        507    15,853  SH              X              3   14,812             1,041
GENWORTH FINL INC          COM CL A    37247D106         17     2,500  SH              X              2                      2,500
GENWORTH FINL INC          COM CL A    37247D106         82    11,741  SH              X              3   11,741
GENWORTH FINL INC          COM CL A    37247D106         12     1,672  SH                    X        3             1,672
GEOEYE INC                 COM         37250W108      7,706   327,100  SH              X              2  327,100
GEOEYE INC                 COM         37250W108      1,105    46,884  SH              X              3   43,940             2,944
GLAXOSMITHKLINE PLC        SPON ADR    37733W105          7       200  SH              X            1,3      200
GLAXOSMITHKLINE PLC        SPON ADR    37733W105        878    24,853  SH              X              3   24,303      475       75
GLAXOSMITHKLINE PLC        SPON ADR    37733W105        387    10,938  SH                    X        3      300    9,683      955
GLOBAL PMTS INC            COM         37940X102         13       360  SH                    X        3               360
GLOBAL PMTS INC            COM         37940X102        364     9,705  SH              X              3    1,798             7,907
GMX RES INC                COM         38011M108      1,290   121,200  SH              X              2  121,200
GMX RES INC                COM         38011M108        303    28,532  SH              X              3   26,679             1,853
GOLD FIELDS LTD NEW        SPON ADR    38059T106         18     1,511  SH              X              3    1,511
GOLD FIELDS LTD NEW        SPON ADR    38059T106        249    20,692  SH                    X        3            20,692
GOLDMAN SACHS GR INC       COM         38141G104        829     5,625  SH              X            1,3    5,625
GOLDMAN SACHS GR INC       COM         38141G104         29       200  SH                    X      1,3      125       75
GOLDMAN SACHS GR INC       COM         38141G104      1,990    13,500  SH   PUT         X              2
GOLDMAN SACHS GR INC       COM         38141G104     19,854   134,662  SH              X              2   81,562            53,100
GOLDMAN SACHS GR INC       COM         38141G104      2,240    15,190  SH                    X        3    2,665   12,210      315
GOLDMAN SACHS GR INC       COM         38141G104     12,906    87,532  SH              X              3   84,724    2,103      705
GOOGLE INC                 CL A        38259P508     19,143    45,407  SH              X              2   17,907            27,500
GOOGLE INC                 CL A        38259P508      1,535     3,640  SH                    X        3      175    2,430    1,035
GOOGLE INC                 CL A        38259P508     11,808    28,009  SH              X              3   25,695      376    1,938
GRUPO TELEVISA SA DE CV    SPADRREPORD 40049J206        128     7,504  SH                    X        3             3,184    4,320
GRUPO TELEVISA SA DE CV    SPADRREPORD 40049J206        332    19,503  SH              X              3    9,108            10,395
HCP INC                    COM         40414L109        247    11,644  SH              X              3   11,644
HCP INC                    COM         40414L109         43     2,048  SH                    X        3             2,048
HEALTH CARE REIT INC       COM         42217K106        338     9,902  SH              X              3    9,902
HEALTH CARE REIT INC       COM         42217K106          9       254  SH                    X        3               254
HESS CORP                  COM         42809H107      8,534   158,770  SH              X              2   95,270            63,500
HESS CORP                  COM         42809H107         48       884  SH                    X        3               884
HESS CORP                  COM         42809H107        648    12,070  SH              X              3   12,055                15
HEWITT ASSOCS INC          COM         42822Q100      1,534    51,500  SH              X              2   51,500
HEWITT ASSOCS INC          COM         42822Q100         63     2,130  SH              X              3    2,130
HIMAX TECH INC             SPON ADR    43289P106        154    41,000  SH              X              3   41,000
HOST HOTELS&RESORTS INC    COM         44107P104          6       773  SH                    X        3               773
HOST HOTELS&RESORTS INC    COM         44107P104        202    24,100  SH              X              3   23,990               110
ITT EDUCATIONALSRVC INC    COM         45068B109      1,399    13,900  SH              X              2   13,900
ITT EDUCATIONALSRVC INC    COM         45068B109          8        80  SH                    X        3                80
ITT EDUCATIONALSRVC INC    COM         45068B109        563     5,590  SH              X              3    5,200               390
ICON PUB LTD CO            SPON ADR    45103T107        188     8,691  SH              X              2    8,691
ICON PUB LTD CO            SPON ADR    45103T107        239    11,088  SH                    X        3      330   10,758
ICON PUB LTD CO            SPON ADR    45103T107      5,909   273,801  SH              X              3  263,168    5,860    4,773
IDEXX LABS INC             COM         45168D104        379     8,207  SH              X              3    1,016             7,191
INFINEON TECH AG           SPON ADR    45662N103         39    11,030  SH              X              3   11,030
INFINEON TECH AG           SPON ADR    45662N103          1       375  SH                    X        3               375
INTEGRYS ENERGY GR INC     COM         45822P105         39     1,289  SH              X            1,3    1,289
INTEGRYS ENERGY GR INC     COM         45822P105          3       110  SH              X              2      110
INTEGRYS ENERGY GR INC     COM         45822P105        838    27,938  SH              X              3   26,938    1,000
INTEGRYS ENERGY GR INC     COM         45822P105        103     3,423  SH                    X        3             3,423
INTERCON EXCHANGE INC      COM         45865V100        187     1,636  SH                    X        3      177      431    1,028
INTERCON EXCHANGE INC      COM         45865V100        613     5,370  SH              X              3    2,272             3,098
INTERDIGITAL INC           COM         45867G101      3,783   154,800  SH              X              2  154,800
INTERDIGITAL INC           COM         45867G101         10       393  SH                    X        3               393
INTERDIGITAL INC           COM         45867G101        507    20,742  SH              X              3   19,447             1,295
INTERSIL CORP              CL A        46069S109      1,213    96,491  SH              X              2   96,491
INTERSIL CORP              CL A        46069S109        299    23,792  SH              X              3   18,710             5,082
INVERNESS MEDINNVTNS IN    COM         46126P106      4,931   138,600  SH              X              2  138,600
INVERNESS MEDINNVTNS IN    COM         46126P106          9       247  SH                    X        3               247
INVERNESS MEDINNVTNS IN    COM         46126P106        713    20,036  SH              X              3   17,679             2,357
ISHARES SILVER TRUST       ISHARES     46428Q109      1,203    89,900  SH              X              3   89,900
ISHARES SILVER TRUST       ISHARES     46428Q109         24     1,760  SH                    X        3             1,760
ISHARESS&PGSCICOMDITY I    UT BEN INT  46428R107        214     7,105  SH              X              3    7,105
ISHARESS&PGSCICOMDITY I    UT BEN INT  46428R107         42     1,400  SH                    X        3      200    1,200
IVANHOE MINES LTD          COM         46579N103          7     1,309  SH              X              3    1,309
IVANHOE MINES LTD          COM         46579N103         90    16,001  SH                    X        3            16,001
JDS UNIPHASE CORP          COMPAR$.001 46612J507         75    13,040  SH              X              3   13,040
JPMORGAN CHASE & CO        COM         46625H100      1,157    33,911  SH              X            1,3   33,911
JPMORGAN CHASE & CO        COM         46625H100         58     1,700  SH                    X      1,3      650    1,050
JPMORGAN CHASE & CO        COM         46625H100        273     8,000  SH              X              2                      8,000
JPMORGAN CHASE & CO        COM         46625H100     31,846   933,618  SH              X              2  583,816           349,802
JPMORGAN CHASE & CO        COM         46625H100      6,307   184,890  SH                    X        3   87,059   96,226    1,605
JPMORGAN CHASE & CO        COM         46625H100     40,222 1,179,172  SH              X              31,164,590    9,745    4,837
JANUS CAP GROUP INC        COM         47102X105        241    21,178  SH              X              3   21,178
JANUS CAP GROUP INC        COM         47102X105          9       807  SH                    X        3               807
JUNIPER NETWORKS INC       COM         48203R104        124     5,266  SH                    X        3             4,476      790
JUNIPER NETWORKS INC       COM         48203R104        185     7,843  SH              X              3    6,733             1,110
KBR INC                    COM         48242W106        191    10,333  SH              X              3    8,266             2,067
K12 INC                    COM         48273U102      1,929    89,500  SH              X              2   89,500
K12 INC                    COM         48273U102        455    21,143  SH              X              3   19,775             1,368
KB HOME                    COM         48666K109        206    15,074  SH              X              3   15,074
KB HOME                    COM         48666K109          4       275  SH                    X        3               275
KIMCO REALTY CORP          COM         49446R109        112    11,174  SH              X              3   11,174
KIMCO REALTY CORP          COM         49446R109          1        53  SH                    X        3                53
KRAFT FOODS INC            CL A        50075N104          9       345  SH              X            1,3      345
KRAFT FOODS INC            CL A        50075N104      2,412    95,195  SH              X              2   95,195
KRAFT FOODS INC            CL A        50075N104        261    10,289  SH              X              2                     10,289
KRAFT FOODS INC            CL A        50075N104      2,657   104,852  SH                    X        3    5,097   97,146    2,609





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
KRAFT FOODS INC            CL A        50075N104      5,867   231,531  SH              X              3  228,371      490    2,670
LAB CORP AMER HLDGS        COM NEW     50540R409        218     3,222  SH                    X        3      470      900    1,852
LAB CORP AMER HLDGS        COM NEW     50540R409      1,218    17,965  SH              X              3   12,652             5,313
LEVEL 3 COMM INC           COM         52729N100        102    67,270  SH              X              3   66,670               600
LIBERTY MEDIA CORP NEW     INTCOMSERA  53071M104         42     8,347  SH              X              3    8,347
LIBERTY MEDIA CORP NEW     INTCOMSERA  53071M104         17     3,446  SH                    X        3                      3,446
LIBERTY MEDIA CORP NEW     ENT COMSERA 53071M500      4,935   184,840  SH              X              2  184,840
LIBERTY MEDIA CORP NEW     ENT COMSERA 53071M500         70     2,631  SH                    X        3               275    2,356
LIBERTY MEDIA CORP NEW     ENT COMSERA 53071M500      1,032    38,614  SH              X              3   32,499             6,115
LIFE TECHNOLOGIES CORP     COM         53217V109      1,348    32,300  SH              X              2   32,300
LIFE TECHNOLOGIES CORP     COM         53217V109          6       155  SH                    X        3       88       67
LIFE TECHNOLOGIES CORP     COM         53217V109        211     5,074  SH              X              3    4,347               727
LUXOTTICA GROUP S P A      SPON ADR    55068R202         81     3,918  SH                    X        3             1,193    2,725
LUXOTTICA GROUP S P A      SPON ADR    55068R202        203     9,791  SH              X              3    5,375             4,416
M & T BK CORP              COM         55261F104        516    10,141  SH              X              3   10,141
M & T BK CORP              COM         55261F104          6       127  SH                    X        3               127
MFA FINL INC               COM         55272X102      6,931 1,001,600  SH              X              21,001,600
MFA FINL INC               COM         55272X102         44     6,400  SH                    X        3                      6,400
MFA FINL INC               COM         55272X102      1,069   154,453  SH              X              3  134,297            20,156
MGE ENERGY INC             COM         55277P104         37     1,100  SH                    X        3             1,100
MGE ENERGY INC             COM         55277P104      1,258    37,487  SH              X              3   32,708    2,110    2,669
MLP & STRATEGIC EQFDIN     COM         55312N106        121    10,079  SH              X              3   10,079
MACROVISION SOLUT CORP     COM         55611C108      6,720   308,100  SH              X              2  308,100
MACROVISION SOLUT CORP     COM         55611C108        926    42,493  SH              X              3   39,403             3,090
MACYS INC                  COM         55616P104        480    40,858  SH              X              3   40,858
MACYS INC                  COM         55616P104          6       501  SH                    X        3               501
MANPOWER INC               COM         56418H100      3,751    88,572  SH              X              2   88,572
MANPOWER INC               COM         56418H100        120     2,830  SH                    X        3             2,830
MANPOWER INC               COM         56418H100      5,455   128,845  SH              X              3  122,378             6,467
MANULIFE FINL CORP         COM         56501R106        242    13,964  SH              X              3   13,964
MANULIFE FINL CORP         COM         56501R106         13       758  SH                    X        3               758
MARKET VECTORS ETF TR      GLDMINERETF 57060U100        775    20,496  SH              X              3   20,496
MARKET VECTORS ETF TR      GLDMINERETF 57060U100        185     4,900  SH                    X        3             4,900
MARKET VECTORS ETF TR      AGRIBUS ETF 57060U605        655    19,000  SH              X              3   19,000
MARKET VECTORS ETF TR      MKTVEC ETF  57060U845        502    24,420  SH              X              3   24,420
MASTERCARD INC             CL A        57636Q104        753     4,500  SH              X              2    4,500
MASTERCARD INC             CL A        57636Q104        439     2,624  SH              X              3    2,619                 5
MASTERCARD INC             CL A        57636Q104         45       267  SH                    X        3                47      220
MCKESSON CORP              COM         58155Q103        448    10,190  SH              X              3   10,190
MCKESSON CORP              COM         58155Q103         14       308  SH                    X        3               308
MEDCO HEALTH SOLUT INC     COM         58405U102         57     1,260  SH                    X      1,3    1,260
MEDCO HEALTH SOLUT INC     COM         58405U102      2,426    53,190  SH              X              2   53,190
MEDCO HEALTH SOLUT INC     COM         58405U102         91     2,000  SH              X              2                      2,000
MEDCO HEALTH SOLUT INC     COM         58405U102        412     9,036  SH                    X        3      666    8,370
MEDCO HEALTH SOLUT INC     COM         58405U102      5,510   120,787  SH              X              3  117,702    1,512    1,573
MEDTRONIC INC              NOTE1.5%4/1 585055AL0      1,473 1,520,000  SH              X              21,520,000
MEDTRONIC INC              NOTE1.5%4/1 585055AL0          5     5,000  SH                    X        3    5,000
MEDTRONIC INC              NOTE1.5%4/1 585055AL0      3,944 4,050,000  SH              X              34,050,000
METLIFE INC                COM         59156R108      7,047   234,820  SH              X              2  102,840           131,980
METLIFE INC                COM         59156R108        978    32,577  SH              X              3   32,372       65      140
METLIFE INC                COM         59156R108        144     4,793  SH                    X        3      100    3,858      835
MIZUHO FINL GROUP INC      SPON ADR    60687Y109         56    12,185  SH              X              3   11,760               425
MOLSONCOORS BREW CO        CL B        60871R209      1,439    34,000  SH              X              2   34,000
MOLSONCOORS BREW CO        CL B        60871R209          5       115  SH                    X        3               115
MOLSONCOORS BREW CO        CL B        60871R209        140     3,303  SH              X              3    3,286                17
MONSANTO CO NEW            COM         61166W101      1,009    13,575  SH              X            1,3   13,575
MONSANTO CO NEW            COM         61166W101         52       700  SH                    X      1,3      300      400
MONSANTO CO NEW            COM         61166W101     14,030   188,733  SH              X              2   94,033            94,700
MONSANTO CO NEW            COM         61166W101      2,365    31,818  SH                    X        3      828   27,878    3,112
MONSANTO CO NEW            COM         61166W101     10,272   138,175  SH              X              3  130,041    1,863    6,271
MOSAIC CO                  COM         61945A107        182     4,100  SH              X              2                      4,100
MOSAIC CO                  COM         61945A107        187     4,220  SH              X              3    4,220
MOSAIC CO                  COM         61945A107         50     1,128  SH                    X        3             1,128
MYRIAD GENETICS INC        COM         62855J104      1,647    46,200  SH              X              2   46,200
MYRIAD GENETICS INC        COM         62855J104        163     4,571  SH                    X        3      592    1,077    2,902
MYRIAD GENETICS INC        COM         62855J104        929    26,064  SH              X              3   15,238            10,826
MYRIAD PHARM INC           COM         62856H107         54    11,550  SH              X              2   11,550
MYRIAD PHARM INC           COM         62856H107          5     1,139  SH                    X        3      148      266      725
MYRIAD PHARM INC           COM         62856H107         31     6,680  SH              X              3    3,881             2,799
NTT DOCOMO INC             SPON ADR    62942M201         81     5,550  SH                    X        3             1,690    3,860
NTT DOCOMO INC             SPON ADR    62942M201        187    12,844  SH              X              3    8,430             4,414
NESS TECH INC              COM         64104X108         51    13,129  SH              X              3   13,129
NETAPP INC                 COM         64110D104      1,775    90,000  SH              X              2   90,000
NETAPP INC                 COM         64110D104         86     4,388  SH              X              3    4,338                50
NETAPP INC                 COM         64110D104         17       860  SH                    X        3                        860
NETFLIX INC                COM         64110L106      2,919    70,600  SH              X              2   70,600
NETFLIX INC                COM         64110L106        509    12,323  SH              X              3   11,397               926
NEUTRAL TANDEM INC         COM         64128B108      2,704    91,600  SH              X              2   91,600
NEUTRAL TANDEM INC         COM         64128B108        678    22,969  SH              X              3   21,050             1,919
NEXEN INC                  COM         65334H102         17       776  SH              X              3      776
NEXEN INC                  COM         65334H102        284    13,118  SH                    X        3            13,118
NISOURCE INC               COM         65473P105        215    18,465  SH              X              2   18,465
NISOURCE INC               COM         65473P105      3,437   294,787  SH              X              3  291,590      594    2,603
NISOURCE INC               COM         65473P105        128    10,956  SH                    X        3    3,500    3,966    3,490
NOVATEL WIRELESS INC       COM NEW     66987M604      1,716   190,200  SH              X              2  190,200
NOVATEL WIRELESS INC       COM NEW     66987M604        420    46,562  SH              X              3   43,651             2,911
NOVARTIS A G               SPON ADR    66987V109        425    10,408  SH                    X        3       50   10,255      103
NOVARTIS A G               SPON ADR    66987V109        591    14,482  SH              X              3   12,920             1,562
NUANCE COMM INC            COM         67020Y100      5,308   438,676  SH              X              2  438,676
NUANCE COMM INC            COM         67020Y100         26     2,182  SH                    X        3               747    1,435





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
NUANCE COMM INC            COM         67020Y100        750    62,002  SH              X              3   57,228             4,774
NUVEEN MUN MKT OPP F       COM         67062W103        177    14,815  SH              X              3   14,815
NVIDIA CORP                COM         67066G104      1,314   116,400  SH              X              2  116,400
NVIDIA CORP                COM         67066G104          1        90  SH                    X        3                90
NVIDIA CORP                COM         67066G104         49     4,338  SH              X              3    4,137      106       95
NUVEEN DIVID ADVMUN F      COM         67066V101        124    10,000  SH              X              3   10,000
O2MICRO INTERNATL LTD      SPON ADR    67107W100      1,578   315,600  SH              X              2  315,600
O2MICRO INTERNATL LTD      SPON ADR    67107W100        367    73,320  SH              X              3   68,489             4,831
OCULUS INNOVATIVE SCI I    COM         67575P108        213    62,540  SH              X              2   62,540
OCULUS INNOVATIVE SCI I    COM         67575P108         34    10,000  SH              X              3   10,000
ORACLE CORP                COM         68389X105      1,091    50,950  SH              X            1,3   50,950
ORACLE CORP                COM         68389X105         87     4,050  SH                    X      1,3    2,950    1,100
ORACLE CORP                COM         68389X105     30,387 1,418,615  SH              X              2  612,915           805,700
ORACLE CORP                COM         68389X105      1,763    82,298  SH                    X        3   34,514   27,251   20,533
ORACLE CORP                COM         68389X105      8,752   408,567  SH              X              3  371,601    2,467   34,499
ORION MARINE GR INC        COM         68628V308      2,058   108,300  SH              X              2  108,300
ORION MARINE GR INC        COM         68628V308          2       110  SH                    X        3               110
ORION MARINE GR INC        COM         68628V308        597    31,442  SH              X              3   29,093             2,349
PG&E CORP                  COM         69331C108         42     1,095  SH                    X        3             1,095
PG&E CORP                  COM         69331C108        473    12,298  SH              X              3   12,204                94
PMC-SIERRA INC             COM         69344F106      6,346   797,200  SH              X              2  312,000           485,200
PPL CORP                   COM         69351T106          5       148  SH                    X        3               148
PPL CORP                   COM         69351T106        313     9,483  SH              X              3    9,343               140
PANASONIC CORP             ADR         69832A205         11       835  SH              X              3      835
PANASONIC CORP             ADR         69832A205        171    12,760  SH                    X        3            12,760
PANERA BREAD CO            CL A        69840W108        377     7,571  SH              X              3      943             6,628
PETROLEO BRASIL SA PET     SPON ADR    71654V408        394     9,610  SH                    X        3             7,760    1,850
PETROLEO BRASIL SA PET     SPON ADR    71654V408        611    14,913  SH              X              3   12,821             2,092
PHARMERICA CORP            COM         71714F104        208    10,609  SH              X              3   10,101               508
PLUG POWER INC             COM         72919P103          9    10,000  SH              X              3   10,000
POTASH CORP SASK INC       COM         73755L107      4,769    51,250  SH              X              2   26,150            25,100
POTASH CORP SASK INC       COM         73755L107        342     3,679  SH                    X        3       25    3,067      587
POTASH CORP SASK INC       COM         73755L107      3,888    41,780  SH              X              3   40,254      256    1,270
POWERSHARES QQQ TRUST      UNIT SER 1  73935A104         38     1,053  SH              X              2                      1,053
POWERSHARES QQQ TRUST      UNIT SER 1  73935A104      2,145    58,971  SH              X              3   58,971
POWERSHARES QQQ TRUST      UNIT SER 1  73935A104         82     2,248  SH                    X        3             2,248
POWERSHARES DBCMDTYIND     UT BEN INT  73935S105        197     8,714  SH                    X        3             8,714
POWERSHARES DBCMDTYIND     UT BEN INT  73935S105     15,253   674,307  SH              X              3  672,380             1,927
POWERSHARES ETF TRUST      FINLPFDPTFL 73935X229      1,807   124,347  SH              X              3  124,347
POWERSHARES ETF TRUST      FINLPFDPTFL 73935X229         33     2,300  SH                    X        3             2,300
POWERSHARES ETF TRUST      WNDRHLLCLN  73935X500      1,468   145,680  SH              X              3  145,680
POWERSHARES ETF TRUST      WNDRHLLCLN  73935X500         53     5,250  SH                    X        3             5,250
POWERSHARES ETF TRUST      H2O RESRC   73935X575        178    12,070  SH              X              3   12,070
POWERSHARES ETF TRUST      H2O RESRC   73935X575         25     1,700  SH                    X        3      700    1,000
POWERSHARES ETF TRUST      FTSE R1000  73935X583        284     7,625  SH                    X        3             7,625
POWERSHARES ETF TRUST      FTSE R1000  73935X583      5,100   136,956  SH              X              3  128,720             8,236
POWERSHARES ETF TRUST      DYNBIOT&GEN 73935X856        157    11,245  SH              X              3   11,245
POWERSHS DB MULTI SECT     DB AG FD    73936B408        884    34,718  SH              X              3   34,718
POWERSH DB MULTI SECT      DBBASEMTLS  73936B705        607    40,279  SH              X              3   40,279
POWERSHARES GLBL ETFTR     AGGPFDPORT  73936T565      2,479   202,000  SH              X              3  202,000
POWERSHARES GLBL ETFTR     AGGPFDPORT  73936T565         49     4,000  SH                    X        3             4,000
PRAXAIR INC                COM         74005P104         14       200  SH              X            1,3      200
PRAXAIR INC                COM         74005P104      2,973    41,830  SH              X              2   41,830
PRAXAIR INC                COM         74005P104      1,445    20,331  SH                    X        3    8,932    6,227    5,172
PRAXAIR INC                COM         74005P104      4,064    57,193  SH              X              3   44,957       24   12,212
PRICE T ROWE GROUP INC     COM         74144T108      1,090    26,168  SH              X              3   26,168
PRICE T ROWE GROUP INC     COM         74144T108        128     3,065  SH                    X        3    1,765      530      770
PRINCIPAL FINL GROUP IN    COM         74251V102      1,845    97,880  SH              X              2   97,880
PRINCIPAL FINL GROUP IN    COM         74251V102        486    25,847  SH              X              3   25,847
PROASSURANCE CORP          COM         74267C106          9       185  SH                    X        3               185
PROASSURANCE CORP          COM         74267C106        329     7,122  SH              X              3    6,486               636
PROSHARES TR               PSHULTSP501 74347R107        229     8,765  SH              X              3    8,765
PROSHARES TR               ULTSH 20YRS 74347R297      1,106    21,712  SH              X              3   21,712
PRUDENTIAL PLC             ADR         74435K204        144    10,498  SH                    X        3             4,438    6,060
PRUDENTIAL PLC             ADR         74435K204        281    20,518  SH              X              3   10,350            10,168
PUBLIC STORAGE             COM         74460D109         26       400  SH              X            1,3      400
PUBLIC STORAGE             COM         74460D109         29       438  SH                    X        3               438
PUBLIC STORAGE             COM         74460D109        332     5,063  SH              X              3    5,048                15
QUEST DIAGNOSTICS INC      COM         74834L100        342     6,045  SH              X              2    6,045
QUEST DIAGNOSTICS INC      COM         74834L100        486     8,616  SH              X              3    7,893               723
QUEST DIAGNOSTICS INC      COM         74834L100        309     5,479  SH                    X        3             4,101    1,378
QUESTCOR PHARMS INC        COM         74835Y101      1,770   354,000  SH              X              2  354,000
QUESTCOR PHARMS INC        COM         74835Y101        423    84,569  SH              X              3   79,046             5,523
RANGE RES CORP             COM         75281A109         11       267  SH                    X        3               267
RANGE RES CORP             COM         75281A109        830    20,044  SH              X              3   19,313               731
REGENCY ENERGY PART LP     COMUTS LP   75885Y107        265    18,200  SH                    X        3            18,200
REGIONS FINL CORP NEW      COM         7591EP100        103    25,449  SH              X              3   25,449
RYDEX ETF TRUST            S&P 500EQTR 78355W106      2,085    67,688  SH              X              3   67,688
RYDEX ETF TRUST            S&P 500EQTR 78355W106        107     3,459  SH                    X        3      829    2,630
SBA COMMUNICATIONS CORP    COM         78388J106      2,331    95,000  SH              X              2   95,000
SBA COMMUNICATIONS CORP    COM         78388J106         12       488  SH                    X        3               488
SBA COMMUNICATIONS CORP    COM         78388J106        624    25,424  SH              X              3   23,178             2,246
SAIC INC                   COM         78390X101         16       841  SH                    X        3               841
SAIC INC                   COM         78390X101        204    11,002  SH              X              3    5,352             5,650
SK TELECOM LTD             SPON ADR    78440P108        340    22,432  SH                    X        3            22,432
SK TELECOM LTD             SPON ADR    78440P108        128     8,455  SH              X              3    5,975             2,480
SLM CORP                   COM         78442p106        110    10,750  SH              X              2                     10,750
SPDR TR                    UNIT SER 1  78462F103     27,033   294,000  SH   PUT        X              2
SPDR TR                    UNIT SER 1  78462F103      3,203    34,835  SH                    X        3    1,237   33,598
SPDR TR                    UNIT SER 1  78462F103     45,522   495,074  SH              X              3  482,029    2,962   10,083





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
SPDR GOLD TRUST            GOLD SHS    78463V107      8,942    98,065  SH              X              3   97,165      900
SPDR GOLD TRUST            GOLD SHS    78463V107        573     6,285  SH                    X        3             6,285
SPDR SERIES TRUST          DJWSTTLMKT  78464A805        328     4,870  SH              X              3    4,870
SRA INTL INC               CL A        78464r105         34     1,944  SH              X              2                      1,944
SAKS INC                   COM         79377W108          3       670  SH                    X        3               670
SAKS INC                   COM         79377W108         72    16,335  SH              X              3   16,100               235
SANDRIDGE ENERGY INC       COM         80007P307      1,119   131,300  SH              X              2  131,300
SANDRIDGE ENERGY INC       COM         80007P307          8     1,019  SH              X              3    1,019
SANOFI AVENTIS             SPON ADR    80105N105        373    12,644  SH                    X        3            12,644
SANOFI AVENTIS             SPON ADR    80105N105        192     6,506  SH              X              3    6,371               135
SEALED AIR CORP NEW        COM         81211K100      3,329   180,457  SH              X              2  180,457
SEALED AIR CORP NEW        COM         81211K100         41     2,215  SH                    X        3             2,215
SEALED AIR CORP NEW        COM         81211K100        921    49,941  SH              X              3   43,995             5,946
SELECT SECTOR SPDR TR      SBIINT-FINL 81369Y605          4       356  SH              X            1,3      356
SELECT SECTOR SPDR TR      SBIINT-FINL 81369Y605         74     6,190  SH                    X        3             6,190
SELECT SECTOR SPDR TR      SBIINT-FINL 81369Y605      1,211   101,348  SH              X              3   98,058             3,290
SELECT SECTOR SPDR TR      SBIINT-TECH 81369Y803          3       150  SH              X            1,3      150
SELECT SECTOR SPDR TR      SBIINT-TECH 81369Y803        366    20,122  SH              X              3   20,122
SELECT SECTOR SPDR TR      SBIINT-TECH 81369Y803        158     8,653  SH                    X        3      575    8,078
SELECT SECTOR SPDR TR      SBIINT-UTIL 81369Y886        398    14,267  SH              X              3   14,267
SELECT SECTOR SPDR TR      SBIINT-UTIL 81369Y886         80     2,880  SH                    X        3             2,880
SHUTTERFLY INC             COM         82568P304      1,871   134,100  SH              X              2  134,100
SHUTTERFLY INC             COM         82568P304        446    32,009  SH              X              3   29,917             2,092
SIRIUS XM RADIO INC        COM         82967N108          5    12,450  SH              X              3   12,450
SIRIUS XM RADIO INC        COM         82967N108         13    31,250  SH                    X        3            31,250
SKYWORKS SOLUTIONS INC     COM         83088M102      4,832   493,600  SH              X              2  493,600
SKYWORKS SOLUTIONS INC     COM         83088M102        781    79,786  SH              X              3   75,701             4,085
SOLERA HOLDINGS INC        COM         83421A104      3,439   135,400  SH              X              2  135,400
SOLERA HOLDINGS INC        COM         83421A104        479    18,853  SH              X              3   17,621             1,232
SOUTHERN COPPER CORP       COM         84265V105        345    16,873  SH              X              3   16,873
SOUTHERN COPPER CORP       COM         84265V105         75     3,664  SH                    X        3             3,664
STAGE STORES INC           COM NEW     85254C305         49     4,410  SH                    X        3                      4,410
STAGE STORES INC           COM NEW     85254C305        262    23,594  SH              X              3   15,559             8,035
STARWOOD HTL&RSRT WRLD     COM         85590A401        285    12,853  SH              X              3   12,853
STARWOOD HTL&RSRT WRLD     COM         85590A401         10       429  SH                    X        3               429
STONEMOR PARTNERS L P      COM UNITS   86183Q100        479    31,960  SH              X              3   31,960
SUNOCO INC                 COM         86764P109         44     1,901  SH                    X        3             1,901
SUNOCO INC                 COM         86764P109        751    32,364  SH              X              3   30,739       25    1,600
SUPERIOR BANCORP           COM NEW     86806M205        180    69,138  SH              X            1,3   69,138
SYNAPTICS INC              COM         87157D109      2,879    74,500  SH              X              2   74,500
SYNAPTICS INC              COM         87157D109          8       218  SH                    X        3               218
SYNAPTICS INC              COM         87157D109        514    13,279  SH              X              3   11,111             2,168
SYNGENTA AG                SPON ADR    87160A100        101     2,178  SH                    X        3               754    1,424
SYNGENTA AG                SPON ADR    87160A100        316     6,803  SH              X              3    4,312             2,491
SYNOVUS FINL CORP          COM         87161C105         15     5,063  SH                    X        3             5,063
SYNOVUS FINL CORP          COM         87161C105         54    18,090  SH              X              3   15,345             2,745
SYNOVIS LIFE TECH IN       COM         87162G105      1,786    86,000  SH              X              2   86,000
SYNOVIS LIFE TECH IN       COM         87162G105        422    20,306  SH              X              3   18,989             1,317
SYNIVERSE HLDGS INC        COM         87163F106         14       849  SH                    X        3               849
SYNIVERSE HLDGS INC        COM         87163F106        267    16,669  SH              X              3   15,830               839
TD AMERITRADE HLDG         COM         87236Y108        197    11,247  SH              X              3   11,247
TD AMERITRADE HLDG         COM         87236Y108         75     4,250  SH                    X        3             4,250
TARGA RESRCES PART LP      COM UT      87611X105          4       300  SH              X              3      300
TARGA RESRCES PART LP      COM UT      87611X105        248    17,900  SH                    X        3            17,900
TEAM FINL INC              COM         87815X109          1    17,000  SH              X              3                     17,000
TELECOM ITALIA SPA NEW     SP ADR ORD  87927Y102          5       346  SH                    X        3               346
TELECOM ITALIA SPA NEW     SP ADR ORD  87927Y102        136     9,863  SH              X              3    9,590               273
TELECOM ITALIA SPA NEW     SP ADR SVG  87927Y201         25     2,556  SH              X              3    2,556
TELECOM ITALIA SPA NEW     SP ADR SVG  87927Y201        308    31,415  SH                    X        3            31,415
TERADATA CORP DEL          COM         88076W103        217     9,268  SH                    X        3             9,268
TERADATA CORP DEL          COM         88076W103        532    22,702  SH              X              3   22,657                45
TETRA TECH INC NEW         COM         88162G103      2,899   101,200  SH              X              2  101,200
TETRA TECH INC NEW         COM         88162G103         72     2,500  SH                    X        3             2,500
TETRA TECH INC NEW         COM         88162G103        435    15,174  SH              X              3   13,477             1,697
3M CO                      COM         88579Y101        171     2,850  SH              X            1,3    2,850
3M CO                      COM         88579Y101         18       300  SH                    X      1,3      300
3M CO                      COM         88579Y101        361     6,000  SH              X              2                      6,000
3M CO                      COM         88579Y101     11,094   184,600  SH              X              2   89,700            94,900
3M CO                      COM         88579Y101      3,007    50,040  SH                    X        3    8,830   39,064    2,146
3M CO                      COM         88579Y101     13,805   229,697  SH              X              3  222,670    4,455    2,572
TIME WARNER CABLE INC      COM         88732J207          4       133  SH              X              2                        133
TIME WARNER CABLE INC      COM         88732J207      2,754    86,977  SH              X              2   34,020            52,957
TIME WARNER CABLE INC      COM         88732J207         78     2,451  SH                    X        3       25    1,644      782
TIME WARNER CABLE INC      COM         88732J207      1,000    31,564  SH              X              3   21,988       65    9,511
TORTOISE ENERGY INFR C     COM         89147L100      5,167   202,960  SH              X              3  202,960
TRIQUINT SEMICOND INC      COM         89674K103      3,420   644,100  SH              X              2  644,100
TRIQUINT SEMICOND INC      COM         89674K103        817   153,820  SH              X              3  143,973             9,847
U S AIRWAYS GROUP INC      COM         90341W108      1,317   542,071  SH              X              2  219,750           322,321
UNITEDHEALTH GROUP INC     COM         91324P102        200     8,000  SH              X              2    8,000
UNITEDHEALTH GROUP INC     COM         91324P102      1,619    64,805  SH              X              3   64,342      116      347
UNITEDHEALTH GROUP INC     COM         91324P102        159     6,377  SH                    X        3      100    3,916    2,361
UNUM GROUP                 COM         91529Y106         15       942  SH              X            1,3      942
UNUM GROUP                 COM         91529Y106          8       520  SH                    X        3               520
UNUM GROUP                 COM         91529Y106        325    20,508  SH              X              3   20,453                55
VALEANT PHARMS INTL        COM         91911X104        410    15,927  SH              X              3   14,333             1,594
VALERO ENERGY CORP NEW     COM         91913Y100        665    39,375  SH              X              2   39,375
VALERO ENERGY CORP NEW     COM         91913Y100        525    31,098  SH              X              3   30,984      114
VALERO ENERGY CORP NEW     COM         91913Y100         47     2,789  SH                    X        3             2,789
VARIAN MED SYS INC         COM         92220P105         26       749  SH                    X        3               419      330
VARIAN MED SYS INC         COM         92220P105        352    10,027  SH              X              3    2,685             7,342





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
VECTREN CORP               COM         92240G101        117     4,986  SH                    X        3    4,584      402
VECTREN CORP               COM         92240G101        221     9,415  SH              X              3    8,774               641
VEOLIA ENVIRONNEMENT       SPON ADR    92334N103        998    33,780  SH              X              3   33,780
VEOLIA ENVIRONNEMENT       SPON ADR    92334N103        641    21,700  SH                    X        3   18,800    2,900
VERIZON COMM INC           COM         92343V104        599    19,484  SH              X            1,3   19,484
VERIZON COMM INC           COM         92343V104         46     1,500  SH                    X      1,3    1,200      300
VERIZON COMM INC           COM         92343V104         94     3,064  SH              X              2                      3,064
VERIZON COMM INC           COM         92343V104     25,269   822,307  SH              X              2  501,905           320,402
VERIZON COMM INC           COM         92343V104      2,291    74,549  SH                    X        3   29,870   37,682    6,997
VERIZON COMM INC           COM         92343V104     19,777   643,562  SH              X              3  629,425    6,752    7,385
VERTEX PHARMS INC          COM         92532F100        584    16,222  SH              X              3   15,062             1,160
VIACOM INC NEW             CL B        92553P201      3,483   153,457  SH              X              2   58,659            94,798
VIACOM INC NEW             CL B        92553P201         39     1,720  SH                    X        3             1,720
VIACOM INC NEW             CL B        92553P201        492    21,653  SH              X              3   19,858      200    1,595
VISA INC                   COM CL A    92826C839      2,447    39,300  SH              X              2   20,000            19,300
VISA INC                   COM CL A    92826C839         56       902  SH              X              3      902
VISA INC                   COM CL A    92826C839         62     1,000  SH                    X        3             1,000
VODAFONE GROUP PLC NEW     SP ADR NEW  92857W209         85     4,375  SH              X              2                      4,375
VODAFONE GROUP PLC NEW     SP ADR NEW  92857W209        549    28,161  SH                    X        3      700   25,166    2,295
VODAFONE GROUP PLC NEW     SP ADR NEW  92857W209        392    20,113  SH              X              3   17,158      357    2,598
WASTE MGMT INC DEL         COM         94106L109      2,620    93,060  SH              X              2   93,060
WASTE MGMT INC DEL         COM         94106L109      4,337   154,013  SH              X              3  149,739      467    3,807
WASTE MGMT INC DEL         COM         94106L109        324    11,521  SH                    X        3    3,000    2,599    5,922
WELLPOINT INC              COM         94973V107         94     1,850  SH                    X        3             1,850
WELLPOINT INC              COM         94973V107      1,506    29,597  SH              X              3   28,953       56      588
WILLIAMS PIPELINE PART     COMUTLPIN   96950K103         25     1,400  SH              X              3    1,400
WILLIAMS PIPELINE PART     COMUTLPIN   96950K103        578    32,000  SH                    X        3            32,000
WINDSTREAM CORP            COM         97381W104        255    30,480  SH              X              2   30,480
WINDSTREAM CORP            COM         97381W104         27     3,247  SH                    X        3             3,247
WINDSTREAM CORP            COM         97381W104      1,691   202,319  SH              X              3  201,083      376      860
WYNDHAM WORLDWIDE CORP     COM         98310W108          4       304  SH                    X        3               304
WYNDHAM WORLDWIDE CORP     COM         98310W108        161    13,273  SH              X              3   13,188                85
XTO ENERGY INC             COM         98385X106        332     8,700  SH              X            1,3    8,550      150
XTO ENERGY INC             COM         98385X106         19       500  SH                    X      1,3      500
XTO ENERGY INC             COM         98385X106      1,554    40,737  SH              X              2   40,737
XTO ENERGY INC             COM         98385X106      1,295    33,965  SH                    X        3      832   33,133
XTO ENERGY INC             COM         98385X106     11,647   305,371  SH              X              3  292,744    1,741   10,886
XCEL ENERGY INC            COM         98389B100        251    13,625  SH              X              3   13,625
XCEL ENERGY INC            COM         98389B100         71     3,847  SH                    X        3             3,847
ZEP INC                    COM         98944B108        209    17,382  SH              X              3   17,382
ZIMMER HLDGS INC           COM         98956P102        544    12,762  SH              X              3   12,180       55      527
ZIMMER HLDGS INC           COM         98956P102        159     3,727  SH                    X        3      300    2,837      590
ZOLTEK COS INC             COM         98975W104         21     2,200  SH              X              3    2,200
ZOLTEK COS INC             COM         98975W104        541    55,638  SH                    X        3            55,638
AMDOCS LTD                 ORD         G02602103        345    16,065  SH              X              3    1,450            14,615
ASSURED GUARANTY LTD       COM         G0585R106         37     3,010  SH                    X        3                      3,010
ASSURED GUARANTY LTD       COM         G0585R106        118     9,508  SH              X              3    3,233             6,275
ACCENTURE LTD BERMUDA      CL A        G1150G111        634    18,936  SH                    X        3    1,431    7,022   10,483
ACCENTURE LTD BERMUDA      CL A        G1150G111      2,603    77,808  SH              X              3   35,294            42,514
BUNGE LIMITED              COM         G16962105         18       300  SH              X            1,3      300
BUNGE LIMITED              COM         G16962105        503     8,341  SH              X              3    8,341
BUNGE LIMITED              COM         G16962105         70     1,160  SH                    X        3             1,160
COOPER INDS LTD            CL A        G24182100         59     1,891  SH                    X        3             1,891
COOPER INDS LTD            CL A        G24182100        459    14,779  SH              X              3   14,520               259
COVIDIEN PLC               SHS         G2554F105        170     4,550  SH                    X        3             2,375    2,175
COVIDIEN PLC               SHS         G2554F105      1,208    32,263  SH              X              3    3,162            29,101
COVIDIEN, LTD.             SHS         G2554F105        126     3,375  SH              X              2                      3,375
ASA LIMITED                COM         G3156P103        300     4,742  SH              X              3    4,742
INGERSOLL-RAND CO LTD      CL A        G4776G101         44     2,090  SH              X            1,3    2,090
INGERSOLL-RAND CO LTD      CL A        G4776G101          2       100  SH                    X      1,3               100
INGERSOLL-RAND CO LTD      CL A        G4776G101      1,457    69,700  SH              X              2   69,700
INGERSOLL-RAND CO LTD      CL A        G4776G101         15       741  SH                    X        3               741
INGERSOLL-RAND CO LTD      CL A        G4776G101        342    16,380  SH              X              3   16,184       61      135
INVESCO LTD                SHS         G491BT108      3,881   217,749  SH              X              2  217,749
INVESCO LTD                SHS         G491BT108        263    14,745  SH                    X        3            12,475    2,270
INVESCO LTD                SHS         G491BT108        815    45,723  SH              X              3   39,933             5,790
MARVELL TECH GR LTD        ORD         G5876H105         30     2,594  SH                    X        3             1,094    1,500
MARVELL TECH GR LTD        ORD         G5876H105         90     7,769  SH              X              3    2,624             5,145
MAX CAPITAL GROUP LTD      SHS         G6052F103         39     2,120  SH                    X        3                      2,120
MAX CAPITAL GROUP LTD      SHS         G6052F103        287    15,561  SH              X              3   11,711             3,850
NABORS INDUSTRIES LTD      SHS         G6359F103        147     9,445  SH              X              2    9,445
NABORS INDUSTRIES LTD      SHS         G6359F103        342    21,922  SH                    X        3      400   21,522
NABORS INDUSTRIES LTD      SHS         G6359F103      5,396   346,311  SH              X              3  338,134    4,111    4,066
ONEBEACON INS GR LT        CL A        G67742109        177    15,130  SH              X              3   15,130
ONEBEACON INS GR LT        CL A        G67742109         52     4,430  SH                    X        3                      4,430
PARTNERRE LTD              COM         G6852T105      3,643    56,096  SH              X              2   56,096
PARTNERRE LTD              COM         G6852T105        878    13,511  SH              X              3   11,601             1,910
PLATINUM UNDWRITHLDGS L    COM         G7127P100         44     1,533  SH                    X        3               333    1,200
PLATINUM UNDWRITHLDGS L    COM         G7127P100        278     9,732  SH              X              3    7,542             2,190
SEAGATE TECHNOLOGY         SHS         G7945J104        838    80,118  SH              X              3   80,118
UTI WORLDWIDE INC          ORD         G87210103        316    27,686  SH              X              3   26,200             1,486
WILLIS GROUP HLDGS LTD     SHS         G96655108         43     1,655  SH                    X        3                      1,655
WILLIS GROUP HLDGS LTD     SHS         G96655108        427    16,606  SH              X              3   14,336             2,270
XL CAP LTD                 CL A        G98255105      1,625   141,800  SH              X              2  141,800
XL CAP LTD                 CL A        G98255105         97     8,454  SH              X              3    8,454
ACE LTD                    SHS         H0023R105      3,274    74,011  SH              X              2   74,011
ACE LTD                    SHS         H0023R105         48     1,092  SH                    X        3             1,092
ACE LTD                    SHS         H0023R105        773    17,497  SH              X              3   14,957             2,540
ALCON INC                  COM SH      H01301102         53       455  SH                    X        3      455
ALCON INC                  COM SH      H01301102        197     1,698  SH              X              3    1,698





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 06/30/2009

- - - - COL 1 - - - - - - -COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  -------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
----------------------------------------------------------------------------------------------------------------------------------
                                                                                   
WEATHERFORD INTRNL LT      REG         H27013103         60     3,058  SH              X              3    3,058
WEATHERFORD INTRNL LT      REG         H27013103        150     7,650  SH                    X        3             5,000    2,650
NOBLE CORP BAAR            NAMEN -AKT  H5833N103        162     5,343  SH              X              3    5,343
NOBLE CORP BAAR            NAMEN -AKT  H5833N103         79     2,607  SH                    X        3               322    2,285
TRANSOCEAN LTD             REG SHS     H8817H100          2        23  SH              X            1,3       23
TRANSOCEAN LTD             REG SHS     H8817H100          3        35  SH                    X      1,3       35
TRANSOCEAN LTD             REG SHS     H8817H100      7,329    98,656  SH              X              2   52,312            46,344
TRANSOCEAN LTD             REG SHS     H8817H100      1,397    18,806  SH                    X        3    4,179    9,829    4,798
TRANSOCEAN LTD             REG SHS     H8817H100      7,896   106,285  SH              X              3   92,219      415   13,651
TRANSOCEAN LTD             REG SHS     H8817H100        247     3,324  SH              X              2                      3,324
TYCO INTERNATIONAL         SHS         H89128104         85     3,275  SH              X              2                      3,275
TYCO INTERNATIONAL LTD     SHS         H89128104        303    11,653  SH                    X        3             5,118    6,535
TYCO INTERNATIONAL LTD     SHS         H89128104      1,561    60,069  SH              X              3   10,344            49,725
UBS AG                     SHS NEW     H89231338          2       146  SH              X              2      146
UBS AG                     SHS NEW     H89231338        168    13,774  SH                    X        3            10,742    3,032
UBS AG                     SHS NEW     H89231338        134    10,955  SH              X              3    5,924             5,031
MILLICOM INTL CELL SA      SHS NEW     L6388F110         72     1,282  SH                    X        3               407      875
MILLICOM INTL CELL SA      SHS NEW     L6388F110        170     3,019  SH              X              3    1,503             1,516
CHECKPOINT SFTWRTECH LT    ORD         M22465104      1,810    77,100  SH              X              2   77,100
CHECKPOINT SFTWRTECH LT    ORD         M22465104         14       605  SH              X              3      605
CHECKPOINT SFTWRTECH LT    ORD         M22465104         18       785  SH                    X        3               295      490
AERCAP HOLDINGS NV         SHS         N00985106        147    20,300  SH              X              3   20,300
ASML HOLDING N V           NY REG SH   N07059186      1,548    71,500  SH              X              2   71,500
ASML HOLDING N V           NY REG SH   N07059186         34     1,550  SH              X              3    1,550
ROYAL CARIBBEAN CRUISES    COM         V7780T103         68     5,000  SH              X              2                      5,000
ROYAL CARIBBEAN CRUISES    COM         V7780T103      1,759   129,894  SH              X              2  129,894
ROYAL CARIBBEAN CRUISES    COM         V7780T103        386    28,547  SH              X              3   28,547
ROYAL CARIBBEAN CRUISES    COM         V7780T103         36     2,626  SH                    X        3             2,626
FLEXTRONICS INTL LTD       ORD         Y2573F102      5,920 1,426,476  SH              X              2  582,398           844,078
FLEXTRONICS INTL LTD       ORD         Y2573F102         50    11,987  SH                    X        3             3,647    8,340
FLEXTRONICS INTL LTD       ORD         Y2573F102        130    31,327  SH              X              3   10,999            20,328