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

                             Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   03/31/2007

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

Institutional Investment Manager Filing this Report:

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

Form 13F File Number: 28-272

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

Person Signing this Report on Behalf of Reporting Manager:

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

Signature, Place, and Date of Signing:


    /s/Jeffrey O. Himstreet              Milwaukee, WI        4/13/07
_________________________________     ________________      __________

        [Signature]                      [City, State]         [Date]

Report Type (Check only one.):

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

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

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


                                Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    2

Form 13F Information Table Entry Total:               1,849

Form 13F Information Table Value Total:             $ 5,342,673
                                                    (thousands)

List of Other Included Mangers:

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

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

    No.   Form 13F File Number                  Name
    ___   ____________________  _____________________________________

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

    05         28-274           M&I Investment Management Corp.




REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
DAIMLERCHRYSLER AG        ORD             D1668R123         186     3,024SH      X           01        3,024
ACE LTD                   ORD             G0070K103      11,365   199,176SH      X             01      199,176
ACE LTD                   ORD             G0070K103          10       167SH              X     01                  167
ASSURED GUARANTY LTD      COM             G0585R106       4,290   157,032SH      X             01      156,848               184
ACCENTURE LTD BERMUDA     CL A            G1150G111       1,655    42,955SH      X             01       38,755             4,200
ACCENTURE LTD BERMUDA     CL A            G1150G111         214     5,549SH              X     01          435   5,114
COOPER INDS LTD           CL A            G24182100         461    10,253SH      X             01       10,165                88
COOPER INDS LTD           CL A            G24182100          22       484SH              X     01                  484
FRONTLINE LTD             SHS             G3682E127         317     8,930SH      X             01        8,930
GARMIN LTD                ORD             G37260109         409     7,550SH      X             01        6,285             1,265
GARMIN LTD                ORD             G37260109         172     3,170SH              X     01                3,170
GLOBALSANTAFE CORP        SHS             G3930E101       9,213   149,360SH      X             01      146,120   2,360       880
GLOBALSANTAFE CORP        SHS             G3930E101       1,642    26,626SH              X     01        5,175  21,451
INGERSOLL-RAND COMPANY    CL A            G4776G101         583    13,450SH      X             01       13,402      48
INGERSOLL-RAND COMPANY    CL A            G4776G101          76     1,760SH              X     01                1,760
MARVELL TECHNOLOGY GRP    ORD             G5876H105       1,564    93,062SH      X             01       93,062
MARVELL TECHNOLOGY GRP    ORD             G5876H105          40     2,372SH              X     01          150   2,222
MAX RE CAPITAL LTD        SHS             G6052F103         290    11,400SH      X             01       11,400
NABORS INDUSTRIES LTD     SHS             G6359F103         409    13,774SH      X             01       13,684      90
NABORS INDUSTRIES LTD     SHS             G6359F103          12       394SH              X     01                  394
NOBLE CORPORATION         SHS             G65422100       2,083    26,477SH      X             01       26,452                25
NOBLE CORPORATION         SHS             G65422100           3        41SH              X     01                   41
ORIENT-EXPRESS HOTELS     CL A            G67743107         520     8,700SH      X             01        8,700
PARTNERRE LTD             COM             G6852T105      11,909   173,755SH      X             01      173,755
RENAISSANCERE HOLDINGS    COM             G7496G103       4,982    99,354SH      X             01       96,341   1,210     1,803
RENAISSANCERE HOLDINGS    COM             G7496G103         756    15,070SH              X     01               15,070
SEAGATE TECHNOLOGY        SHS             G7945J104         631    27,099SH      X             01       27,099
SHIP FINANCE INTERNATNL   SHS             G81075106       1,030    37,535SH      X             01       35,005   2,530
SHIP FINANCE INTERNATNL   SHS             G81075106          36     1,300SH              X     01                1,300
SINA CORP                 ORD             G81477104       3,067    91,254SH      X             01       91,138               116
SMART MODULAR TECHNLGS    ORD SHS         G82245104       1,846   144,317SH      X             01      144,041               276
TRANSOCEAN INC            ORD             G90078109       3,468    42,445SH      X             01       42,396      49
TRANSOCEAN INC            ORD             G90078109         278     3,400SH              X     01        2,065   1,335
VISTAPRINT LIMITED        SHS             G93762204       2,677    69,901SH      X             01       69,766               135
WEATHERFORD INTERNTNL     COM             G95089101         606    13,447SH      X             01       13,447
WEATHERFORD INTERNTNL     COM             G95089101         123     2,735SH              X     01                2,735
WILLIS GROUP HOLDINGS     SHS             G96655108       2,039    51,505SH      X             01       48,505             3,000
XL CAP LTD                CL A            G98255105      23,823   340,523SH      X             01      337,924   1,270     1,329
XL CAP LTD                CL A            G98255105       1,360    19,435SH              X     01               19,435
ALCON INC                 COM SHS         H01301102       1,673    12,691SH      X             01       12,261     430
ALCON INC                 COM SHS         H01301102         176     1,335SH              X     01        1,335
LOGITECH INTL S A         SHS             H50430232         458    16,447SH      X             01       13,032             3,415
LOGITECH INTL S A         SHS             H50430232          24       866SH              X     01                  866
UBS AG                    SHS NEW         H89231338       7,233   121,699SH      X             01      119,977      80     1,642
UBS AG                    SHS NEW         H89231338         892    15,004SH              X     01               15,004
MILLICOM INTL CELLULAR    SHS NEW         L6388F110       1,437    18,343SH      X             01       18,343
CHECK POINT SOFTWARE      ORD             M22465104       1,905    85,485SH      X             01       84,260             1,225
CHECK POINT SOFTWARE      ORD             M22465104          18       805SH              X     01                  805
GILAT SATELLITE NETWRKS   SHS NEW         M51474118       1,528   185,181SH      X             01      184,830               351
ASML HLDG NV              N Y SHS         N07059111       1,347    54,411SH      X             01       54,411
ORTHOFIX INTL N V         COM             N6748L102       1,384    27,111SH      X             01       27,060                51
GENCO SHIPPING & TRDNG    SHS             Y2685T107       1,637    51,520SH      X             01       51,423                97
QUINTANA MARITIME LTD     SHS             Y7169G109         296    21,500SH      X             01       21,500
AAR CORP                  COM             000361105       2,837   102,951SH      X             01      102,792               159
ABB LTD                   SPONSORED ADR   000375204       2,705   157,467SH      X             01      149,063             8,404
ABB LTD                   SPONSORED ADR   000375204          24     1,400SH              X     01                1,400
ACCO BRANDS CORP          COM             00081T108         647    26,839SH      X             01       26,839
ACCO BRANDS CORP          COM             00081T108          23       965SH              X     01           76     889
ABN AMRO HLDG NV          SPONSORED ADR   000937102         201     4,670SH      X             01        4,670
ABN AMRO HLDG NV          SPONSORED ADR   000937102           6       145SH              X     01                  145
AFC ENTERPRISES INC       COM             00104Q107         262    13,050SH      X             01       13,050
AFLAC INC                 COM             001055102       1,049    22,298SH      X             01       21,524      87       687
AFLAC INC                 COM             001055102         116     2,462SH              X     01        1,600     862
AES CORP                  COM             00130H105         922    42,837SH      X             01       42,322     251       264
AES CORP                  COM             00130H105         169     7,856SH              X     01        1,543   6,313
AT&T INC                  COM             00206R102      54,536 1,383,098SH      X             01    1,376,420   3,831     2,847
AT&T INC                  COM             00206R102       8,369   212,249SH              X     01       24,606 181,927     5,716
AVI BIOPHARMA INC         COM             002346104         228    85,000SH      X             01       85,000
ABBOTT LABS               COM             002824100      29,454   527,844SH      X             01      496,691  20,807    10,346
ABBOTT LABS               COM             002824100       7,360   131,897SH              X     01       18,907  94,418    18,572
ACTIVISION INC NEW        COM NEW         004930202       2,045   107,980SH      X             01      107,980
ACTUANT CORP              CL A NEW        00508X203         168     3,300SH      X             01        3,300
ACTUANT CORP              CL A NEW        00508X203          81     1,600SH              X     01                1,600
ACUITY BRANDS INC         COM             00508Y102         329     6,045SH      X             01        6,045
ADOBE SYS INC             COM             00724F101       3,459    82,960SH      X             01       82,709     130       121
ADOBE SYS INC             COM             00724F101          19       461SH              X     01                  461
DADVANTAGE ENERGY INC FD   TR UNIT         00762L101         247    24,010SH      X             01       24,010
ADVISORY BRD CO           COM             00762W107       2,703    53,389SH      X             01       53,287               102
AEROPOSTALE               COM             007865108       1,652    41,063SH      X             01       41,063
AEROPOSTALE               COM             007865108          44     1,090SH              X     01                1,090
AEGON N V                 ORD AMER REG    007924103         280    14,046SH      X             01       11,828             2,218
AEGON N V                 ORD AMER REG    007924103         308    15,448SH              X     01               15,448
AETNA INC NEW             COM             00817Y108       1,325    30,267SH      X             01       30,141      80        46
AETNA INC NEW             COM             00817Y108         445    10,157SH              X     01               10,157
AFFILIATED COMPUTER SRV   CL A            008190100       1,093    18,571SH      X             01       18,536                35
AFFILIATED COMPUTER SRV   CL A            008190100          24       415SH              X     01          400      15
AFFILIATED MANAGERS GRP   COM             008252108       8,841    81,601SH      X             01       81,553                48
AGILENT TECHNOLOGIES      COM             00846U101         119     3,523SH      X             01        3,523
AGILENT TECHNOLOGIES      COM             00846U101          84     2,482SH              X     01                2,482
AGRIUM INC                COM             008916108         421    10,980SH      X             01       10,980





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
AIR PRODS & CHEMS INC     COM             009158106       2,568    34,717SH      X             01       30,617   1,100     3,000
AIR PRODS & CHEMS INC     COM             009158106       1,337    18,076SH              X     01       10,000   8,076
AIRGAS INC                COM             009363102         362     8,582SH      X             01        8,582
AKAMAI TECHNOLOGIES INC   COM             00971T101       4,149    83,107SH      X             01       82,833     230        44
AKAMAI TECHNOLOGIES INC   COM             00971T101         108     2,163SH              X     01          725   1,438
AKZO NOBEL NV             SPONSORED ADR   010199305         215     2,834SH      X             01        2,582               252
AKZO NOBEL NV             SPONSORED ADR   010199305         112     1,480SH              X     01                1,480
ALBANY INTL CORP          CL A            012348108         248     6,902SH      X             01        6,902
ALBEMARLE CORP            COM             012653101         156     3,779SH      X             01        3,779
ALBEMARLE CORP            COM             012653101          58     1,394SH              X     01                  944       450
ALCOA INC                 COM             013817101       4,703   138,725SH      X             01      135,520   2,814       391
ALCOA INC                 COM             013817101       1,658    48,908SH              X     01       21,575  27,333
ALCATEL-LUCENT            SPONSORED ADR   013904305         387    32,760SH      X             01       32,760
ALCATEL-LUCENT            SPONSORED ADR   013904305          38     3,186SH              X     01                3,186
ALEXION PHARMACEUTICLS    COM             015351109       3,653    84,485SH      X             01       84,396                89
ALLEGHENY ENERGY INC      COM             017361106         945    19,221SH      X             01       19,112     109
ALLEGHENY ENERGY INC      COM             017361106          28       562SH              X     01                  562
ALLEGHENY TECHNOLOGIES    COM             01741R102       1,192    11,171SH      X             01       11,126                45
ALLEGHENY TECHNOLOGIES    COM             01741R102          40       372SH              X     01                  372
ALLERGAN INC              COM             018490102       2,738    24,709SH      X             01       23,775               934
ALLERGAN INC              COM             018490102          24       220SH              X     01                  220
ALLETE INC                COM NEW         018522300         323     6,934SH      X             01        6,934
ALLETE INC                COM NEW         018522300          23       486SH              X     01                  486
ALLIANCE DATA SYSTEMS     COM             018581108       1,907    30,954SH      X             01       30,954
ALLIANT ENERGY CORP       COM             018802108       2,850    63,582SH      X             01       63,408     174
ALLIANT ENERGY CORP       COM             018802108         416     9,275SH              X     01        1,076   7,999       200
ALLIANT TECHSYSTEMS INC   COM             018804104      11,221   127,630SH      X             01      127,630
ALLIANZ SE                SP ADR 1/10 SH  018805101         127     6,181SH      X             01        3,775             2,406
ALLIANZ SE                SP ADR 1/10 SH  018805101         102     4,940SH              X     01                4,940
ALLIANCEBERNSTN INC FD    COM             01881E101          67     8,021SH      X             01        8,021
ALLIANCEBERNSTN INC FD    COM             01881E101          20     2,403SH          X         01        1,200   1,203
ALLIANCEBERNSTEIN HLDNG   UNIT LTD PARTN  01881G106          27       300SH      X             01          300
ALLIANCEBERNSTEIN HLDNG   UNIT LTD PARTN  01881G106         549     6,200SH              X     01                6,200
ALLIED CAP CORP NEW       COM             01903Q108         202     7,025SH      X             01        7,025
ALLIED CAP CORP NEW       COM             01903Q108          61     2,125SH              X     01        1,625     500
ALLIED IRISH BKS P L C    SPON ADR ORD    019228402         353     5,900SH      X             01        5,900
ALLIED IRISH BKS P L C    SPON ADR ORD    019228402         130     2,165SH              X     01                2,165
ALLIED WASTE INDS INC     COM PAR$.01NEW  019589308         242    19,221SH      X             01       19,221
ALLSTATE CORP             COM             020002101       6,377   106,174SH      X             01      106,055      65        54
ALLSTATE CORP             COM             020002101         657    10,934SH              X     01          662  10,272
ALLTEL CORP               COM             020039103      10,176   164,121SH      X             01      164,091                30
ALLTEL CORP               COM             020039103         166     2,675SH              X     01                2,675
ALTERA CORP               COM             021441100         520    26,017SH      X             01       25,851               166
ALTERA CORP               COM             021441100          16       795SH              X     01                  795
ALTRIA GROUP INC          COM             02209S103      51,688   588,636SH      X             01      578,148   6,508     3,980
ALTRIA GROUP INC          COM             02209S103      20,963   238,726SH              X     01       12,085 214,041    12,600
ALUMINA LTD               SPONSORED ADR   022205108         484    20,540SH              X     01               20,540
AMBAC FINL GROUP INC      COM             023139108      15,326   177,401SH      X             01      177,365      36
AMBAC FINL GROUP INC      COM             023139108          82       947SH              X     01                  947
AMEREN CORP               COM             023608102       8,431   167,624SH      X             01      166,364      70     1,190
AMEREN CORP               COM             023608102         323     6,418SH              X     01          200   6,218
AMERICA MOVIL SAB DE CV   SPON ADR L SHS  02364W105       2,911    60,921SH      X             01       58,448             2,473
AMERICA MOVIL SAB DE CV   SPON ADR L SHS  02364W105         244     5,116SH              X     01           76   5,040
AMCORE FINL INC           COM             023912108          27       859SH      X             01          859
AMCORE FINL INC           COM             023912108         486    15,297SH              X     01       15,297
AMERICAN CAPITAL STRTGS   COM             024937104       1,420    32,036SH      X             01       31,116     920
AMERICAN CAPITAL STRTGS   COM             024937104          66     1,500SH              X     01        1,500
AMERICAN COMMERCL LNS     COM NEW         025195207       1,461    46,447SH      X             01       46,359                88
AMERICAN EAGLE OUTFTTRS   COM             02553E106       1,475    49,186SH      X             01       49,186
AMERICAN EAGLE OUTFTTRS   COM             02553E106          65     2,161SH              X     01                2,161
AMERICAN ELEC PWR INC     COM             025537101       2,659    54,539SH      X             01       53,429      15     1,095
AMERICAN ELEC PWR INC     COM             025537101         145     2,975SH              X     01          582   2,393
AMERICAN EXPRESS CO       COM             025816109       7,806   138,397SH      X             01      133,753   2,522     2,122
AMERICAN EXPRESS CO       COM             025816109       2,331    41,332SH              X     01       25,750  15,482       100
AMERICAN INTL GROUP INC   COM             026874107      26,621   396,026SH      X             01      377,637   8,151    10,238
AMERICAN INTL GROUP INC   COM             026874107       3,327    49,491SH              X     01       11,349  37,891       251
AMERICAN STD COS INC      COM             029712106         812    15,318SH      X             01       15,180      66        72
AMERICAN STD COS INC      COM             029712106          16       304SH              X     01                  304
AMERICAN STS WTR CO       COM             029899101         539    14,610SH      X             01       14,460     150
AMERICAN TOWER CORP       CL A            029912201       2,902    74,506SH      X             01       74,506
AMERICAN TOWER CORP       CL A            029912201         135     3,472SH              X     01                3,472
AMERICAN TECHNOLOGY       COM NEW         030145205          40    10,000SH              X     01               10,000
AMERISAFE INC             COM             03071H100       3,230   171,347SH      X             01      171,023               324
AMERISOURCEBERGEN CORP    COM             03073E105      13,810   261,807SH      X             01      261,752                55
AMERISOURCEBERGEN CORP    COM             03073E105          36       685SH              X     01                  685
AMERIPRISE FINL INC       COM             03076C106       4,344    76,023SH      X             01       75,969                54
AMERIPRISE FINL INC       COM             03076C106         235     4,114SH              X     01          345   3,769
AMGEN INC                 COM             031162100      16,485   295,016SH      X             01      288,903   3,779     2,334
AMGEN INC                 COM             031162100       1,227    21,955SH              X     01          760  21,083       112
AMPHENOL CORP NEW         CL A            032095101       1,857    28,766SH      X             01       28,766
AMPHENOL CORP NEW         CL A            032095101          55       847SH              X     01                  847
ANADARKO PETE CORP        COM             032511107       1,392    32,392SH      X             01       31,152      60     1,180
ANADARKO PETE CORP        COM             032511107         354     8,225SH              X     01                8,225
ANADIGICS INC             COM             032515108       1,278   108,119SH      X             01      107,912               207
ANALOG DEVICES INC        COM             032654105       7,655   221,935SH      X             01      218,785     775     2,375
ANALOG DEVICES INC        COM             032654105         683    19,806SH              X     01               18,806     1,000
ANCHOR BANCORP WIS INC    COM             032839102         261     9,198SH      X             01        9,198
ANCHOR BANCORP WIS INC    COM             032839102         700    24,680SH              X     01               24,680
ANDREW CORP               COM             034425108         919    86,804SH      X             01       86,804
ANDREW CORP               COM             034425108           1       100SH              X     01                  100





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
IANGLO AMERN PLC           ADR             03485P102         357    13,500SH      X             01       13,500
ANGLO AMERN PLC           ADR             03485P102         125     4,726SH              X     01                4,726
ANGLOGOLD ASHANTI LTD     SPONSORED ADR   035128206          56     1,260SH      X             01        1,260
ANGLOGOLD ASHANTI LTD     SPONSORED ADR   035128206         565    12,677SH              X     01               12,677
ANHEUSER BUSCH COS INC    COM             035229103       6,348   125,811SH      X             01      120,962   3,463     1,386
ANHEUSER BUSCH COS INC    COM             035229103       4,597    91,105SH              X     01       27,532  63,573
ANSYS INC                 COM             03662Q105       3,780    74,453SH      X             01       74,372                81
ANTHRACITE CAP INC        COM             037023108         190    15,850SH      X             01       15,850
AON CORP                  COM             037389103         469    12,348SH      X             01       12,348
AON CORP                  COM             037389103         136     3,583SH              X     01                3,583
APACHE CORP               COM             037411105      13,705   193,853SH      X             01      191,855     357     1,641
APACHE CORP               COM             037411105         930    13,158SH              X     01        1,450  11,708
APARTMENT INVT & MGMT     CL A            03748R101       5,305    91,961SH      X             01       91,606               355
APARTMENT INVT & MGMT     CL A            03748R101         123     2,140SH              X     01                2,140
APOGEE ENTERPRISES INC    COM             037598109       2,381   118,830SH      X             01      118,604               226
APOGEE ENTERPRISES INC    COM             037598109          80     4,000SH              X     01                4,000
APOLLO GROUP INC          CL A            037604105         216     4,918SH      X             01        4,918
APOLLO GROUP INC          CL A            037604105           7       168SH              X     01                  168
APOLLO INVT CORP          COM             03761U106         206     9,622SH      X             01        9,622
APOLLO INVT CORP          COM             03761U106          24     1,112SH              X     01                1,112
APPLE INC                 COM             037833100      12,661   136,274SH      X             01      133,899     190     2,185
APPLE INC                 COM             037833100         562     6,053SH              X     01        1,722   4,331
APPLEBEES INTL INC        COM             037899101         215     8,670SH      X             01        8,670
APRIA HEALTHCARE GROUP    COM             037933108         294     9,113SH      X             01        9,113
APPLERA CORP              COM AP BIO GRP  038020103         989    33,434SH      X             01       33,234     200
APPLERA CORP              COM AP BIO GRP  038020103           3       100SH              X     01                  100
APPLERA CORP              COM CELERA GRP  038020202       1,476   103,926SH      X             01      103,730               196
APPLIED MATLS INC         COM             038222105      11,296   616,574SH      X             01      605,545   4,397     6,632
APPLIED MATLS INC         COM             038222105         697    38,044SH              X     01        1,675  36,369
AQUILA INC                COM             03840P102         114    27,382SH      X             01       14,702            12,680
ARCADIA RES INC           COM             039209101          40    20,000SH      X             01       20,000
ARCELOR MITTAL            NY REG SH CL A  03937E101         561    10,600SH      X             01       10,600
ARCHER DANIELS MIDLAND    COM             039483102       5,348   145,734SH      X             01      145,534     200
ARCHER DANIELS MIDLAND    COM             039483102         136     3,694SH              X     01                2,558     1,136
ARCHSTONE SMITH TR        COM             039583109       4,897    90,217SH      X             01       89,877      15       325
ARCHSTONE SMITH TR        COM             039583109          46       850SH              X     01                  850
ARENA RESOURCES INC       COM             040049108       2,922    58,295SH      X             01       58,184               111
ARM HLDGS PLC             SPONSORED ADR   042068106         157    19,950SH      X             01       19,950
ARMOR HOLDINGS INC        COM             042260109       1,491    22,145SH      X             01       22,145
ARROW ELECTRS INC         COM             042735100       8,634   228,721SH      X             01      228,721
ARVINMERITOR INC          COM             043353101         211    11,559SH      X             01       11,559
ARVINMERITOR INC          COM             043353101           1        49SH              X     01                   49
ASHLAND INC NEW           COM             044209104         387     5,897SH      X             01        5,872                25
ASHLAND INC NEW           COM             044209104          66     1,010SH              X     01                1,010
ASSOCIATED BANC CORP      COM             045487105       7,388   219,891SH      X             01      195,742   4,657    19,492
ASSOCIATED BANC CORP      COM             045487105       2,573    76,575SH              X     01        4,878  71,697
ATWOOD OCEANICS INC       COM             050095108       2,913    49,635SH      X             01       49,544                91
AUTODESK INC              COM             052769106       6,237   165,889SH      X             01      165,889
AUTODESK INC              COM             052769106          23       602SH              X     01                  602
AUTOLIV INC               COM             052800109      10,331   180,905SH      X             01      180,905
AUTOLIV INC               COM             052800109         174     3,045SH              X     01          613   2,126       306
AUTOMATIC DATA PROCSSNG   COM             053015103       1,791    36,998SH      X             01       36,898      55        45
AUTOMATIC DATA PROCSSNG   COM             053015103       1,323    27,332SH              X     01          600  26,732
AUTONATION INC            COM             05329W102         240    11,285SH      X             01       11,147     138
AUTONATION INC            COM             05329W102           7       326SH              X     01                  326
AUTOZONE INC              COM             053332102         908     7,083SH      X             01        7,034      22        27
AUTOZONE INC              COM             053332102          34       269SH              X     01                  269
AVALONBAY CMNTYS INC      COM             053484101         843     6,484SH      X             01        6,484
AVAYA INC                 COM             053499109         447    37,828SH      X             01       37,639               189
AVAYA INC                 COM             053499109           9       795SH              X     01           21     774
AVERY DENNISON CORP       COM             053611109       2,610    40,623SH      X             01       40,458      10       155
AVERY DENNISON CORP       COM             053611109         301     4,680SH              X     01                4,680
AVIS BUDGET GROUP         COM             053774105         226     8,261SH      X             01        8,261
AVIS BUDGET GROUP         COM             053774105          29     1,060SH              X     01                1,060
AVNET INC                 COM             053807103         914    25,290SH      X             01       25,290
AVON PRODS INC            COM             054303102         683    18,337SH      X             01       18,328       9
AVON PRODS INC            COM             054303102           3        71SH              X     01                   71
BB&T CORP                 COM             054937107       9,641   235,021SH      X             01      233,334     106     1,581
BB&T CORP                 COM             054937107         126     3,078SH              X     01        3,078
B & G FOODS INC NEW       UNIT 99/99/9999 05508R205          47     2,000SH      X             01        2,000
B & G FOODS INC NEW       UNIT 99/99/9999 05508R205         351    15,000SH              X     01               15,000
B A S F  A G              SPONSORED ADR   055262505         249     2,215SH      X             01        2,215
B A S F  A G              SPONSORED ADR   055262505         125     1,115SH              X     01                1,115
BJS WHOLESALE CLUB INC    COM             05548J106      10,493   310,180SH      X             01      310,180
BJ SVCS CO                COM             055482103         320    11,471SH      X             01       11,396                75
BJ SVCS CO                COM             055482103          13       478SH              X     01                  478
BP PLC                    SPONSORED ADR   055622104      12,926   199,631SH      X             01      187,068   7,493     5,070
BP PLC                    SPONSORED ADR   055622104       6,865   106,023SH              X     01       19,653  79,737     6,633
BPZ ENERGY INC            COM             055639108       3,327   554,428SH      X             01      553,381             1,047
BMC SOFTWARE INC          COM             055921100       1,653    53,701SH      X             01       51,681     200     1,820
BMC SOFTWARE INC          COM             055921100          41     1,346SH              X     01                1,346
BADGER METER INC          COM             056525108      26,106   983,288SH      X             01       97,028           886,260
BADGER METER INC          COM             056525108         499    18,800SH              X     01        2,200  16,600
BAKER HUGHES INC          COM             057224107         874    13,212SH      X             01       13,212
BAKER HUGHES INC          COM             057224107          32       490SH              X     01                  490
BALL CORP                 COM             058498106         914    19,936SH      X             01       19,894                42
BALL CORP                 COM             058498106          46       997SH              X     01          870     127
BANCO SANTANDER CENT      ADR             05964H105         227    12,713SH      X             01       12,713
BANCO SANTANDER CENT      ADR             05964H105          84     4,710SH              X     01                4,710
BANK OF AMERICA CORP      COM             060505104      55,658 1,090,902SH      X             01    1,072,272   9,306     9,324





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
BANK OF AMERICA CORP      COM             060505104       6,724   131,783SH              X     01       20,904 110,879
BANK MUTUAL CORP NEW      COM             063750103         296    26,021SH      X             01       26,021
BANK MUTUAL CORP NEW      COM             063750103         199    17,506SH              X     01               17,506
BANK NEW YORK INC         COM             064057102       5,580   137,606SH      X             01      132,130   1,067     4,409
BANK NEW YORK INC         COM             064057102         453    11,166SH              X     01          200   6,366     4,600
BANKUNITED FINL CORP      CL A            06652B103         218    10,262SH      X             01       10,262
BARCLAYS BK PLC           DJAIG CMDTY 36  06738C778         516    10,158SH      X             01       10,158
BARCLAYS PLC              ADR             06738E204         354     6,220SH      X             01        6,220
BARCLAYS PLC              ADR             06738E204           9       150SH              X     01                  150
BARD C R INC              COM             067383109       3,073    38,655SH      X             01       38,574      54        27
BARD C R INC              COM             067383109       1,745    21,950SH              X     01       16,400   5,550
BARRICK GOLD CORP         COM             067901108         152     5,325SH      X             01        5,325
BARRICK GOLD CORP         COM             067901108       1,316    46,085SH              X     01               46,085
BAXTER INTL INC           COM             071813109      15,449   293,315SH      X             01      293,266                49
BAXTER INTL INC           COM             071813109       1,149    21,822SH              X     01       13,272   8,550
BE AEROSPACE INC          COM             073302101       3,925   123,827SH      X             01      123,597               230
BE AEROSPACE INC          COM             073302101          18       565SH              X     01          234     331
BEAR STEARNS COS INC      COM             073902108       8,872    59,010SH      X             01       58,830               180
BEAR STEARNS COS INC      COM             073902108         132       875SH              X     01                  875
BECTON DICKINSON & CO     COM             075887109       1,701    22,119SH      X             01       20,694      40     1,385
BECTON DICKINSON & CO     COM             075887109          15       198SH              X     01                  198
BED BATH & BEYOND INC     COM             075896100         226     5,627SH      X             01        5,587      40
BED BATH & BEYOND INC     COM             075896100           5       114SH              X     01                  114
BELDEN CDT INC            COM             077454106         596    11,118SH      X             01       11,118
BEMIS INC                 COM             081437105         585    17,521SH      X             01       17,521
BEMIS INC                 COM             081437105           8       245SH              X     01                  245
BENIHANA INC              CL A            082047200       1,212    42,855SH      X             01       42,773                82
BERKLEY W R CORP          COM             084423102       2,447    73,885SH      X             01       73,885
BERKLEY W R CORP          COM             084423102          51     1,545SH              X     01                1,545
BERKSHIRE HATHAWAY INC    CL A            084670108         218         2SH      X             01            2
BERKSHIRE HATHAWAY INC    CL A            084670108       1,526        14SH              X     01                   12         2
BERKSHIRE HATHAWAY INC    CL B            084670207       3,760     1,033SH      X             01          943      15        75
BERKSHIRE HATHAWAY INC    CL B            084670207       1,616       444SH              X     01           13     391        40
BEST BUY INC              COM             086516101       6,500   133,409SH      X             01      132,115   1,115       179
BEST BUY INC              COM             086516101       1,719    35,286SH              X     01       14,687  20,599
BHP BILLITON LTD          SPONSORED ADR   088606108         136     2,806SH      X             01        2,143               663
BHP BILLITON LTD          SPONSORED ADR   088606108         596    12,300SH              X     01          900  11,400
BIG LOTS INC              COM             089302103       2,938    93,936SH      X             01       93,815               121
BIG LOTS INC              COM             089302103           5       155SH              X     01                  155
BIO-REFERENCE LABS INC    COM $.01 NEW    09057G602         888    34,979SH      X             01       34,912                67
BIO RAD LABS INC          CL A            090572207         230     3,300SH      X             01        3,300
BIOMARIN PHARMACEUTIC     COM             09061G101       4,351   252,089SH      X             01      251,822               267
BIOMET INC                COM             090613100         332     7,812SH      X             01        7,702     110
BIOMET INC                COM             090613100         109     2,561SH              X     01          500   2,061
BIOGEN IDEC INC           COM             09062X103       2,764    62,279SH      X             01       62,239                40
BIOGEN IDEC INC           COM             09062X103          41       925SH              X     01                  925
BIOVAIL CORP              COM             09067J109      10,896   498,463SH      X             01      498,463
BLACK & DECKER CORP       COM             091797100       2,855    34,974SH      X             01       34,919      23        32
BLACK & DECKER CORP       COM             091797100           6        73SH              X     01                   73
BLACKROCK INC             COM             09247X101       1,134     7,255SH      X             01        7,255
BLACKROCK INC             COM             09247X101          27       170SH              X     01          170
BLOCK H & R INC           COM             093671105       3,823   181,708SH      X             01      181,566     114        28
BLOCK H & R INC           COM             093671105         121     5,750SH              X     01        1,600   4,150
BLOCKBUSTER INC           CL A            093679108       4,848   752,757SH      X             01      751,925               832
BOEING CO                 COM             097023105      26,831   301,779SH      X             01      293,983   2,339     5,457
BOEING CO                 COM             097023105       2,223    24,998SH              X     01        2,300  22,414       284
BON-TON STORES INC        COM             09776J101       2,456    43,666SH      X             01       43,583                83
BORG WARNER INC           COM             099724106         865    11,465SH      X             01       11,465
BOSTON PROPERTIES INC     COM             101121101       2,357    20,076SH      X             01       20,046                30
BOSTON PROPERTIES INC     COM             101121101          30       256SH              X     01                  256
BOSTON SCIENTIFIC CORP    COM             101137107         681    46,820SH      X             01       46,820
BOSTON SCIENTIFIC CORP    COM             101137107          47     3,239SH              X     01          621   2,618
BRADY CORP                CL A            104674106         113     3,611SH      X             01        3,011     600
BRADY CORP                CL A            104674106       1,540    49,347SH              X     01          111  48,836       400
BRIGGS & STRATTON CORP    COM             109043109       1,770    57,373SH      X             01       57,373
BRIGGS & STRATTON CORP    COM             109043109         454    14,720SH              X     01        2,300   8,420     4,000
BRINKER INTL INC          COM             109641100       2,224    67,998SH      X             01       67,998
BRINKS CO                 COM             109696104         288     4,541SH      X             01        4,541
BRISTOL MYERS SQUIBB      COM             110122108      18,587   669,552SH      X             01      662,606   4,014     2,932
BRISTOL MYERS SQUIBB      COM             110122108       2,147    77,334SH              X     01        6,853  64,449     6,032
BROADCOM CORP             CL A            111320107       2,261    70,496SH      X             01       70,376               120
BROADCOM CORP             CL A            111320107           9       283SH              X     01                  283
BROCADE COMMUNICATIONS    COM             111621108          93     9,810SH      X             01        9,810
BROCADE COMMUNICATIONS    COM             111621108          17     1,778SH              X     01                1,778
BROOKFIELD ASSET MGMT     CL A LTD VT SH  112585104         198     3,780SH      X             01        3,780
BROOKFIELD ASSET MGMT     CL A LTD VT SH  112585104         115     2,207SH              X     01                2,207
BROOKLINE BANCORP INC     COM             11373M107         135    10,659SH      X             01        8,399             2,260
BROWN FORMAN CORP         CL B            115637209         295     4,502SH      X             01        4,471                31
BROWN FORMAN CORP         CL B            115637209           4        61SH              X     01                   61
BRUNSWICK CORP            COM             117043109       1,146    35,966SH      X             01       35,875                91
BRUNSWICK CORP            COM             117043109          30       954SH              X     01                  954
BURLINGTON NORTHN SANTA   COM             12189T104       3,953    49,153SH      X             01       48,048     886       219
BURLINGTON NORTHN SANTA   COM             12189T104         859    10,686SH              X     01        1,062   4,903     4,721
CBS CORP NEW              CL B            124857202       2,318    75,782SH      X             01       75,341      15       426
CBS CORP NEW              CL B            124857202         122     3,998SH              X     01          258   3,365       375
CB RICHARD ELLIS GROUP    CL A            12497T101       3,844   112,460SH      X             01      112,210               250
CB RICHARD ELLIS GROUP    CL A            12497T101         239     7,003SH              X     01                7,003
CIGNA CORP                COM             125509109       1,319     9,243SH      X             01        9,243
CIGNA CORP                COM             125509109         315     2,210SH              X     01          750   1,460
CIT GROUP INC             COM             125581108      11,518   217,655SH      X             01      216,995               660





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
CIT GROUP INC             COM             125581108          57     1,080SH              X     01          660     420
CMS ENERGY CORP           COM             125896100       9,860   553,956SH      X             01      553,956
CMS ENERGY CORP           COM             125896100           1        45SH              X     01                   45
CSX CORP                  COM             126408103         743    18,560SH      X             01       18,560
CSX CORP                  COM             126408103         239     5,980SH              X     01                5,980
CVS CAREMARK CORP         COM             126650100       3,793   111,090SH      X             01      110,967               123
CVS CAREMARK CORP         COM             126650100         300     8,790SH              X     01        2,154   6,636
CA INC                    COM             12673P105         275    10,619SH      X             01       10,619
CA INC                    COM             12673P105         180     6,962SH              X     01                6,962
CABELAS INC               COM             126804301       4,806   193,718SH      X             01      193,495               223
CADBURY SCHWEPPES PLC     ADR             127209302         649    12,625SH      X             01       10,425             2,200
CADBURY SCHWEPPES PLC     ADR             127209302           6       120SH              X     01                  120
CADENCE DESIGN SYSTEM     COM             127387108      10,491   498,136SH      X             01      498,136
CALAMOS STRATEGIC TOTAL   COM SH BEN INT  128125101         153    10,105SH      X             01       10,105
CALGON CARBON CORP        COM             129603106         439    52,850SH      X             01       52,850
CALGON CARBON CORP        COM             129603106           2       200SH              X     01                  200
CAMECO CORP               COM             13321L108       1,836    44,836SH      X             01       44,836
CAMECO CORP               COM             13321L108         487    11,900SH              X     01               11,900
CAMPBELL SOUP CO          COM             134429109       2,102    53,960SH      X             01       53,658     219        83
CAMPBELL SOUP CO          COM             134429109         153     3,932SH              X     01                2,332     1,600
CANON INC                 ADR             138006309         703    13,093SH      X             01       10,291             2,802
CANON INC                 ADR             138006309           5        90SH              X     01                   90
CAPITAL ONE FINL CORP     COM             14040H105         501     6,636SH      X             01        6,519               117
CAPITAL ONE FINL CORP     COM             14040H105         795    10,538SH              X     01               10,538
CAPSTONE TURBINE CORP     COM             14067D102          16    15,000SH              X     01       15,000
CARDINAL HEALTH INC       COM             14149Y108       7,560   103,626SH      X             01      101,804      39     1,783
CARDINAL HEALTH INC       COM             14149Y108         857    11,747SH              X     01           21  11,726
CARMAX INC                COM             143130102       1,331    54,226SH      X             01       54,226
CARNIVAL CORP             PAIRED CTF      143658300         491    10,487SH      X             01       10,409      58        20
CARNIVAL CORP             PAIRED CTF      143658300         366     7,800SH              X     01           50   7,750
CASEYS GEN STORES INC     COM             147528103         233     9,297SH      X             01        9,297
CASEYS GEN STORES INC     COM             147528103           3       100SH              X     01                  100
CATERPILLAR INC DEL       COM             149123101       6,032    89,990SH      X             01       87,864     662     1,464
CATERPILLAR INC DEL       COM             149123101       3,180    47,441SH              X     01       32,935  14,306       200
CBEYOND INC               COM             149847105       2,652    90,436SH      X             01       90,262               174
CELADON GROUP INC         COM             150838100       1,291    77,332SH      X             01       77,184               148
CELGENE CORP              COM             151020104       3,779    72,043SH      X             01       72,043
CELGENE CORP              COM             151020104         142     2,706SH              X     01                2,706
CEMEX SAB DE CV           SPON ADR 5 ORD  151290889         495    15,107SH      X             01       13,132             1,975
CEMEX SAB DE CV           SPON ADR 5 ORD  151290889          16       482SH              X     01                  482
CENTERPOINT ENERGY INC    COM             15189T107       5,441   303,298SH      X             01      296,233   2,747     4,318
CENTERPOINT ENERGY INC    COM             15189T107          44     2,474SH              X     01          430   2,044
CENTERPLATE INC           UNIT 99/99/9999 15200E204          33     2,000SH      X             01        2,000
CENTERPLATE INC           UNIT 99/99/9999 15200E204         301    18,500SH              X     01               18,500
CENTRAL EUROPEAN DIST     COM             153435102       1,776    61,013SH      X             01       60,897               116
CENTRAL FD CDA LTD        CL A            153501101          94    10,000SH      X             01       10,000
CENTRAL FD CDA LTD        CL A            153501101           2       200SH          X         01                  200
CENVEO INC                COM             15670S105         267    11,000SH      X             01       11,000
CENTURYTEL INC            COM             156700106         168     3,718SH      X             01        3,718
CENTURYTEL INC            COM             156700106          79     1,745SH              X     01                1,745
CEPHALON INC              COM             156708109       3,108    43,650SH      X             01       43,650
CERNER CORP               COM             156782104       1,785    32,780SH      X             01       32,780
CHARLES RIV LABS INTL     COM             159864107          58     1,256SH      X             01        1,256
CHARLES RIV LABS INTL     COM             159864107         227     4,917SH              X     01                4,917
CHECKPOINT SYS INC        COM             162825103         374    15,813SH      X             01       15,813
CHESAPEAKE ENERGY CORP    COM             165167107       2,485    80,481SH      X             01       80,481
CHESAPEAKE ENERGY CORP    COM             165167107         162     5,245SH              X     01                5,245
CHEVRON CORP NEW          COM             166764100      65,451   884,949SH      X             01      869,404   8,981     6,564
CHEVRON CORP NEW          COM             166764100       6,338    85,701SH              X     01       16,411  63,961     5,329
CHICAGO MERCANTILE        CL A            167760107       2,750     5,164SH      X             01        5,164
CHICAGO MERCANTILE        CL A            167760107         239       449SH              X     01            5     444
CHICOS FAS INC            COM             168615102       5,262   215,381SH      X             01      215,381
CHICOS FAS INC            COM             168615102           7       300SH              X     01                  200       100
CHUBB CORP                COM             171232101       9,491   183,683SH      X             01      182,849     800        34
CHUBB CORP                COM             171232101         331     6,411SH              X     01                6,411
CHUNGHWA TELECOM CO LTD   SPONSORED ADR   17133Q205           0         6SH      X             01            6
CHUNGHWA TELECOM CO LTD   SPONSORED ADR   17133Q205         885    44,415SH              X     01               44,415
CINCINNATI FINL CORP      COM             172062101       5,453   128,614SH      X             01      127,950      79       585
CINCINNATI FINL CORP      COM             172062101          85     2,015SH              X     01                2,015
CISCO SYS INC             COM             17275R102      35,170 1,377,578SH      X             01    1,352,434  10,946    14,198
CISCO SYS INC             COM             17275R102       4,515   176,861SH              X     01       40,565 135,318       978
CINTAS CORP               COM             172908105         754    20,880SH      X             01       16,430     750     3,700
CINTAS CORP               COM             172908105          12       325SH              X     01                  325
CITIGROUP INC             COM             172967101      61,787 1,203,494SH      X             01    1,175,187   9,286    19,021
CITIGROUP INC             COM             172967101       6,959   135,541SH              X     01       19,188 105,983    10,370
CITIZENS COMMUNICATIONS   COM             17453B101      16,531 1,105,759SH      X             01    1,101,504     235     4,020
CITIZENS COMMUNICATIONS   COM             17453B101         190    12,720SH              X     01               12,720
CITRIX SYS INC            COM             177376100         597    18,629SH      X             01       18,492     137
CITRIX SYS INC            COM             177376100          17       531SH              X     01                  531
CITY NATL CORP            COM             178566105       5,461    74,203SH      X             01       74,203
CLARCOR INC               COM             179895107          24       745SH      X             01          745
CLARCOR INC               COM             179895107         445    14,000SH              X     01               14,000
CLEAR CHANNEL COMMNCTN    COM             184502102       7,774   221,869SH      X             01      221,869
CLEAR CHANNEL COMMNCTN    COM             184502102          86     2,448SH              X     01          415   2,033
CLOROX CO DEL             COM             189054109       1,071    16,811SH      X             01       16,794                17
CLOROX CO DEL             COM             189054109          79     1,242SH              X     01          184   1,058
COACH INC                 COM             189754104       8,539   170,615SH      X             01      169,231             1,384
COACH INC                 COM             189754104       1,294    25,860SH              X     01       13,550  12,310
COCA COLA CO              COM             191216100      25,594   533,214SH      X             01      501,043  22,906     9,265
COCA COLA CO              COM             191216100       4,642    96,717SH              X     01       21,125  68,632     6,960





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
COCA COLA ENTERPRISES     COM             191219104      11,431   564,500SH      X             01      564,250     250
COCA COLA ENTERPRISES     COM             191219104           3       131SH              X     01                  131
COEUR D ALENE MINES       COM             192108108          45    11,000SH      X             01       11,000
COGNIZANT TECHNOLOGY      CL A            192446102       3,841    43,509SH      X             01       42,765               744
COGNIZANT TECHNOLOGY      CL A            192446102         272     3,081SH              X     01        1,125   1,956
COLGATE PALMOLIVE CO      COM             194162103      18,399   275,482SH      X             01      269,868   3,722     1,892
COLGATE PALMOLIVE CO      COM             194162103       2,857    42,769SH              X     01        2,300  37,969     2,500
COLONIAL BANCGROUP INC    COM             195493309         239     9,665SH      X             01        9,665
COMCAST CORP NEW          CL A            20030N101      17,247   664,612SH      X             01      659,974   1,506     3,132
COMCAST CORP NEW          CL A            20030N101         687    26,471SH              X     01        6,056  19,665       750
COMCAST CORP NEW          CL A SPL        20030N200         120     4,717SH      X             01        4,717
COMCAST CORP NEW          CL A SPL        20030N200         604    23,695SH              X     01               21,145     2,550
COMERICA INC              COM             200340107       6,338   107,208SH      X             01      106,528      35       645
COMERICA INC              COM             200340107         305     5,161SH              X     01        2,000   3,161
COMMERCE BANCORP INC NJ   COM             200519106         255     7,626SH      X             01        7,626
COMMERCE BANCSHARES INC   COM             200525103       3,761    77,854SH      X             01       77,854
COMMERCE BANCSHARES INC   COM             200525103       1,253    25,944SH              X     01               25,944
COMPASS BANCSHARES INC    COM             20449H109         879    12,773SH      X             01       12,713                60
COMPASS BANCSHARES INC    COM             20449H109           7        96SH              X     01                   96
COMPUTER SCIENCES CORP    COM             205363104       1,714    32,884SH      X             01       32,154               730
COMPUTER SCIENCES CORP    COM             205363104          31       598SH              X     01                  598
COMPUWARE CORP            COM             205638109         379    39,896SH      X             01       39,896
COMPUWARE CORP            COM             205638109           1        85SH              X     01                   85
CONAGRA FOODS INC         COM             205887102       3,104   124,606SH      X             01      123,976      20       610
CONAGRA FOODS INC         COM             205887102          43     1,707SH              X     01                1,707
CONOCOPHILLIPS            COM             20825C104      27,032   395,492SH      X             01      392,761     275     2,456
CONOCOPHILLIPS            COM             20825C104       2,536    37,107SH              X     01       17,452  18,953       702
CONSECO INC               COM NEW         208464883         238    13,764SH      X             01       13,764
CONSOLIDATED EDISON INC   COM             209115104      10,337   202,449SH      X             01      199,311     685     2,453
CONSOLIDATED EDISON INC   COM             209115104         326     6,385SH              X     01                6,385
CONSOLIDATED GRAPHICS     COM             209341106         264     3,560SH      X             01        3,560
CONSTELLATION ENERGY      COM             210371100       4,826    55,506SH      X             01       55,060               446
CONSTELLATION ENERGY      COM             210371100          49       569SH              X     01                  569
CONVERGYS CORP            COM             212485106       1,054    41,462SH      X             01       41,462
CONVERGYS CORP            COM             212485106          19       730SH              X     01                  730
CORN PRODS INTL INC       COM             219023108         341     9,589SH      X             01        9,589
CORNING INC               COM             219350105       2,062    90,688SH      X             01       89,227     734       727
CORNING INC               COM             219350105          84     3,711SH              X     01                3,711
COSTCO WHSL CORP NEW      COM             22160K105       1,040    19,315SH      X             01       18,838      42       435
COSTCO WHSL CORP NEW      COM             22160K105         360     6,680SH              X     01                6,680
COUNTRYWIDE FINANCIAL     COM             222372104       1,732    51,499SH      X             01       51,375      57        67
COUNTRYWIDE FINANCIAL     COM             222372104         245     7,269SH              X     01                7,269
COVANCE INC               COM             222816100       1,457    24,548SH      X             01       24,548
COVENTRY HEALTH CARE      COM             222862104         431     7,685SH      X             01        7,685
COVENTRY HEALTH CARE      COM             222862104           3        45SH              X     01                   45
COX RADIO INC             CL A            224051102         153    11,179SH      X             01       11,179
CREDIT SUISSE GROUP       SPONSORED ADR   225401108         262     3,642SH      X             01        3,642
CREDIT SUISSE GROUP       SPONSORED ADR   225401108           6        80SH              X     01                   80
CROWN CASTLE INTL CORP    COM             228227104       1,605    49,958SH      X             01       49,958
CROWN CASTLE INTL CORP    COM             228227104          64     2,000SH              X     01                2,000
CUMMINS INC               COM             231021106       2,312    15,979SH      X             01       15,956                23
CUMMINS INC               COM             231021106          19       129SH              X     01                  129
CURRENCY SHS JAPANESE     JAPANESE YEN    23130A102         229     2,699SH              X     01                2,699
CURRENCY SHARES EURO TR   EURO SHS        23130C108         201     1,500SH      X             01        1,500
CURRENCY SHARES EURO TR   EURO SHS        23130C108         622     4,641SH              X     01                4,641
CUTERA INC                COM             232109108       2,937    81,153SH      X             01       81,000               153
CYNOSURE INC              CL A            232577205       1,933    67,006SH      X             01       66,879               127
CYTEC INDS INC            COM             232820100         244     4,347SH      X             01        4,347
CYTEC INDS INC            COM             232820100          18       316SH              X     01          129     187
DNP SELECT INCOME FD      COM             23325P104         747    66,423SH      X             01       66,423
DNP SELECT INCOME FD      COM             23325P104          45     3,995SH          X         01                3,995
DRS TECHNOLOGIES INC      COM             23330X100       4,560    87,415SH      X             01       87,329                86
D R HORTON INC            COM             23331A109         755    34,308SH      X             01       34,308
D R HORTON INC            COM             23331A109           1        65SH              X     01                   65
DST SYS INC DEL           COM             233326107       2,033    27,040SH      X             01       27,040
DTE ENERGY CO             COM             233331107       5,917   123,521SH      X             01      122,641      50       830
DTE ENERGY CO             COM             233331107         152     3,175SH              X     01                2,925       250
DANAHER CORP DEL          COM             235851102       2,606    36,478SH      X             01       36,359      34        85
DANAHER CORP DEL          COM             235851102         198     2,776SH              X     01        2,575     201
DARDEN RESTAURANTS INC    COM             237194105         393     9,537SH      X             01        9,537
DARDEN RESTAURANTS INC    COM             237194105           8       205SH              X     01                  205
DEALERTRACK HLDGS INC     COM             242309102       2,287    74,449SH      X             01       74,306               143
DEAN FOODS CO NEW         COM             242370104         353     7,558SH      X             01        7,558
DEAN FOODS CO NEW         COM             242370104           4        90SH              X     01                   90
DEERE & CO                COM             244199105      10,942   100,714SH      X             01       99,683     366       665
DEERE & CO                COM             244199105         847     7,794SH              X     01        2,250   3,572     1,972
DEL MONTE FOODS CO        COM             24522P103      11,566 1,007,453SH      X             01    1,007,453
DEL MONTE FOODS CO        COM             24522P103          32     2,746SH              X     01                1,373     1,373
DELL INC                  COM             24702R101       9,917   427,252SH      X             01      418,671   2,815     5,766
DELL INC                  COM             24702R101         851    36,662SH              X     01          370  35,762       530
DENBURY RES INC           COM NEW         247916208       1,786    59,964SH      X             01       59,964
DENNYS CORP               COM             24869P104         221    45,000SH      X             01       45,000
DENTSPLY INTL INC NEW     COM             249030107       6,761   206,450SH      X             01      206,450
DENTSPLY INTL INC NEW     COM             249030107          52     1,600SH              X     01        1,600
DEUTSCHE TELEKOM AG       SPONSORED ADR   251566105         194    11,725SH      X             01       11,725
DEUTSCHE TELEKOM AG       SPONSORED ADR   251566105          10       595SH              X     01                  595
DEVELOPERS DIVERSIFIED    COM             251591103         212     3,367SH      X             01        3,367
DEVELOPERS DIVERSIFIED    COM             251591103           6        95SH              X     01                   95
DEVON ENERGY CORP NEW     COM             25179M103       4,128    59,631SH      X             01       59,593                38
DEVON ENERGY CORP NEW     COM             25179M103         217     3,137SH              X     01                3,137





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
DEVRY INC DEL             COM             251893103         244     8,312SH      X             01        8,312
DIAGEO P L C              SPON ADR NEW    25243Q205         669     8,270SH      X             01        6,970             1,300
DIAGEO P L C              SPON ADR NEW    25243Q205         155     1,917SH              X     01                1,917
DIAMONDS TR               UNIT SER 1      252787106       2,434    19,698SH      X             01       18,587             1,111
DIAMONDS TR               UNIT SER 1      252787106       1,734    14,028SH              X     01        9,294   4,734
DIGITAL RIV INC           COM             25388B104       3,192    57,765SH      X             01       57,693                72
DIGITAL RIV INC           COM             25388B104          21       385SH              X     01          150     235
DILLARDS INC              CL A            254067101         500    15,281SH      X             01       15,281
DIRECTV GROUP INC         COM             25459L106         483    20,924SH      X             01       18,281             2,643
DIRECTV GROUP INC         COM             25459L106         134     5,821SH              X     01                5,821
DISNEY WALT CO            COM DISNEY      254687106      21,482   623,926SH      X             01      597,168  17,240     9,518
DISNEY WALT CO            COM DISNEY      254687106       2,044    59,379SH              X     01        4,575  54,654       150
DOMINION RES INC VA NEW   COM             25746U109       2,665    30,021SH      X             01       29,250      26       745
DOMINION RES INC VA NEW   COM             25746U109         166     1,870SH              X     01        1,375     495
DONNELLEY R R & SONS CO   COM             257867101      14,384   393,119SH      X             01      391,822     635       662
DONNELLEY R R & SONS CO   COM             257867101          95     2,595SH              X     01                2,595
DOUBLE-TAKE SOFTWARE      COM             258598101       1,265    93,650SH      X             01       93,471               179
DOVER CORP                COM             260003108         217     4,452SH      X             01        4,452
DOVER CORP                COM             260003108         324     6,642SH              X     01        1,060   5,582
DOW CHEM CO               COM             260543103      15,381   335,385SH      X             01      329,787   2,815     2,783
DOW CHEM CO               COM             260543103       1,420    30,962SH              X     01        9,262  19,300     2,400
DOW JONES & CO INC        COM             260561105       1,238    35,919SH      X             01       35,639      15       265
DOW JONES & CO INC        COM             260561105          62     1,810SH              X     01                1,810
DRDGOLD LTD               SPONSORED ADR   26152H103           9    14,000SH              X     01               14,000
DU PONT E I DE NEMOURS    COM             263534109       8,786   177,752SH      X             01      174,400   1,286     2,066
DU PONT E I DE NEMOURS    COM             263534109       1,285    25,990SH              X     01        4,885  20,385       720
DUKE ENERGY CORP NEW      COM             26441C105       3,351   165,151SH      X             01      164,271      39       841
DUKE ENERGY CORP NEW      COM             26441C105         202     9,936SH              X     01        1,604   8,332
DUKE REALTY CORP          COM NEW         264411505         455    10,472SH      X             01        9,832               640
DUKE REALTY CORP          COM NEW         264411505          54     1,246SH              X     01                1,246
DUN & BRADSTREET CORP     COM             26483E100       2,576    28,242SH      X             01       28,242
DYNEGY INC NEW            CL A            26816Q101         161    17,392SH      X             01       17,392
DYNEGY INC NEW            CL A            26816Q101           4       451SH              X     01                  451
EGL INC                   COM             268484102         266     6,717SH      X             01        6,717
E M C CORP MASS           COM             268648102       4,464   322,277SH      X             01      320,657   1,433       187
E M C CORP MASS           COM             268648102          63     4,559SH              X     01        2,400   2,159
ENSCO INTL INC            COM             26874Q100       1,663    30,570SH      X             01       30,240     330
ENSCO INTL INC            COM             26874Q100         238     4,366SH              X     01          700   3,666
ENI S P A                 SPONSORED ADR   26874R108          11       163SH      X             01          163
ENI S P A                 SPONSORED ADR   26874R108         532     8,211SH              X     01                8,211
EOG RES INC               COM             26875P101       1,866    26,163SH      X             01       26,063      60        40
EOG RES INC               COM             26875P101         168     2,354SH              X     01                2,354
E TRADE FINANCIAL CORP    COM             269246104         624    29,419SH      X             01       25,869             3,550
E TRADE FINANCIAL CORP    COM             269246104          31     1,477SH              X     01                1,477
EASTMAN CHEM CO           COM             277432100       1,620    25,578SH      X             01       25,403      10       165
EASTMAN CHEM CO           COM             277432100          55       875SH              X     01                  723       152
EASTMAN KODAK CO          COM             277461109         977    43,324SH      X             01       43,324
EASTMAN KODAK CO          COM             277461109          79     3,484SH              X     01          100   2,775       609
EATON CORP                COM             278058102       2,674    31,998SH      X             01       31,496      22       480
EATON CORP                COM             278058102         350     4,193SH              X     01                3,707       486
EATON VANCE LTD DRTN      COM             27828H105         276    15,000SH      X             01       15,000
EATON VANCE LTD DRTN      COM             27828H105          10       520SH          X         01                  520
EBAY INC                  COM             278642103       1,324    39,949SH      X             01       39,340     514        95
EBAY INC                  COM             278642103          93     2,797SH              X     01          550   2,247
ECHOSTAR COMMUNICATNS     CL A            278762109       1,842    42,418SH      X             01       42,418
ECHOSTAR COMMUNICATNS     CL A            278762109          87     2,001SH              X     01                2,001
ECOLAB INC                COM             278865100       2,875    66,855SH      X             01       66,704      71        80
ECOLAB INC                COM             278865100         665    15,462SH              X     01               15,462
EDISON INTL               COM             281020107      14,481   294,746SH      X             01      294,505     134       107
EDISON INTL               COM             281020107         113     2,291SH              X     01                2,291
EDWARDS LIFESCIENCES      COM             28176E108         951    18,756SH      X             01       18,756
EDWARDS LIFESCIENCES      COM             28176E108          35       700SH              X     01                  700
EDWARDS AG INC            COM             281760108       3,500    50,587SH      X             01       49,867     100       620
ELECTRONIC ARTS INC       COM             285512109       9,119   181,086SH      X             01      178,557     654     1,875
ELECTRONIC ARTS INC       COM             285512109         630    12,511SH              X     01          400  11,904       207
ELECTRONIC DATA SYS NEW   COM             285661104       2,271    82,061SH      X             01       82,061
ELECTRONIC DATA SYS NEW   COM             285661104           8       300SH              X     01                  224        76
ELECTRONICS FOR IMAGING   COM             286082102       7,606   324,359SH      X             01      324,359
ELECTRONICS FOR IMAGING   COM             286082102          14       600SH              X     01                  600
EMBARQ CORP               COM             29078E105      15,024   266,615SH      X             01      266,443               172
EMBARQ CORP               COM             29078E105         204     3,612SH              X     01           73   3,539
EMERSON ELEC CO           COM             291011104      12,991   301,491SH      X             01      300,067     160     1,264
EMERSON ELEC CO           COM             291011104       4,816   111,760SH              X     01       15,751  96,009
EMPIRE DIST ELEC CO       COM             291641108       1,202    48,484SH      X             01       48,290               194
EMPIRE DIST ELEC CO       COM             291641108          17       700SH              X     01                  700
ENBRIDGE ENERGY PRTNRS    COM             29250R106         235     4,204SH      X             01        4,204
ENCANA CORP               COM             292505104         240     4,750SH      X             01        4,750
ENCANA CORP               COM             292505104         250     4,946SH              X     01                4,946
ENDESA S A                SPONSORED ADR   29258N107           4        70SH      X             01           70
ENDESA S A                SPONSORED ADR   29258N107         418     7,800SH              X     01                7,800
ENERGEN CORP              COM             29265N108         249     4,900SH      X             01        4,900
ENERGEN CORP              COM             29265N108          16       306SH              X     01          124     182
ENEL SOCIETA PER AZIONI   ADR             29265W108         743    13,880SH              X     01               13,880
ENERGY EAST CORP          COM             29266M109       2,594   106,477SH      X             01      106,477
ENERGIZER HLDGS INC       COM             29266R108       6,020    70,549SH      X             01       70,549
ENERGIZER HLDGS INC       COM             29266R108       3,881    45,479SH              X     01        1,010   7,203    37,266
ENERGY TRANSFER PRTNRS    UNIT LTD PARTN  29273R109         135     2,318SH      X             01        2,318
ENERGY TRANSFER PRTNRS    UNIT LTD PARTN  29273R109         128     2,200SH              X     01        2,200
ENERPLUS RES FD           UNIT TR G NEW   29274D604          66     1,560SH      X             01        1,560
ENERPLUS RES FD           UNIT TR G NEW   29274D604         190     4,500SH              X     01                4,500





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
ENTERGY CORP NEW          COM             29364G103      14,759   140,668SH      X             01      140,668
ENTERGY CORP NEW          COM             29364G103           8        77SH              X     01                   77
EQUIFAX INC               COM             294429105         652    17,898SH      X             01       17,750      89        59
EQUIFAX INC               COM             294429105          15       417SH              X     01                  417
EQUINIX INC               COM NEW         29444U502       4,850    56,639SH      X             01       56,579                60
EQUITY RESIDENTIAL        SH BEN INT      29476L107       4,501    93,323SH      X             01       92,631      96       596
EQUITY RESIDENTIAL        SH BEN INT      29476L107          99     2,048SH              X     01          200   1,848
ERICSSON L M TEL CO       ADR B SEK 10    294821608       8,362   225,439SH      X             01      220,372   1,770     3,297
ERICSSON L M TEL CO       ADR B SEK 10    294821608         985    26,544SH              X     01               26,544
ESSEX PPTY TR INC         COM             297178105       1,513    11,684SH      X             01       11,684
EXELON CORP               COM             30161N101       3,448    50,182SH      X             01       50,072      60        50
EXELON CORP               COM             30161N101         323     4,702SH              X     01        2,275   1,917       510
EXPEDITORS INTL WASH      COM             302130109       1,013    24,515SH      X             01       24,515
EXPEDITORS INTL WASH      COM             302130109          55     1,325SH              X     01          325   1,000
EXPRESS SCRIPTS INC       COM             302182100       2,022    25,055SH      X             01       25,055
EXPRESS SCRIPTS INC       COM             302182100          24       303SH              X     01                  303
EXXON MOBIL CORP          COM             30231G102      95,426 1,264,758SH      X             01    1,234,657  19,498    10,603
EXXON MOBIL CORP          COM             30231G102      24,427   323,749SH              X     01       48,174 261,324    14,251
FEI CO                    COM             30241L109       1,927    53,438SH      X             01       53,337               101
FNB CORP PA               COM             302520101         649    38,538SH      X             01       38,538
FPL GROUP INC             COM             302571104       2,693    44,033SH      X             01       39,081   4,852       100
FPL GROUP INC             COM             302571104         745    12,181SH              X     01        2,749   9,432
FTI CONSULTING INC        COM             302941109         202     6,000SH      X             01        6,000
FALCONSTOR SOFTWARE INC   COM             306137100       1,356   130,168SH      X             01      129,920               248
FAMILY DLR STORES INC     COM             307000109         505    17,065SH      X             01       17,065
FAMILY DLR STORES INC     COM             307000109           1        25SH              X     01                   25
FASTENAL CO               COM             311900104         759    21,653SH      X             01       21,538               115
FASTENAL CO               COM             311900104          12       345SH              X     01                  345
FEDERAL HOME LN MTG       COM             313400301       9,184   154,385SH      X             01      147,356   2,536     4,493
FEDERAL HOME LN MTG       COM             313400301         958    16,106SH              X     01          425  15,481       200
FEDERAL NATL MTG ASSN     COM             313586109       2,765    50,666SH      X             01       48,497   1,575       594
FEDERAL NATL MTG ASSN     COM             313586109         997    18,271SH              X     01               18,171       100
FEDERAL SIGNAL CORP       COM             313855108       1,159    74,699SH      X             01       74,299               400
FEDERAL SIGNAL CORP       COM             313855108          23     1,500SH              X     01                1,500
FEDERATED DEPT STORES     COM             31410H101       2,620    58,165SH      X             01       58,165
FEDERATED DEPT STORES     COM             31410H101         142     3,160SH              X     01                3,160
FEDERATED INVS INC PA     CL B            314211103         605    16,472SH      X             01       16,472
FEDERATED INVS INC PA     CL B            314211103           4       107SH              X     01                  107
FEDEX CORP                COM             31428X106       2,163    20,133SH      X             01       20,072      28        33
FEDEX CORP                COM             31428X106         423     3,940SH              X     01          285   3,655
FIBERTOWER CORP           COM             31567R100          52    10,000SH              X     01               10,000
FIDELITY NATL INFORMTN    COM             31620M106       1,811    39,842SH      X             01       39,842
FIDELITY NATIONAL FINCL   CL A            31620R105         923    38,459SH      X             01       38,459
FIFTH THIRD BANCORP       COM             316773100       6,606   170,741SH      X             01      169,661      60     1,020
FIFTH THIRD BANCORP       COM             316773100         448    11,572SH              X     01          899  10,673
FIRST BUS FINL SVCS INC   COM             319390100         360    16,000SH      X             01       16,000
FIRST CASH FINL SVCS      COM             31942D107       2,399   107,657SH      X             01      107,451               206
FIRST DATA CORP           COM             319963104       1,521    56,545SH      X             01       55,364     197       984
FIRST DATA CORP           COM             319963104          68     2,511SH              X     01        1,175   1,336
FIRST HORIZON NATL CORP   COM             320517105       5,115   123,167SH      X             01      122,201      93       873
FIRST HORIZON NATL CORP   COM             320517105         118     2,852SH              X     01                2,852
FIRST IND CORP            COM             32054R108          94     4,282SH      X             01        4,282
FIRST IND CORP            COM             32054R108         401    18,361SH              X     01       14,236   4,125
FIRST NIAGARA FINL GP     COM             33582V108         173    12,404SH      X             01       12,404
FIRST PL FINL CORP        COM             33610T109         289    13,457SH      X             01       13,457
FIRST SOLAR INC           COM             336433107       2,421    46,548SH      X             01       46,460                88
1ST SOURCE CORP           COM             336901103         178     6,788SH      X             01        6,788
1ST SOURCE CORP           COM             336901103       1,077    41,163SH              X     01               41,163
FISERV INC                COM             337738108      15,001   282,724SH      X             01      282,685                39
FISERV INC                COM             337738108         498     9,389SH              X     01        1,545   7,844
FIRSTENERGY CORP          COM             337932107       2,469    37,272SH      X             01       37,272
FIRSTENERGY CORP          COM             337932107          13       199SH              X     01                  199
FIVE STAR QUALITY CARE    COM             33832D106       2,252   219,067SH      X             01      218,656               411
FLORIDA EAST COAST INDS   COM             340632108         251     4,000SH      X             01        4,000
FLUOR CORP NEW            COM             343412102       2,377    26,490SH      X             01       26,490
FLUOR CORP NEW            COM             343412102           8        88SH              X     01                   88
FORD MTR CO DEL           COM PAR $0.01   345370860       1,154   146,259SH      X             01      146,259
FORD MTR CO DEL           COM PAR $0.01   345370860         244    30,984SH              X     01          100  30,884
FOREST LABS INC           COM             345838106         662    12,871SH      X             01       12,831      40
FOREST LABS INC           COM             345838106         572    11,117SH              X     01          400  10,717
FORTUNE BRANDS INC        COM             349631101       2,099    26,624SH      X             01       24,497   1,064     1,063
FORTUNE BRANDS INC        COM             349631101       1,273    16,154SH              X     01        1,925  10,769     3,460
FRANCE TELECOM            SPONSORED ADR   35177Q105         205     7,775SH      X             01        7,775
FRANCE TELECOM            SPONSORED ADR   35177Q105         107     4,050SH              X     01                4,050
FRANKLIN RES INC          COM             354613101       4,110    34,012SH      X             01       34,012
FRANKLIN RES INC          COM             354613101          26       215SH              X     01                  215
FRANKLIN TEMPLETON LTD    COM             35472T101         157    11,000SH      X             01       11,000
FREEPORT-MCMORAN COPPER   COM             35671D857       7,363   111,240SH      X             01      111,066     174
FREEPORT-MCMORAN COPPER   COM             35671D857          67     1,017SH              X     01                1,017
FUJIFILM HLDGS CORP       ADR 2 ORD       35958N107         108     2,655SH      X             01        2,655
FUJIFILM HLDGS CORP       ADR 2 ORD       35958N107         803    19,660SH              X     01               19,660
FURNITURE BRANDS INTL     COM             360921100       9,215   583,997SH      X             01      583,997
GATX CORP                 COM             361448103       1,644    34,403SH      X             01       34,403
GEO GROUP INC             COM             36159R103         213     4,701SH      X             01        4,701
GFI GROUP INC             COM             361652209       3,437    50,564SH      X             01       50,510                54
GALLAGHER ARTHUR J & CO   COM             363576109         128     4,532SH      X             01        4,532
GALLAGHER ARTHUR J & CO   COM             363576109          90     3,165SH              X     01                3,165
GALLAHER GROUP PLC        SPONSORED ADR   363595109         622     6,967SH      X             01        6,407               560
GALLAHER GROUP PLC        SPONSORED ADR   363595109         835     9,360SH              X     01        1,600   4,300     3,460
GAMESTOP CORP NEW         CL A            36467W109       5,745   176,377SH      X             01      176,194               183





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
GANNETT INC               COM             364730101       3,402    60,442SH      X             01       57,142   2,000     1,300
GANNETT INC               COM             364730101         146     2,597SH              X     01                2,597
GAP INC DEL               COM             364760108         836    48,605SH      X             01       46,509      96     2,000
GAP INC DEL               COM             364760108          33     1,904SH              X     01          200   1,704
GARTNER INC               COM             366651107       1,679    70,085SH      X             01       70,085
GEHL CO                   COM             368483103         609    24,000SH              X     01               24,000
GENENTECH INC             COM NEW         368710406       9,354   113,902SH      X             01      111,585   1,300     1,017
GENENTECH INC             COM NEW         368710406       1,824    22,213SH              X     01        5,325  16,888
GENERAL CABLE CORP        COM             369300108         345     6,460SH      X             01        6,460
GENERAL COMMUNICATION     CL A            369385109         302    21,597SH      X             01       21,597
GENERAL DYNAMICS CORP     COM             369550108       5,272    69,009SH      X             01       68,959                50
GENERAL DYNAMICS CORP     COM             369550108         188     2,458SH              X     01          800   1,658
GENERAL ELECTRIC CO       COM             369604103      89,612 2,534,278SH      X             01    2,393,548  90,069    50,661
GENERAL ELECTRIC CO       COM             369604103      20,287   573,725SH              X     01      118,228 411,439    44,058
GENERAL MLS INC           COM             370334104       6,834   117,378SH      X             01      116,593     610       175
GENERAL MLS INC           COM             370334104       1,045    17,943SH              X     01        9,805   8,138
GENERAL MTRS CORP         COM             370442105       1,635    53,364SH      X             01       53,185               179
GENERAL MTRS CORP         COM             370442105         105     3,432SH              X     01        2,000   1,049       383
GENUINE PARTS CO          COM             372460105       2,815    57,439SH      X             01       57,178      15       246
GENUINE PARTS CO          COM             372460105         167     3,408SH              X     01                3,408
GENWORTH FINL INC         COM CL A        37247D106         377    10,793SH      X             01        9,708             1,085
GENWORTH FINL INC         COM CL A        37247D106         125     3,574SH              X     01                3,574
GENZYME CORP              COM             372917104       2,966    49,416SH      X             01       49,385                31
GENZYME CORP              COM             372917104         171     2,848SH              X     01                2,848
GILEAD SCIENCES INC       COM             375558103      11,355   148,136SH      X             01      145,768     107     2,261
GILEAD SCIENCES INC       COM             375558103         494     6,450SH              X     01                6,450
GLAXOSMITHKLINE PLC       SPONSORED ADR   37733W105       2,955    53,466SH      X             01       50,581   1,625     1,260
GLAXOSMITHKLINE PLC       SPONSORED ADR   37733W105         858    15,518SH              X     01               15,518
GLOBAL IMAGING SYSTEMS    COM             37934A100         237    12,134SH      X             01       12,134
GOLD FIELDS LTD NEW       SPONSORED ADR   38059T106         277    15,000SH      X             01       15,000
GOLD FIELDS LTD NEW       SPONSORED ADR   38059T106         176     9,505SH              X     01                9,505
GOLDMAN SACHS GROUP INC   COM             38141G104      28,375   137,322SH      X             01      135,258   1,167       897
GOLDMAN SACHS GROUP INC   COM             38141G104       2,891    13,993SH              X     01          830  13,163
GOODRICH CORP             COM             382388106       1,197    23,246SH      X             01       23,246
GOODRICH CORP             COM             382388106           0         9SH              X     01                    9
GOODYEAR TIRE & RUBR CO   COM             382550101         298     9,544SH      X             01        9,544
GOODYEAR TIRE & RUBR CO   COM             382550101           1        20SH              X     01                   20
GOOGLE INC                CL A            38259P508       9,050    19,754SH      X             01       19,432               322
GOOGLE INC                CL A            38259P508         688     1,501SH              X     01           10   1,491
GRAINGER W W INC          COM             384802104       1,181    15,290SH      X             01       13,790             1,500
GRAINGER W W INC          COM             384802104         139     1,805SH              X     01          200   1,605
GRANT PRIDECO INC         COM             38821G101       6,111   122,614SH      X             01      122,614
GREAT PLAINS ENERGY INC   COM             391164100       1,783    54,938SH      X             01       54,738     200
GREAT PLAINS ENERGY INC   COM             391164100          31       950SH              X     01                  950
GREATER BAY BANCORP       COM             391648102         154     5,723SH      X             01        5,723
GREATER BAY BANCORP       COM             391648102         269    10,000SH              X     01               10,000
GREENFIELD ONLINE INC     COM             395150105       2,248   141,413SH      X             01      141,143               270
HMS HLDGS CORP            COM             40425J101       2,878   131,395SH      X             01      131,144               251
HSBC HLDGS PLC            SPON ADR NEW    404280406         681     7,755SH      X             01        7,755
HSBC HLDGS PLC            SPON ADR NEW    404280406       1,004    11,435SH              X     01          335  11,100
HALLIBURTON CO            COM             406216101       1,926    60,677SH      X             01       60,221     378        78
HALLIBURTON CO            COM             406216101         346    10,895SH              X     01        2,300   7,595     1,000
HANESBRANDS INC           COM             410345102         190     6,477SH      X             01        6,477
HANESBRANDS INC           COM             410345102          59     2,002SH              X     01          220   1,782
HARLEY DAVIDSON INC       COM             412822108       6,067   103,260SH      X             01      101,090   2,123        47
HARLEY DAVIDSON INC       COM             412822108       1,562    26,583SH              X     01        3,025  23,558
HARMAN INTL INDS INC      COM             413086109         394     4,096SH      X             01        4,096
HARMAN INTL INDS INC      COM             413086109           4        45SH              X     01                   45
HARRAHS ENTMT INC         COM             413619107         233     2,759SH      X             01        2,759
HARRAHS ENTMT INC         COM             413619107         286     3,381SH              X     01                3,381
HARRIS CORP DEL           COM             413875105       1,564    30,688SH      X             01       30,688
HARRIS CORP DEL           COM             413875105          33       650SH              X     01                  650
HARSCO CORP               COM             415864107       1,986    44,262SH      X             01       44,262
HARSCO CORP               COM             415864107          25       568SH              X     01                  284       284
HARTE-HANKS INC           COM             416196103      10,502   380,641SH      X             01      377,091             3,550
HARTFORD FINL SVCS GRP    COM             416515104      10,544   110,315SH      X             01      110,276                39
HARTFORD FINL SVCS GRP    COM             416515104         968    10,127SH              X     01        6,480   3,647
HASBRO INC                COM             418056107         248     8,651SH      X             01        8,651
HASBRO INC                COM             418056107          18       613SH              X     01                  613
HAWAIIAN ELEC INDUSTRS    COM             419870100         264    10,142SH      X             01       10,142
HEAD N V                  NY REGISTRY SH  422070102         353    86,595SH      X             01       86,595
HEAD N V                  NY REGISTRY SH  422070102           4     1,000SH              X     01                1,000
HEALTH NET INC            COM             42222G108      10,402   193,307SH      X             01      193,307
HEALTH NET INC            COM             42222G108          45       840SH              X     01                  840
HEARTLAND FINL USA INC    COM             42234Q102         255     9,529SH      X             01        9,529
HEINZ H J CO              COM             423074103       4,580    97,192SH      X             01       96,348     104       740
HEINZ H J CO              COM             423074103         637    13,520SH              X     01               10,445     3,075
HELIX ENERGY SOLUTIONS    COM             42330P107         276     7,410SH      X             01          958             6,452
 GRP I                    COM             42330P107           2        43SH              X     01                   43
HENRY JACK & ASSOC INC    COM             426281101          29     1,196SH      X             01        1,196
HENRY JACK & ASSOC INC    COM             426281101         337    14,000SH              X     01               14,000
HERCULES INC              COM             427056106       1,433    73,345SH      X             01       73,345
HERCULES INC              COM             427056106          10       502SH              X     01                  502
HERSHEY CO                COM             427866108       2,132    39,003SH      X             01       38,883      15       105
HERSHEY CO                COM             427866108         399     7,305SH              X     01                5,305     2,000
HESS CORP                 COM             42809H107      12,654   228,132SH      X             01      228,132
HESS CORP                 COM             42809H107          16       290SH              X     01                  290
HEWLETT PACKARD CO        COM             428236103      18,991   473,124SH      X             01      467,936   3,209     1,979
HEWLETT PACKARD CO        COM             428236103       2,268    56,490SH              X     01       41,600  14,890
HILB ROGAL & HOBBS CO     COM             431294107         345     7,035SH      X             01        7,035





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
HILLENBRAND INDS INC      COM             431573104         781    13,148SH      X             01       13,148
HILLENBRAND INDS INC      COM             431573104           6       100SH              X     01                  100
HILTON HOTELS CORP        COM             432848109       2,736    76,085SH      X             01       75,966     119
HILTON HOTELS CORP        COM             432848109          72     1,996SH              X     01                1,996
HITACHI LIMITED           ADR 10 COM      433578507         270     3,499SH      X             01        3,499
HOLOGIC INC               COM             436440101       4,080    70,792SH      X             01       70,719                73
HOLOGIC INC               COM             436440101          20       350SH              X     01                  350
HOME DEPOT INC            COM             437076102      11,237   305,843SH      X             01      300,769   1,165     3,909
HOME DEPOT INC            COM             437076102         672    18,293SH              X     01          400  17,893
HONDA MOTOR LTD           AMERN SHS       438128308         323     9,264SH      X             01        6,822             2,442
HONDA MOTOR LTD           AMERN SHS       438128308          15       434SH              X     01                  434
HONEYWELL INTL INC        COM             438516106       6,289   136,537SH      X             01      134,951     179     1,407
HONEYWELL INTL INC        COM             438516106         622    13,513SH              X     01        2,786  10,527       200
HORACE MANN EDUCATORS     COM             440327104          69     3,366SH      X             01        3,366
HORACE MANN EDUCATORS     COM             440327104         133     6,495SH              X     01                6,495
HOSPIRA INC               COM             441060100       2,582    63,124SH      X             01       62,969      82        73
HOSPIRA INC               COM             441060100         131     3,215SH              X     01        1,791   1,324       100
HOST HOTELS & RESORTS     COM             44107P104         196     7,464SH      X             01        7,464
HOST HOTELS & RESORTS     COM             44107P104          13       480SH              X     01                  480
HOUSTON EXPL CO           COM             442120101         407     7,551SH      X             01        7,551
HUB GROUP INC             CL A            443320106       1,268    43,753SH      X             01       43,670                83
HUMANA INC                COM             444859102       1,331    22,943SH      X             01       22,884                59
HUMANA INC                COM             444859102          60     1,041SH              X     01          300     741
HUNT J B TRANS SVCS       COM             445658107       8,445   321,834SH      X             01      318,934             2,900
HUNTINGTON BANCSHARES     COM             446150104       7,831   358,401SH      X             01      356,780     160     1,461
HUNTINGTON BANCSHARES     COM             446150104          96     4,385SH              X     01                4,385
HURCO COMPANIES INC       COM             447324104         300     7,000SH      X             01        7,000
IMS HEALTH INC            COM             449934108      13,064   440,463SH      X             01      440,394                69
IMS HEALTH INC            COM             449934108          98     3,288SH              X     01                3,288
ISTAR FINL INC            COM             45031U101         830    17,725SH      X             01       16,878     847
ITT EDUCATIONAL SRVCS     COM             45068B109         458     5,620SH      X             01        5,620
ITT CORP NEW              COM             450911102      15,200   251,997SH      X             01      251,953      44
ITT CORP NEW              COM             450911102         156     2,592SH              X     01        1,820     772
ICON PUB LTD CO           SPONSORED ADR   45103T107       2,794    65,581SH      X             01       65,458               123
ICONIX BRAND GROUP INC    COM             451055107       2,612   128,048SH      X             01      127,804               244
IDEARC INC                COM             451663108         158     4,500SH      X             01        4,500
IDEARC INC                COM             451663108          67     1,897SH              X     01          115   1,782
ILLINOIS TOOL WKS INC     COM             452308109       6,599   127,897SH      X             01      127,027     674       196
ILLINOIS TOOL WKS INC     COM             452308109       2,178    42,203SH              X     01        6,150  35,751       302
ING GROEP N V             SPONSORED ADR   456837103         224     5,290SH      X             01        5,290
ING GROEP N V             SPONSORED ADR   456837103         674    15,927SH              X     01               15,927
INGLES MKTS INC           CL A            457030104       1,477    36,173SH      X             01       36,108                65
INGRAM MICRO INC          CL A            457153104       3,648   188,921SH      X             01      188,921
INSITUFORM TECHNOLOGIES   CL A            457667103         635    30,556SH      X             01       30,556
INSITUFORM TECHNOLOGIES   CL A            457667103           2       100SH              X     01                  100
INPHONIC INC              COM             45772G105       1,289   118,270SH      X             01      118,046               224
INPHONIC INC              COM             45772G105          25     2,320SH              X     01                2,320
INTEL CORP                COM             458140100      16,151   844,264SH      X             01      824,155  11,914     8,195
INTEL CORP                COM             458140100       2,642   138,106SH              X     01       10,412 127,494       200
INTEGRYS ENERGY GROUP     COM             45822P105       2,236    40,275SH      X             01       39,549     726
INTEGRYS ENERGY GROUP     COM             45822P105         440     7,923SH              X     01        2,108   5,815
INTERCONTINENTALEXCHNG    COM             45865V100       2,229    18,243SH      X             01       18,243
INTERCONTINENTALEXCHNG    COM             45865V100          22       181SH              X     01                  181
INTERNAP NETWORK SVCS     COM PAR $.001   45885A300       1,966   124,855SH      X             01      124,619               236
INTERNATNL BSNS MACHS     COM             459200101      36,967   392,179SH      X             01      377,047   5,202     9,930
INTERNATNL BSNS MACHS     COM             459200101       4,805    50,977SH              X     01        9,423  40,968       586
INTERNATIONAL GAME TECH   COM             459902102       2,492    61,718SH      X             01       61,526     130        62
INTERNATIONAL GAME TECH   COM             459902102         100     2,487SH              X     01                2,487
INTL PAPER CO             COM             460146103       3,194    87,740SH      X             01       85,689     841     1,210
INTL PAPER CO             COM             460146103         425    11,667SH              X     01          300  10,898       469
INTERSIL CORP             CL A            46069S109       3,565   134,581SH      X             01      134,581
INTERPUBLIC GROUP COS     COM             460690100       8,354   678,647SH      X             01      678,647
INTERPUBLIC GROUP COS     COM             460690100           0         1SH              X     01                    1
INTEROIL CORP             COM             460951106       2,532    95,184SH      X             01       95,004               180
INVERNESS MED INNVTNS     COM             46126P106       4,894   111,781SH      X             01      111,651               130
IPASS INC                 COM             46261V108         539   107,175SH      X             01      107,175
IRELAND BK                SPONSORED ADR   46267Q103         217     2,510SH      X             01        2,510
ISHARES INC               MSCI SINGAPORE  464286673       1,164    94,094SH      X             01       94,094
ISHARES INC               MSCI JAPAN      464286848         667    45,803SH      X             01       45,803
ISHARES TR                LRGE GRW INDX   464287119       1,053    16,216SH      X             01       16,216
ISHARES TR                DJ SEL DIV INX  464287168      19,945   279,140SH      X             01      278,540     600
ISHARES TR                DJ SEL DIV INX  464287168         648     9,075SH              X     01                9,075
ISHARES TR                US TIPS BD FD   464287176         339     3,360SH      X             01        3,360
ISHARES TR                US TIPS BD FD   464287176          10       100SH              X     01          100
ISHARES TR                FTSE XNHUA IDX  464287184       1,134    11,071SH      X             01       11,071
ISHARES TR                FTSE XNHUA IDX  464287184         130     1,266SH              X     01          600     666
ISHARES TR                S&P 500 INDEX   464287200      28,027   196,900SH      X             01      191,697   1,610     3,593
ISHARES TR                S&P 500 INDEX   464287200         910     6,395SH              X     01          224   6,171
ISHARES TR                LEHMAN AGG BND  464287226         909     9,064SH      X             01        9,064
ISHARES TR                MSCI EMERG MKT  464287234       9,217    79,119SH      X             01       79,019     100
ISHARES TR                MSCI EMERG MKT  464287234       2,564    22,005SH              X     01       22,005
ISHARES TR                IBOXX INV CPBD  464287242       4,500    41,950SH      X             01       41,950
ISHARES TR                IBOXX INV CPBD  464287242         262     2,440SH              X     01        2,440
ISHARES TR                S&P500 GRW      464287309       4,418    68,361SH      X             01       66,361             2,000
ISHARES TR                S&P500 GRW      464287309         101     1,570SH              X     01          900     670
ISHARES TR                S&P 500 VALUE   464287408       3,905    50,327SH      X             01       50,327
ISHARES TR                S&P 500 VALUE   464287408         504     6,489SH              X     01          250   5,591       648
ISHARES TR                7-10 YR TRS BD  464287440         316     3,800SH      X             01        3,800
ISHARES TR                1-3 YR TRS BD   464287457         266     3,307SH      X             01        3,307
ISHARES TR                MSCI EAFE IDX   464287465      44,305   580,978SH      X             01      579,299   1,665        14





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
ISHARES TR                MSCI EAFE IDX   464287465       6,075    79,657SH              X     01       26,761  37,235    15,661
ISHARES TR                RUSSELL MCP VL  464287473       5,158    33,674SH      X             01       33,664                10
ISHARES TR                RUSSELL MCP VL  464287473         442     2,886SH              X     01                2,886
ISHARES TR                RUSSELL MCP GR  464287481       2,079    19,408SH      X             01       19,408
ISHARES TR                RUSSELL MIDCAP  464287499       2,385    22,890SH      X             01       18,883             4,007
ISHARES TR                S&P MIDCAP 400  464287507      15,088   178,343SH      X             01      177,093   1,250
ISHARES TR                S&P MIDCAP 400  464287507       2,478    29,293SH              X     01        4,572  24,721
ISHARES TR                GLDM SCHS NETW  464287531         285     8,905SH      X             01        8,905
ISHARES TR                COHEN&ST RLTY   464287564       1,206    11,684SH      X             01       11,684
ISHARES TR                RUSSELL1000VAL  464287598         852    10,244SH      X             01       10,244
ISHARES TR                S&P MC 400 GRW  464287606       1,365    16,222SH      X             01       16,222
ISHARES TR                RUSSELL1000GRW  464287614       1,723    30,963SH      X             01       30,963
ISHARES TR                RUSSELL 1000    464287622         731     9,447SH      X             01        9,339     108
ISHARES TR                RUSL 2000 VALU  464287630       6,802    83,999SH      X             01       79,584             4,415
ISHARES TR                RUSL 2000 VALU  464287630         470     5,800SH              X     01          382   5,418
ISHARES TR                RUSL 2000 GROW  464287648         836    10,436SH      X             01       10,436
ISHARES TR                RUSL 2000 GROW  464287648          42       523SH              X     01                  523
ISHARES TR                RUSSELL 2000    464287655      14,179   178,329SH      X             01      178,203      94        32
ISHARES TR                RUSSELL 2000    464287655       1,372    17,250SH              X     01        2,225  15,025
ISHARES TR                RUSSELL 3000    464287689         335     4,057SH      X             01        4,057
ISHARES TR                S&P MIDCP VALU  464287705      13,943   166,917SH      X             01      166,217     200       500
ISHARES TR                S&P MIDCP VALU  464287705       4,832    57,852SH              X     01       52,106   5,746
ISHARES TR                DJ US TELECOMM  464287713         347    11,160SH      X             01       11,160
ISHARES TR                DJ US TECH SEC  464287721       2,213    41,011SH      X             01       41,011
ISHARES TR                DJ US TECH SEC  464287721          87     1,615SH              X     01          150   1,465
ISHARES TR                DJ US REAL EST  464287739         523     6,140SH      X             01        6,140
ISHARES TR                DJ US REAL EST  464287739         341     4,000SH              X     01                4,000
ISHARES TR                DJ US INDUSTRL  464287754         928    13,887SH      X             01       13,887
ISHARES TR                DJ US HEALTHCR  464287762       1,733    25,978SH      X             01       25,978
ISHARES TR                DJ US HEALTHCR  464287762          64       960SH              X     01                  960
ISHARES TR                DJ US FINL SVC  464287770         456     3,565SH      X             01        3,565
ISHARES TR                DJ US FINL SEC  464287788         258     2,265SH      X             01        2,265
ISHARES TR                DJ US ENERGY    464287796         907     8,688SH      X             01        8,688
ISHARES TR                S&P SMLCAP 600  464287804       2,822    41,549SH      X             01       41,543                 6
ISHARES TR                S&P SMLCAP 600  464287804       1,462    21,530SH              X     01               21,530
ISHARES TR                S&P EURO PLUS   464287861         508     4,693SH      X             01        4,693
ISHARES TR                S&P SMLCP VALU  464287879       6,462    84,238SH      X             01       84,053               185
ISHARES TR                S&P SMLCP VALU  464287879         703     9,158SH              X     01        9,158
ISHARES TR                LARGE VAL INDX  464288109       2,548    30,409SH      X             01       30,409
ISHARES TR                MID CORE INDEX  464288208         687     8,057SH      X             01        8,057
ISHARES TR                MID GRWTH INDX  464288307         998    11,290SH      X             01       11,290
ISHARES TR                MID VAL INDEX   464288406       2,669    29,981SH      X             01       29,981
ISHARES TR                MID VAL INDEX   464288406         234     2,625SH              X     01        2,625
ISHARES TR                SMLL CORE INDX  464288505         721     8,188SH      X             01        8,188
ISHARES TR                SMLL GRWTH IDX  464288604         562     7,338SH      X             01        7,338
ISHARES TR                SMLL VAL INDX   464288703       7,493    89,912SH      X             01       89,912
ISHARES TR                MSCI VAL IDX    464288877       1,749    23,588SH      X             01       23,588
ISHARES TR                MSCI VAL IDX    464288877          22       300SH              X     01                  300
ISHARES TR                MSCI GRW IDX    464288885         277     3,873SH      X             01        3,873
ISHARES TR                MSCI GRW IDX    464288885          53       742SH              X     01                  742
IVANHOE MINES LTD         COM             46579N103         273    23,762SH              X     01               23,762
JA SOLAR HOLDINGS CO      SPON ADR        466090107       1,614    89,214SH      X             01       89,043               171
JP MORGAN CHASE & CO      COM             46625H100      49,372 1,020,500SH      X             01    1,009,823   7,410     3,267
JP MORGAN CHASE & CO      COM             46625H100      11,541   238,547SH              X     01      164,641  70,176     3,730
JABIL CIRCUIT INC         COM             466313103       3,159   147,570SH      X             01      147,570
JABIL CIRCUIT INC         COM             466313103           3       119SH              X     01                  119
JACOBS ENGR GROUP INC     COM             469814107       1,976    42,368SH      X             01       42,368
JACOBS ENGR GROUP INC     COM             469814107          40       850SH              X     01          850
JANUS CAP GROUP INC       COM             47102X105         768    36,736SH      X             01       36,601               135
JANUS CAP GROUP INC       COM             47102X105           6       280SH              X     01                  280
JAPAN EQUITY FD INC       COM             471057109         225    26,484SH      X             01       26,484
JAPAN EQUITY FD INC       COM             471057109           4       500SH          X         01                  500
JOHNSON & JOHNSON         COM             478160104      40,754   676,303SH      X             01      652,981  10,385    12,937
JOHNSON & JOHNSON         COM             478160104       6,605   109,614SH              X     01       23,660  85,817       137
JOHNSON CTLS INC          COM             478366107      26,479   279,848SH      X             01      275,363   3,408     1,077
JOHNSON CTLS INC          COM             478366107       2,848    30,103SH              X     01        2,535  24,384     3,184
JUNIPER NETWORKS INC      COM             48203R104       5,229   265,704SH      X             01      265,704
KKR FINL CORP             COM             482476306         217     7,922SH      X             01        6,503   1,419
KKR FINL CORP             COM             482476306          27     1,000SH              X     01                1,000
KT CORP                   SPONSORED ADR   48268K101          63     2,820SH      X             01        2,820
KT CORP                   SPONSORED ADR   48268K101         706    31,533SH              X     01               31,533
K2 INC                    COM             482732104         300    24,774SH      X             01       24,774
KADANT INC                COM             48282T104       1,270    50,064SH      X             01       49,968                96
KAYNE ANDERSON MLP INVT   COM             486606106         249     7,076SH      X             01        7,076
KB HOME                   COM             48666K109         206     4,839SH      X             01        4,795      44
KB HOME                   COM             48666K109          10       232SH              X     01                  232
KELLOGG CO                COM             487836108      12,174   236,706SH      X             01      234,673     519     1,514
KELLOGG CO                COM             487836108       7,223   140,449SH              X     01       12,814 127,635
KELLWOOD CO               COM             488044108         454    15,489SH      X             01       15,489
KENEXA CORP               COM             488879107       1,368    43,946SH      X             01       43,863                83
KEYCORP NEW               COM             493267108       7,171   191,380SH      X             01      190,487      50       843
KEYCORP NEW               COM             493267108         351     9,367SH              X     01        4,546   4,821
KEYSPAN CORP              COM             49337W100         425    10,331SH      X             01       10,202      70        59
KEYSPAN CORP              COM             49337W100          55     1,339SH              X     01          500     839
KIMBERLY CLARK CORP       COM             494368103      15,888   231,977SH      X             01      217,027  12,794     2,156
KIMBERLY CLARK CORP       COM             494368103       4,965    72,487SH              X     01       20,539  50,048     1,900
KIMCO REALTY CORP         COM             49446R109       3,126    64,136SH      X             01       63,701      25       410
KIMCO REALTY CORP         COM             49446R109         145     2,967SH              X     01                2,967
KINDER MORGAN INC KANS    COM             49455P101       1,319    12,387SH      X             01       12,387
KINDER MORGAN INC KANS    COM             49455P101           1         5SH              X     01                    5





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
KINDER MORGAN ENERGY      UT LTD PARTNER  494550106         354     6,729SH      X             01        6,729
KINDER MORGAN ENERGY      UT LTD PARTNER  494550106         491     9,327SH              X     01          160   7,480     1,687
KINDRED HEALTHCARE INC    COM             494580103       1,393    42,487SH      X             01       42,408                79
KINROSS GOLD CORP         COM NO PAR      496902404       1,817   131,769SH      X             01      131,614               155
KINROSS GOLD CORP         COM NO PAR      496902404         118     8,524SH              X     01                8,524
KOHLS CORP                COM             500255104      20,657   269,636SH      X             01      258,656   7,565     3,415
KOHLS CORP                COM             500255104       3,096    40,411SH              X     01        5,890  33,271     1,250
KONINKLIJKE AHOLD N V     SPON ADR NEW    500467303         223    19,025SH      X             01       19,025
KONINKLIJKE AHOLD N V     SPON ADR NEW    500467303           8       705SH              X     01                  705
KONINKLIJKE PHILIPS       NY REG SH NEW   500472303         589    15,455SH      X             01       15,455
KOREA ELECTRIC PWR        SPONSORED ADR   500631106         125     6,240SH      X             01        6,240
KOREA ELECTRIC PWR        SPONSORED ADR   500631106         406    20,305SH              X     01               20,305
KRAFT FOODS INC           CL A            50075N104         373    11,781SH      X             01       11,781
KRAFT FOODS INC           CL A            50075N104          16       521SH              X     01          265     256
KROGER CO                 COM             501044101      13,194   467,059SH      X             01      467,059
KROGER CO                 COM             501044101         120     4,249SH              X     01                4,249
KULICKE & SOFFA INDS      COM             501242101         251    27,098SH      X             01       27,098
KYPHON INC                COM             501577100       2,939    65,100SH      X             01       65,030                70
LSI INDS INC              COM             50216C108       1,684   100,577SH      X             01      100,387               190
LSI LOGIC CORP            COM             502161102         124    11,889SH      X             01       11,889
LSI LOGIC CORP            COM             502161102          22     2,145SH              X     01                2,145
L-3 COMMUNICATNS HLDGS    COM             502424104         547     6,254SH      X             01        6,254
L-3 COMMUNICATNS HLDGS    COM             502424104          47       538SH              X     01          365     173
LABORATORY CORP AMER      COM NEW         50540R409       1,310    18,036SH      X             01       16,198             1,838
LABORATORY CORP AMER      COM NEW         50540R409         155     2,134SH              X     01                2,134
LADISH INC                COM NEW         505754200       2,002    53,181SH      X             01       53,082                99
LAM RESEARCH CORP         COM             512807108       3,249    68,626SH      X             01       68,626
LAM RESEARCH CORP         COM             512807108          37       780SH              X     01                  780
LANDEC CORP               COM             514766104       2,339   164,967SH      X             01      164,656               311
LAUDER ESTEE COS INC      CL A            518439104       6,751   138,192SH      X             01      132,933   3,464     1,795
LAUDER ESTEE COS INC      CL A            518439104         478     9,794SH              X     01          100   9,694
LEAP WIRELESS INTL INC    COM NEW         521863308       1,995    30,229SH      X             01       30,229
LEGGETT & PLATT INC       COM             524660107       1,707    75,286SH      X             01       75,076               210
LEGGETT & PLATT INC       COM             524660107          38     1,680SH              X     01                1,680
LEGG MASON INC            COM             524901105         509     5,402SH      X             01        5,227               175
LEGG MASON INC            COM             524901105         490     5,197SH              X     01                5,197
LEHMAN BROS HLDGS INC     COM             524908100      10,449   149,116SH      X             01      148,174      50       892
LEHMAN BROS HLDGS INC     COM             524908100         272     3,886SH              X     01          640   3,246
LENNAR CORP               CL A            526057104       7,980   189,043SH      X             01      189,043
LENNAR CORP               CL A            526057104         158     3,750SH              X     01                3,750
LIBERTY MEDIA HLDG CORP   INT COM SER A   53071M104       2,176    91,372SH      X             01       91,372
LIBERTY MEDIA HLDG CORP   INT COM SER A   53071M104         207     8,684SH              X     01                8,684
LIBERTY MEDIA HLDG CORP   CAP COM SER A   53071M302       9,991    90,340SH      X             01       90,340
LIBERTY MEDIA HLDG CORP   CAP COM SER A   53071M302          22       202SH              X     01                  202
LIFE TIME FITNESS INC     COM             53217R207       4,495    87,444SH      X             01       87,210               234
LIFECORE BIOMEDICAL INC   COM             532187101         244    13,000SH      X             01       13,000
LIHIR GOLD LTD            SPONSORED ADR   532349107         280    10,742SH              X     01               10,742
LILLY ELI & CO            COM             532457108      24,134   449,333SH      X             01      441,573   5,263     2,497
LILLY ELI & CO            COM             532457108      15,433   287,331SH              X     01      258,569  27,162     1,600
LIMITED BRANDS INC        COM             532716107         519    19,913SH      X             01       19,854      59
LIMITED BRANDS INC        COM             532716107          53     2,047SH              X     01                2,047
LINCOLN NATL CORP IND     COM             534187109       5,361    79,080SH      X             01       78,892               188
LINCOLN NATL CORP IND     COM             534187109       1,918    28,295SH              X     01       16,916  11,379
LINSAY CORPORATION        COM             535555106       2,413    75,916SH      X             01       75,768               148
LINEAR TECHNOLOGY CORP    COM             535678106         131     4,152SH      X             01        4,122      30
LINEAR TECHNOLOGY CORP    COM             535678106         214     6,776SH              X     01                6,776
LIZ CLAIBORNE INC         COM             539320101       2,824    65,906SH      X             01       65,741               165
LIZ CLAIBORNE INC         COM             539320101          10       226SH              X     01                  226
LLOYDS TSB GROUP PLC      SPONSORED ADR   539439109         219     4,915SH      X             01        4,915
LLOYDS TSB GROUP PLC      SPONSORED ADR   539439109          16       355SH              X     01                  355
LOCKHEED MARTIN CORP      COM             539830109      25,073   258,431SH      X             01      254,866     972     2,593
LOCKHEED MARTIN CORP      COM             539830109       1,629    16,791SH              X     01        1,463  13,980     1,348
LOEWS CORP                COM             540424108         755    16,615SH      X             01       16,615
LOEWS CORP                COM             540424108         172     3,794SH              X     01                3,794
LONGVIEW FIBRE CO         COM             543213102         794    32,257SH      X             01       28,249   3,000     1,008
LOUISIANA PAC CORP        COM             546347105         849    42,318SH      X             01       42,318
LOWES COS INC             COM             548661107       4,537   144,093SH      X             01      141,683   2,140       270
LOWES COS INC             COM             548661107         954    30,298SH              X     01        5,325  24,973
LYONDELL CHEMICAL CO      COM             552078107       1,557    51,945SH      X             01       51,945
MAF BANCORP INC           COM             55261R108         318     7,684SH      X             01        6,254             1,430
MAF BANCORP INC           COM             55261R108          59     1,422SH              X     01          632     790
MBIA INC                  COM             55262C100         805    12,299SH      X             01       11,692      37       570
MBIA INC                  COM             55262C100         363     5,538SH              X     01                5,538
MDU RES GROUP INC         COM             552690109       4,123   143,460SH      X             01       94,225  49,235
MDU RES GROUP INC         COM             552690109         361    12,564SH              X     01               12,564
MEMC ELECTR MATLS INC     COM             552715104       4,611    76,119SH      X             01       75,350               769
MEMC ELECTR MATLS INC     COM             552715104         116     1,919SH              X     01                1,919
MGE ENERGY INC            COM             55277P104       2,035    57,397SH      X             01       53,797             3,600
MGE ENERGY INC            COM             55277P104         133     3,760SH              X     01                3,760
MGIC INVT CORP WIS        COM             552848103      12,421   210,815SH      X             01      210,445     300        70
MGIC INVT CORP WIS        COM             552848103         302     5,134SH              X     01                5,134
MGM MIRAGE                COM             552953101         647     9,310SH      X             01        7,612             1,698
MGM MIRAGE                COM             552953101         216     3,112SH              X     01                3,112
MSC SOFTWARE CORP         COM             553531104         245    17,800SH      X             01       17,800
MWI VETERINARY SUPPLY     COM             55402X105       1,713    51,902SH      X             01       51,804                98
MWI VETERINARY SUPPLY     COM             55402X105           8       242SH              X     01                  242
MADISON/CLAYMORE CVRD     COM             556582104         204    13,400SH      X             01       13,400
MAGNA INTL INC            CL A            559222401         108     1,440SH      X             01        1,440
MAGNA INTL INC            CL A            559222401         414     5,510SH              X     01                5,510
MANITOWOC INC             COM             563571108       4,802    75,588SH      X             01       75,588





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
MANITOWOC INC             COM             563571108          17       275SH              X     01                  275
MANOR CARE INC NEW        COM             564055101       2,993    55,059SH      X             01       55,059
MANOR CARE INC NEW        COM             564055101          22       397SH              X     01                  397
MANPOWER INC              COM             56418H100       9,161   124,178SH      X             01      124,178
MANPOWER INC              COM             56418H100         156     2,115SH              X     01                2,115
MANULIFE FINL CORP        COM             56501R106         576    16,714SH      X             01       16,714
MANULIFE FINL CORP        COM             56501R106          26       758SH              X     01                  758
MARATHON OIL CORP         COM             565849106      10,696   108,223SH      X             01      107,025      76     1,122
MARATHON OIL CORP         COM             565849106         345     3,489SH              X     01                3,489
MARCUS CORP               COM             566330106          91     3,919SH      X             01        2,369             1,550
MARCUS CORP               COM             566330106         480    20,650SH              X     01          300  20,350
MARSH & MCLENNAN COS      COM             571748102         844    28,801SH      X             01       28,671     130
MARSH & MCLENNAN COS      COM             571748102         245     8,375SH              X     01                8,375
MARSHALL & ILSLEY CORP    COM             571834100     194,492 4,199,783SH      X             01    2,378,200  49,214 1,772,369
MARSHALL & ILSLEY CORP    COM             571834100      81,795 1,766,251SH              X     01      435,548 698,201   632,502
MARRIOTT INTL INC NEW     CL A            571903202         262     5,355SH      X             01        5,355
MARRIOTT INTL INC NEW     CL A            571903202           3        56SH              X     01                   56
MASCO CORP                COM             574599106       4,321   157,704SH      X             01      156,969      40       695
MASCO CORP                COM             574599106          73     2,668SH              X     01          300   2,368
MASTERCARD INC            CL A            57636Q104       1,609    15,149SH      X             01       15,149
MATTEL INC                COM             577081102       1,746    63,346SH      X             01       63,136               210
MATTEL INC                COM             577081102         178     6,468SH              X     01                4,307     2,161
MAXIMUS INC               COM             577933104         447    12,970SH      X             01       12,970
MCCORMICK & CO INC        COM NON VTG     579780206         643    16,699SH      X             01       16,578      61        60
MCCORMICK & CO INC        COM NON VTG     579780206          21       541SH              X     01                  541
MCDONALDS CORP            COM             580135101      11,809   262,120SH      X             01      259,155   2,417       548
MCDONALDS CORP            COM             580135101       2,088    46,358SH              X     01       27,100  18,858       400
MCGRAW HILL COS INC       COM             580645109       5,257    83,598SH      X             01       77,127   6,412        59
MCGRAW HILL COS INC       COM             580645109         624     9,930SH              X     01                9,930
MCKESSON CORP             COM             58155Q103         855    14,605SH      X             01       14,605
MCKESSON CORP             COM             58155Q103           1        15SH              X     01                   15
MEADWESTVACO CORP         COM             583334107      11,508   373,148SH      X             01      372,978               170
MEADWESTVACO CORP         COM             583334107         343    11,106SH              X     01               11,106
MEDCATH CORP              COM             58404W109       1,536    56,254SH      X             01       56,146               108
MEDCO HEALTH SOLUTIONS    COM             58405U102       3,805    52,462SH      X             01       52,311      83        68
MEDCO HEALTH SOLUTIONS    COM             58405U102         222     3,061SH              X     01                3,061
MEDICIS PHARMACEUTICAL    CL A NEW        584690309       1,850    60,024SH      X             01       59,961                63
MEDICIS PHARMACEUTICAL    CL A NEW        584690309          11       346SH              X     01                  346
MEDIMMUNE INC             COM             584699102      11,213   308,121SH      X             01      304,024   1,420     2,677
MEDIMMUNE INC             COM             584699102       1,138    31,282SH              X     01          525  30,757
MEDTRONIC INC             COM             585055106      15,179   309,405SH      X             01      305,098   1,652     2,655
MEDTRONIC INC             COM             585055106       1,547    31,524SH              X     01        1,600  29,808       116
MELLON FINL CORP          COM             58551A108       1,593    36,928SH      X             01       34,581             2,347
MELLON FINL CORP          COM             58551A108         116     2,696SH              X     01          520   2,176
MERCK & CO INC            COM             589331107      14,329   324,411SH      X             01      315,331   5,220     3,860
MERCK & CO INC            COM             589331107       3,373    76,357SH              X     01       24,612  50,345     1,400
MEREDITH CORP             COM             589433101         720    12,539SH      X             01       11,957      22       560
MEREDITH CORP             COM             589433101          20       344SH              X     01                  344
MERRILL LYNCH & CO INC    COM             590188108      15,971   195,556SH      X             01      194,723      80       753
MERRILL LYNCH & CO INC    COM             590188108         190     2,327SH              X     01          100   2,227
METLIFE INC               COM             59156R108       1,589    25,160SH      X             01       25,037      65        58
METLIFE INC               COM             59156R108          53       847SH              X     01          100     747
MICROSOFT CORP            COM             594918104      53,911 1,934,359SH      X             01    1,858,970  35,428    39,961
MICROSOFT CORP            COM             594918104       8,276   296,956SH              X     01       41,248 254,570     1,138
MICROCHIP TECHNOLOGY      COM             595017104         463    13,032SH      X             01       12,981                51
MICROCHIP TECHNOLOGY      COM             595017104           4       112SH              X     01                  112
MIDCAP SPDR TR            UNIT SER 1      595635103       7,863    50,867SH      X             01       50,731               136
MIDCAP SPDR TR            UNIT SER 1      595635103         734     4,750SH              X     01                4,750
MIDDLEBY CORP             COM             596278101       3,190    24,198SH      X             01       24,152                46
MIDDLEBY CORP             COM             596278101          19       141SH              X     01           55      86
MILLIPORE CORP            COM             601073109         364     5,028SH      X             01        5,028
MILLIPORE CORP            COM             601073109           1        11SH              X     01                   11
MITSUBISHI UFJ FINL GRP   SPONSORED ADR   606822104         177    15,760SH      X             01       15,760
MITSUBISHI UFJ FINL GRP   SPONSORED ADR   606822104           5       480SH              X     01                  480
MODINE MFG CO             COM             607828100       1,997    87,209SH      X             01       87,209
MODINE MFG CO             COM             607828100         472    20,600SH              X     01        2,000  18,400       200
MOHAWK INDS INC           COM             608190104       9,311   113,476SH      X             01      113,476
MOLSON COORS BREWING CO   CL B            60871R209       3,852    40,709SH      X             01       40,284     425
MOLSON COORS BREWING CO   CL B            60871R209          30       315SH              X     01                  315
MONSANTO CO NEW           COM             61166W101       3,309    60,207SH      X             01       60,153                54
MONSANTO CO NEW           COM             61166W101         585    10,653SH              X     01               10,653
MOODYS CORP               COM             615369105       1,101    17,746SH      X             01       17,640      60        46
MOODYS CORP               COM             615369105         212     3,422SH              X     01           50   3,172       200
MOOG INC                  CL A            615394202       3,030    72,749SH      X             01       72,622               127
MORGAN STANLEY            COM NEW         617446448      23,686   300,735SH      X             01      297,244   1,510     1,981
MORGAN STANLEY            COM NEW         617446448       2,096    26,611SH              X     01          738  25,473       400
MORGANS HOTEL GROUP CO    COM             61748W108       1,849    88,008SH      X             01       87,842               166
MOTOROLA INC              COM             620076109       7,803   441,587SH      X             01      440,898     212       477
MOTOROLA INC              COM             620076109         466    26,400SH              X     01        5,600  20,800
MURPHY OIL CORP           COM             626717102      10,209   191,181SH      X             01      191,181
MURPHY OIL CORP           COM             626717102         378     7,080SH              X     01                7,080
MYLAN LABS INC            COM             628530107       1,527    72,254SH      X             01       72,254
MYLAN LABS INC            COM             628530107          66     3,132SH              X     01                3,132
NCR CORP NEW              COM             62886E108         466     9,762SH      X             01        9,762
NCR CORP NEW              COM             62886E108           8       162SH              X     01                  162
NII HLDGS INC             CL B NEW        62913F201       2,428    32,733SH      X             01       32,733
NASDAQ 100 TR             UNIT SER 1      631100104       1,025    23,549SH      X             01       20,547             3,002
NASDAQ 100 TR             UNIT SER 1      631100104         232     5,337SH              X     01        3,837   1,500
NATIONAL CINEMEDIA INC    COM             635309107       3,851   144,244SH      X             01      144,093               151
NATIONAL CITY CORP        COM             635405103      12,709   341,174SH      X             01      337,955     203     3,016





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
NATIONAL CITY CORP        COM             635405103         469    12,604SH              X     01        5,288   7,316
NATIONAL FUEL GAS CO      COM             636180101         570    13,169SH      X             01       13,044     125
NATIONAL FUEL GAS CO      COM             636180101          76     1,764SH              X     01                1,232       532
NATIONAL OILWELL VARCO    COM             637071101       1,805    23,200SH      X             01       23,160                40
NATIONAL OILWELL VARCO    COM             637071101          82     1,055SH              X     01                1,055
NATIONAL SEMICONDUCTOR    COM             637640103         525    21,734SH      X             01       21,550     128        56
NATIONAL SEMICONDUCTOR    COM             637640103          65     2,712SH              X     01        1,400   1,312
NATUS MEDICAL INC DEL     COM             639050103       2,259   127,126SH      X             01      126,886               240
NAVTEQ CORP               COM             63936L100         837    24,251SH      X             01       24,190                61
NAVTEQ CORP               COM             63936L100          45     1,304SH              X     01                1,304
NETWORK APPLIANCE INC     COM             64120L104       2,695    73,795SH      X             01       73,551               244
NETWORK APPLIANCE INC     COM             64120L104          13       344SH              X     01                  344
NEW RIV PHARMACEUTICALS   COM             648468205       2,019    31,734SH      X             01       31,674                60
NEW YORK TIMES CO         CL A            650111107       1,453    61,813SH      X             01       61,333      25       455
NEW YORK TIMES CO         CL A            650111107          35     1,485SH              X     01                1,485
NEWALLIANCE BANCSHARES    COM             650203102         166    10,229SH      X             01       10,229
NEWELL RUBBERMAID INC     COM             651229106       8,305   267,116SH      X             01      266,116     320       680
NEWELL RUBBERMAID INC     COM             651229106         366    11,771SH              X     01               11,771
NEWFIELD EXPL CO          COM             651290108       6,583   157,829SH      X             01      157,829
NEWMONT MINING CORP       COM             651639106         689    16,404SH      X             01       16,359      32        13
NEWMONT MINING CORP       COM             651639106         107     2,541SH              X     01                2,541
NEWS CORP                 CL A            65248E104       4,347   188,037SH      X             01      187,842               195
NEWS CORP                 CL A            65248E104         269    11,653SH              X     01        1,000  10,653
NEXCEN BRANDS INC         COM             653351106       3,134   315,914SH      X             01      315,309               605
NICHOLS-APPLEGATE CONV    COM             65370F101         339    21,000SH      X             01       21,000
NICOR INC                 COM             654086107       2,121    43,795SH      X             01       43,570      10       215
NICOR INC                 COM             654086107          73     1,506SH              X     01                1,441        65
NIKE INC                  CL B            654106103       7,215    67,898SH      X             01       66,919     530       449
NIKE INC                  CL B            654106103         343     3,230SH              X     01                3,230
NIPPON TELEG & TEL CORP   SPONSORED ADR   654624105         206     7,813SH      X             01        7,813
NIPPON TELEG & TEL CORP   SPONSORED ADR   654624105         691    26,151SH              X     01               26,151
NISOURCE INC              COM             65473P105       1,875    76,723SH      X             01       74,493      25     2,205
NISOURCE INC              COM             65473P105         191     7,808SH              X     01        5,132   2,676
NOKIA CORP                SPONSORED ADR   654902204       1,710    74,615SH      X             01       72,755   1,860
NOKIA CORP                SPONSORED ADR   654902204       1,431    62,455SH              X     01       32,000  26,135     4,320
NOBLE ENERGY INC          COM             655044105      13,819   231,674SH      X             01      231,674
NOBLE ENERGY INC          COM             655044105         133     2,229SH              X     01                2,229
NORDSTROM INC             COM             655664100       1,703    32,164SH      X             01       29,554      54     2,556
NORDSTROM INC             COM             655664100         150     2,835SH              X     01          200   2,635
NORFOLK SOUTHERN CORP     COM             655844108       5,033    99,475SH      X             01       97,138     140     2,197
NORFOLK SOUTHERN CORP     COM             655844108          60     1,188SH              X     01                1,188
NORTH EUROPEAN OIL RTY    SH BEN INT      659310106         235     6,300SH      X             01        6,300
NORTHERN TR CORP          COM             665859104       8,529   141,816SH      X             01      139,466   1,380       970
NORTHERN TR CORP          COM             665859104         906    15,065SH              X     01        1,160  13,905
NORTHROP GRUMMAN CORP     COM             666807102       5,016    67,586SH      X             01       66,829     736        21
NORTHROP GRUMMAN CORP     COM             666807102         358     4,820SH              X     01                4,820
NOVARTIS A G              SPONSORED ADR   66987V109       1,449    26,525SH      X             01       24,278             2,247
NOVARTIS A G              SPONSORED ADR   66987V109         427     7,822SH              X     01          390   7,432
NOVAVAX INC               COM             670002104         275   106,160SH      X             01      106,160
NOVELL INC                COM             670006105         352    48,768SH      X             01       48,768
NOVELL INC                COM             670006105           4       570SH              X     01                  570
NOVELLUS SYS INC          COM             670008101       3,648   113,915SH      X             01      113,915
NOVELLUS SYS INC          COM             670008101           0         5SH              X     01                    5
NUANCE COMMUNICATIONS     COM             67020Y100         162    10,579SH      X             01       10,579
NUANCE COMMUNICATIONS     COM             67020Y100          42     2,724SH              X     01                2,724
NUCOR CORP                COM             670346105       8,114   124,585SH      X             01      124,541      44
NUCOR CORP                COM             670346105         102     1,569SH              X     01                1,569
NVIDIA CORP               COM             67066G104       1,726    59,986SH      X             01       59,786     200
NVIDIA CORP               COM             67066G104         194     6,746SH              X     01                6,746
NUVASIVE INC              COM             670704105       2,419   101,855SH      X             01      101,660               195
NUVEEN QLTY PFD INC FD    COM             67071S101         195    13,824SH      X             01       13,824
NXSTAGE MEDICAL INC       COM             67072V103         796    59,769SH      X             01       59,656               113
OGE ENERGY CORP           COM             670837103       3,120    80,424SH      X             01       80,424
OGE ENERGY CORP           COM             670837103         118     3,035SH              X     01        2,556     479
NUVEEN INVTS INC          CL A            67090F106       2,662    56,274SH      X             01       56,214                60
OSI SYSTEMS INC           COM             671044105       2,133    80,667SH      X             01       80,514               153
OCCIDENTAL PETE CORP      COM             674599105       5,366   108,812SH      X             01      107,973     628       211
OCCIDENTAL PETE CORP      COM             674599105         674    13,674SH              X     01        3,720   9,954
OCEANEERING INTL INC      COM             675232102          38       913SH      X             01          913
OCEANEERING INTL INC      COM             675232102         224     5,329SH              X     01          174   5,155
ODYSSEY MARINE EXPLRTN    COM             676118102         110    30,140SH      X             01       30,140
OFFICEMAX INC DEL         COM             67622P101         610    11,558SH      X             01       11,486                72
OFFICEMAX INC DEL         COM             67622P101           5       100SH              X     01                  100
OFFICE DEPOT INC          COM             676220106         317     9,016SH      X             01        9,016
OFFICE DEPOT INC          COM             676220106           8       238SH              X     01                  238
OLD REP INTL CORP         COM             680223104       1,652    74,675SH      X             01       72,960             1,715
OLD REP INTL CORP         COM             680223104       8,365   378,187SH              X     01        1,406 376,781
OMNICARE INC              COM             681904108      10,245   257,603SH      X             01      257,603
OMNICOM GROUP INC         COM             681919106       1,001     9,782SH      X             01        9,753      29
OMNICOM GROUP INC         COM             681919106          12       122SH              X     01                  122
ON ASSIGNMENT INC         COM             682159108       1,900   153,142SH      X             01      152,849               293
ONEOK INC NEW             COM             682680103       3,076    68,361SH      X             01       68,361
ORACLE CORP               COM             68389X105      11,214   618,515SH      X             01      608,900     540     9,075
ORACLE CORP               COM             68389X105         957    52,789SH              X     01       33,710  19,079
OSHKOSH TRUCK CORP        COM             688239201         686    12,934SH      X             01       12,934
OSHKOSH TRUCK CORP        COM             688239201       2,587    48,810SH              X     01               48,810
PG&E CORP                 COM             69331C108       6,343   131,412SH      X             01      131,382                30
PG&E CORP                 COM             69331C108         116     2,404SH              X     01                1,882       522
PICO HLDGS INC            COM NEW         693366205       1,250    29,267SH      X             01       29,211                56
PNC FINL SVCS GROUP INC   COM             693475105       4,663    64,788SH      X             01       64,788





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
PNC FINL SVCS GROUP INC   COM             693475105         601     8,356SH              X     01                6,756     1,600
PNM RES INC               COM             69349H107         210     6,515SH      X             01        6,515
PPG INDS INC              COM             693506107       3,199    45,500SH      X             01       45,315      10       175
PPG INDS INC              COM             693506107         375     5,339SH              X     01        4,000   1,339
PPL CORP                  COM             69351T106      14,617   357,392SH      X             01      357,392
PPL CORP                  COM             69351T106          17       410SH              X     01                  410
PACCAR INC                COM             693718108         854    11,633SH      X             01       11,569      33        31
PACCAR INC                COM             693718108          84     1,140SH              X     01                1,140
PACER INTL INC TENN       COM             69373H106         205     7,600SH      X             01        7,600
PACKAGING CORP AMER       COM             695156109       9,021   369,717SH      X             01      369,717
PACTIV CORP               COM             695257105         179     5,317SH      X             01        5,228      89
PACTIV CORP               COM             695257105          61     1,814SH              X     01                1,814
PARALLEL PETE CORP DEL    COM             699157103       3,461   150,816SH      X             01      150,529               287
PARAMETRIC TECHNOLOGY     COM NEW         699173209       1,296    68,225SH      X             01       68,225
PAREXEL INTL CORP         COM             699462107       2,034    56,543SH      X             01       56,435               108
PARKER HANNIFIN CORP      COM             701094104       3,936    45,603SH      X             01       45,563      40
PARKER HANNIFIN CORP      COM             701094104         304     3,520SH              X     01          755   2,765
PATTERSON COMPANIES INC   COM             703395103         207     5,836SH      X             01        5,836
PAXAR CORP                COM             704227107         339    11,822SH      X             01       11,822
PAYCHEX INC               COM             704326107         647    17,090SH      X             01       16,969      50        71
PAYCHEX INC               COM             704326107         101     2,679SH              X     01                2,679
PEABODY ENERGY CORP       COM             704549104         328     8,150SH      X             01        8,150
PEABODY ENERGY CORP       COM             704549104         132     3,283SH              X     01                2,283     1,000
PENGROWTH ENERGY TR       TR UNIT NEW     706902509         515    30,505SH      X             01       30,505
PENGROWTH ENERGY TR       TR UNIT NEW     706902509          17     1,000SH              X     01        1,000
PENN VA CORP              COM             707882106          25       343SH      X             01          343
PENN VA CORP              COM             707882106         313     4,268SH              X     01        4,268
PENNEY J C INC            COM             708160106      15,906   193,593SH      X             01      190,795     353     2,445
PENNEY J C INC            COM             708160106       2,551    31,054SH              X     01           75  30,279       700
PEPSI BOTTLING GROUP      COM             713409100         343    10,767SH      X             01       10,767
PEPSI BOTTLING GROUP      COM             713409100           7       218SH              X     01                  218
PEPSICO INC               COM             713448108      27,393   430,981SH      X             01      415,734  10,409     4,838
PEPSICO INC               COM             713448108       6,365   100,137SH              X     01       21,697  66,663    11,777
PERFICIENT INC            COM             71375U101       1,699    85,903SH      X             01       85,740               163
PERKINELMER INC           COM             714046109         531    21,927SH      X             01       21,868      59
PERKINELMER INC           COM             714046109          13       531SH              X     01                  531
PEROT SYS CORP            CL A            714265105         376    21,049SH      X             01       17,249             3,800
PERRIGO CO                COM             714290103         264    14,929SH      X             01       14,929
PERRIGO CO                COM             714290103          30     1,700SH              X     01                1,700
PETROHAWK ENERGY CORP     COM             716495106         125     9,519SH      X             01        9,519
PETROHAWK ENERGY CORP     COM             716495106          35     2,650SH              X     01          425   2,225
PETROLEUM DEV CORP        COM             716578109       1,930    36,025SH      X             01       35,956                69
PFIZER INC                COM             717081103      46,693 1,848,510SH      X             01    1,795,233  32,506    20,771
PFIZER INC                COM             717081103       6,673   264,159SH              X     01       49,910 210,857     3,392
PHASE FORWARD INC         COM             71721R406       1,402   106,808SH      X             01      106,606               202
PHILADELPHIA CONS HLDG    COM             717528103       2,067    46,989SH      X             01       46,989
PHILADELPHIA CONS HLDG    COM             717528103          56     1,274SH              X     01                1,274
PILGRIMS PRIDE CORP       COM             721467108       9,421   283,845SH      X             01      281,445             2,400
PINNACLE WEST CAP CORP    COM             723484101       4,563    94,565SH      X             01       93,970      35       560
PINNACLE WEST CAP CORP    COM             723484101         101     2,102SH              X     01                2,102
PITNEY BOWES INC          COM             724479100       4,836   106,548SH      X             01      105,953      30       565
PITNEY BOWES INC          COM             724479100         217     4,779SH              X     01                4,179       600
PLAINS ALL AMERN PIPLN    UNIT LTD PARTN  726503105         370     6,417SH      X             01        5,237             1,180
PLUM CREEK TIMBER CO      COM             729251108       9,486   240,627SH      X             01      237,462     165     3,000
PLUM CREEK TIMBER CO      COM             729251108       1,102    27,959SH              X     01        2,100  25,859
POLO RALPH LAUREN CORP    CL A            731572103       2,007    22,764SH      X             01       22,764
POLO RALPH LAUREN CORP    CL A            731572103           0         5SH              X     01                    5
POWELL INDS INC           COM             739128106         893    27,900SH              X     01               27,900
POWERSHARES ETF TRUST     PRVT EQTY PORT  73935X195         247     9,180SH      X             01        9,180
POWERSHARES ETF TRUST     HI YLD EQ DVDN  73935X302         555    35,060SH      X             01       35,060
POWERSHARES ETF TRUST     WNDRHLL CLN EN  73935X500         236    12,500SH      X             01       12,500
POWERSHARES ETF TRUST     FTSE US1500 SM  73935X567         228     4,087SH      X             01        4,087
POWERSHARES ETF TRUST     WATER RESOURCE  73935X575         377    20,150SH      X             01       20,150
POWERSHARES ETF TRUST     WATER RESOURCE  73935X575          19     1,000SH              X     01                1,000
POWERSHARES ETF TRUST     FTSE RAFI 1000  73935X583       3,516    59,773SH      X             01       32,773     800    26,200
POWERSHARES ETF TRUST     FTSE RAFI 1000  73935X583          41       700SH              X     01                  700
POWERSHARES ETF TRUST     DYN BIOT & GEN  73935X856         180    10,000SH      X             01       10,000
PRAXAIR INC               COM             74005P104       5,442    86,442SH      X             01       81,487      80     4,875
PRAXAIR INC               COM             74005P104         702    11,148SH              X     01        7,600   3,548
PRECISION CASTPARTS       COM             740189105       5,818    55,912SH      X             01       54,302             1,610
PRECISION CASTPARTS       COM             740189105          66       638SH              X     01                  638
PRICE T ROWE GROUP INC    COM             74144T108       2,391    50,664SH      X             01       50,502      66        96
PRICE T ROWE GROUP INC    COM             74144T108         232     4,922SH              X     01        3,875   1,047
PRICELINE COM INC         COM NEW         741503403       6,345   119,135SH      X             01      119,009               126
PRINCIPAL FINANCIAL GRP   COM             74251V102       1,035    17,292SH      X             01       17,200      29        63
PRINCIPAL FINANCIAL GRP   COM             74251V102         140     2,332SH              X     01                2,332
PROASSURANCE CORP         COM             74267C106         222     4,345SH      X             01        4,345
PROASSURANCE CORP         COM             74267C106          24       470SH              X     01                  470
PROCTER & GAMBLE CO       COM             742718109      50,376   797,596SH      X             01      775,314   9,418    12,864
PROCTER & GAMBLE CO       COM             742718109      10,706   169,510SH              X     01       34,595 134,506       409
PROGRESS ENERGY INC       COM             743263105      24,979   495,228SH      X             01      492,226     217     2,785
PROGRESS ENERGY INC       COM             743263105         318     6,299SH              X     01                6,299
PROGRESSIVE CORP OHIO     COM             743315103       6,906   316,492SH      X             01      311,318     156     5,018
PROGRESSIVE CORP OHIO     COM             743315103         381    17,446SH              X     01               17,446
PROLIANCE INTL INC        COM             74340R104         284    75,073SH      X             01       75,073
PROLOGIS                  SH BEN INT      743410102       5,813    89,533SH      X             01       89,358      10       165
PROLOGIS                  SH BEN INT      743410102          48       739SH              X     01                  739
PROTECTIVE LIFE CORP      COM             743674103      11,552   262,307SH      X             01      262,307
PRUDENTIAL FINL INC       COM             744320102       2,525    27,972SH      X             01       27,877      54        41
PRUDENTIAL FINL INC       COM             744320102          45       500SH              X     01          143     357





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
PSYCHIATRIC SOLUTIONS     COM             74439H108       6,095   151,208SH      X             01      151,054               154
PSYCHIATRIC SOLUTIONS     COM             74439H108          37       928SH              X     01          181     747
PUBLIC SVC ENTERPRISE     COM             744573106         750     9,027SH      X             01        9,027
PUBLIC SVC ENTERPRISE     COM             744573106         139     1,676SH              X     01                1,676
PUBLIC STORAGE INC        COM             74460D109         463     4,887SH      X             01        4,887
PUBLIC STORAGE INC        COM             74460D109          85       896SH              X     01                  896
PULTE HOMES INC           COM             745867101         269    10,175SH      X             01       10,041      56        78
PULTE HOMES INC           COM             745867101           6       228SH              X     01                  228
QUALCOMM INC              COM             747525103      12,071   282,950SH      X             01      277,204   1,337     4,409
QUALCOMM INC              COM             747525103       1,463    34,292SH              X     01          100  34,192
Q MED                     COM             747914109          65    14,640SH      X             01        1,640  13,000
QUEST DIAGNOSTICS INC     COM             74834L100         212     4,252SH      X             01        3,502               750
QUEST DIAGNOSTICS INC     COM             74834L100          40       807SH              X     01                  807
QUESTAR CORP              COM             748356102         228     2,553SH      X             01        2,553
QUESTAR CORP              COM             748356102          71       800SH              X     01                  800
QWEST COMMUNICATIONS      COM             749121109         481    53,469SH      X             01       53,469
QWEST COMMUNICATIONS      COM             749121109         115    12,832SH              X     01               12,832
RPM INTL INC              COM             749685103          42     1,808SH      X             01        1,808
RPM INTL INC              COM             749685103         260    11,250SH              X     01               11,250
RADIAN GROUP INC          COM             750236101         587    10,704SH      X             01       10,704
RADIAN GROUP INC          COM             750236101          61     1,117SH              X     01                1,117
RANGE RES CORP            COM             75281A109       1,246    37,300SH      X             01       37,300
RAYONIER INC              COM             754907103          79     1,832SH      X             01        1,832
RAYONIER INC              COM             754907103         430    10,000SH              X     01               10,000
RAYTHEON CO               COM NEW         755111507       1,541    29,380SH      X             01       29,380
RAYTHEON CO               COM NEW         755111507         271     5,170SH              X     01          279   4,891
REGAL BELOIT CORP         COM             758750103      24,423   526,583SH      X             01      526,583
REGAL BELOIT CORP         COM             758750103         382     8,246SH              X     01                8,246
REGIONS FINANCIAL CORP    COM             7591EP100      10,687   302,136SH      X             01      298,013   1,089     3,034
REGIONS FINANCIAL CORP    COM             7591EP100         330     9,316SH              X     01        2,300   7,016
REHABCARE GROUP INC       COM             759148109         505    31,850SH      X             01       31,850
RENT A CTR INC NEW        COM             76009N100       3,342   119,443SH      X             01      119,320               123
RENT A CTR INC NEW        COM             76009N100          28     1,000SH              X     01                1,000
REPUBLIC SVCS INC         COM             760759100       9,168   329,539SH      X             01      329,539
REPUBLIC SVCS INC         COM             760759100         116     4,155SH              X     01                4,155
RESMED INC                COM             761152107       1,575    31,259SH      X             01       31,259
RESMED INC                COM             761152107         129     2,558SH              X     01        1,675     883
RETAIL HOLDRS TR          DEP RCPT        76127U101         424     4,200SH      X             01        4,200
REYNOLDS AMERICAN INC     COM             761713106       6,666   106,811SH      X             01      105,668      40     1,103
REYNOLDS AMERICAN INC     COM             761713106         156     2,503SH              X     01                2,503
RIO TINTO PLC             SPONSORED ADR   767204100         214       939SH      X             01          939
RIO TINTO PLC             SPONSORED ADR   767204100         860     3,773SH              X     01                3,773
RITE AID CORP             COM             767754104          70    12,164SH      X             01       12,164
RITE AID CORP             COM             767754104           4       740SH              X     01           40     700
ROBERT HALF INTL INC      COM             770323103         414    11,184SH      X             01       11,184
ROBERT HALF INTL INC      COM             770323103           3        71SH              X     01                   71
ROCKWELL AUTOMATION INC   COM             773903109       1,925    32,152SH      X             01       32,077      38        37
ROCKWELL AUTOMATION INC   COM             773903109         397     6,639SH              X     01        1,325   2,414     2,900
ROCKWELL COLLINS INC      COM             774341101       4,844    72,371SH      X             01       72,266      70        35
ROCKWELL COLLINS INC      COM             774341101         402     5,999SH              X     01          450   5,549
ROGERS CORP               COM             775133101         274     6,185SH      X             01        6,185
ROPER INDS INC NEW        COM             776696106       2,320    42,270SH      X             01       42,270
ROSS STORES INC           COM             778296103      11,277   327,832SH      X             01      327,832
ROYAL DUTCH SHELL PLC     SPON ADR B      780259107         555     8,326SH      X             01        8,326
ROYAL DUTCH SHELL PLC     SPON ADR B      780259107         677    10,161SH              X     01               10,161
ROYAL DUTCH SHELL PLC     SPONS ADR A     780259206       6,235    94,046SH      X             01       94,046
ROYAL DUTCH SHELL PLC     SPONS ADR A     780259206       2,123    32,027SH              X     01       16,405  13,622     2,000
RUBY TUESDAY INC          COM             781182100         187     6,540SH      X             01        6,540
RUBY TUESDAY INC          COM             781182100          30     1,050SH              X     01                1,050
RYDER SYS INC             COM             783549108         372     7,532SH      X             01        7,532
RYDER SYS INC             COM             783549108          10       200SH              X     01                  200
RYDEX ETF TRUST           S&P 500 EQ TRD  78355W106         760    15,654SH      X             01       15,544               110
RYDEX ETF TRUST           S&P 500 EQ TRD  78355W106         125     2,584SH              X     01          829   1,755
SBA COMMUNICATIONS CORP   COM             78388J106       2,376    80,417SH      X             01       80,265               152
SBA COMMUNICATIONS CORP   COM             78388J106          59     2,000SH              X     01                2,000
SEI INVESTMENTS CO        COM             784117103         293     4,858SH      X             01        4,858
SEI INVESTMENTS CO        COM             784117103          72     1,200SH              X     01                1,200
SK TELECOM LTD            SPONSORED ADR   78440P108         155     6,615SH      X             01        6,615
SK TELECOM LTD            SPONSORED ADR   78440P108          54     2,291SH              X     01                2,291
SLM CORP                  COM             78442P106         229     5,597SH      X             01        5,518      47        32
SLM CORP                  COM             78442P106           5       113SH              X     01                  113
SPDR TR                   UNIT SER 1      78462F103      30,917   217,725SH      X             01      213,504   1,871     2,350
SPDR TR                   UNIT SER 1      78462F103       3,270    23,028SH              X     01        1,727  21,301
SPSS INC                  COM             78462K102       1,397    38,707SH      X             01       38,633                74
SPX CORP                  COM             784635104         263     3,746SH      X             01        3,746
SABRE HLDGS CORP          CL A            785905100         434    13,243SH      X             01       13,243
SABRE HLDGS CORP          CL A            785905100           4       125SH              X     01                  125
SAFECO CORP               COM             786429100         546     8,225SH      X             01        8,178      47
SAFECO CORP               COM             786429100           7       109SH              X     01                  109
SAFEWAY INC               COM NEW         786514208         438    11,954SH      X             01       11,954
SAFEWAY INC               COM NEW         786514208          18       500SH              X     01                  500
ST JUDE MED INC           COM             790849103         403    10,709SH      X             01       10,568      88        53
ST JUDE MED INC           COM             790849103         104     2,777SH              X     01                2,777
ST MARY LD & EXPL CO      COM             792228108       6,765   184,426SH      X             01      184,426
SAKS INC                  COM             79377W108         320    15,336SH      X             01       15,336
SANDISK CORP              COM             80004C101       1,177    26,879SH      X             01       26,879
SANDISK CORP              COM             80004C101           0        10SH              X     01                   10
SANMINA SCI CORP          COM             800907107          47    13,083SH      X             01       13,083
SANOFI AVENTIS            SPONSORED ADR   80105N105       1,813    41,660SH      X             01       41,262               398
SANOFI AVENTIS            SPONSORED ADR   80105N105         189     4,355SH              X     01                4,355





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
SAP AKTIENGESELLSCHAFT    SPONSORED ADR   803054204         509    11,410SH      X             01       10,847               563
SAP AKTIENGESELLSCHAFT    SPONSORED ADR   803054204         340     7,615SH              X     01        7,215     400
SARA LEE CORP             COM             803111103       4,093   241,897SH      X             01      237,629   3,185     1,083
SARA LEE CORP             COM             803111103         357    21,116SH              X     01        1,600  15,216     4,300
SATYAM COMPUTER SRVCS     ADR             804098101       1,289    56,803SH      X             01       56,803
SATYAM COMPUTER SRVCS     ADR             804098101         507    22,350SH              X     01        4,950  17,400
SAVVIS INC                COM NEW         805423308       2,714    56,681SH      X             01       56,574               107
SCANA CORP NEW            COM             80589M102         271     6,267SH      X             01        3,096             3,171
SCANA CORP NEW            COM             80589M102          39       895SH              X     01                  895
SCHEIN HENRY INC          COM             806407102         189     3,433SH      X             01        3,433
SCHEIN HENRY INC          COM             806407102          22       400SH              X     01                  400
SCHERING PLOUGH CORP      COM             806605101       3,169   124,235SH      X             01      123,989     134       112
SCHERING PLOUGH CORP      COM             806605101         202     7,912SH              X     01                5,912     2,000
SCHLUMBERGER LTD          COM             806857108       8,120   117,517SH      X             01      114,593     856     2,068
SCHLUMBERGER LTD          COM             806857108       2,435    35,240SH              X     01       18,228  16,812       200
SCHWAB CHARLES CORP       COM             808513105       1,002    54,799SH      X             01       54,799
SCHWAB CHARLES CORP       COM             808513105          44     2,430SH              X     01          200   2,230
SCIELE PHARMA INC         COM             808627103         215     9,093SH      X             01        9,093
SCIELE PHARMA INC         COM             808627103          35     1,459SH              X     01          213   1,246
SCOTTISH PWR PLC          SP ADR FNL NEW  81013T804         226     3,599SH      X             01        2,890               709
SCOTTISH PWR PLC          SP ADR FNL NEW  81013T804          17       264SH              X     01                  264
SEALED AIR CORP NEW       COM             81211K100       8,791   278,203SH      X             01      278,203
SEALED AIR CORP NEW       COM             81211K100         146     4,620SH              X     01                4,620
SEARS HLDGS CORP          COM             812350106       7,416    41,165SH      X             01       41,165
SEARS HLDGS CORP          COM             812350106          32       180SH              X     01                  180
SELECT SECTOR SPDR TR     SBI HEALTHCARE  81369Y209         303     9,007SH      X             01        9,007
SELECT SECTOR SPDR TR     SBI HEALTHCARE  81369Y209           8       240SH              X     01          240
SELECT SECTOR SPDR TR     SBI CONS STPLS  81369Y308         515    19,321SH      X             01       19,321
SELECT SECTOR SPDR TR     SBI INT-FINL    81369Y605         346     9,703SH      X             01        9,703
SELECT SECTOR SPDR TR     SBI INT-TECH    81369Y803         375    16,071SH      X             01       15,131               940
SELECT SECTOR SPDR TR     SBI INT-TECH    81369Y803         137     5,892SH              X     01                5,892
SELECT SECTOR SPDR TR     SBI INT-UTILS   81369Y886         226     5,698SH      X             01        5,698
SELECT SECTOR SPDR TR     SBI INT-UTILS   81369Y886          58     1,461SH              X     01                1,461
SEMPRA ENERGY             COM             816851109         547     8,965SH      X             01        8,965
SEMPRA ENERGY             COM             816851109         114     1,876SH              X     01                1,462       414
SENSIENT TECHNOLOGIES     COM             81725T100         560    21,723SH      X             01       21,723
SENSIENT TECHNOLOGIES     COM             81725T100         171     6,650SH              X     01                4,025     2,625
SEPRACOR INC              COM             817315104       2,328    49,935SH      X             01       49,935
SERVICEMASTER CO          COM             81760N109         154    10,014SH      X             01       10,014
SERVICEMASTER CO          COM             81760N109          44     2,845SH              X     01                2,845
SHERWIN WILLIAMS CO       COM             824348106       6,949   105,224SH      X             01      105,224
SHERWIN WILLIAMS CO       COM             824348106          64       963SH              X     01                  963
SHIRE PLC                 SPONSORED ADR   82481R106       2,026    32,723SH      X             01       32,096               627
SIEMENS A G               SPONSORED ADR   826197501         286     2,667SH      X             01        2,365               302
SIEMENS A G               SPONSORED ADR   826197501         529     4,934SH              X     01                4,934
SIGMA ALDRICH CORP        COM             826552101       1,902    45,817SH      X             01       40,857   4,884        76
SIGMA ALDRICH CORP        COM             826552101         127     3,054SH              X     01                3,054
SILICON MOTION TECHNLGY   SPONSORED ADR   82706C108       2,410   106,994SH      X             01      106,792               202
SIMON PPTY GROUP INC      COM             828806109       7,143    64,206SH      X             01       63,302      10       894
SIMON PPTY GROUP INC      COM             828806109       1,390    12,492SH              X     01       11,840     652
SINCLAIR BROADCAST GRP    CL A            829226109         205    13,250SH      X             01       13,250
SIRIUS SATELLITE RADIO    COM             82966U103          33    10,400SH      X             01       10,400
SIRIUS SATELLITE RADIO    COM             82966U103          13     4,000SH              X     01                4,000
SKYWORKS SOLUTIONS INC    COM             83088M102          85    14,758SH      X             01       14,758
SMITH & NEPHEW PLC        SPDN ADR NEW    83175M205         204     3,210SH      X             01        3,210
SMITH & WESSON HLDG       COM             831756101       2,783   212,640SH      X             01      212,233               407
SMITH A O                 COM             831865209         155     4,045SH      X             01        4,045
SMITH A O                 COM             831865209         248     6,500SH              X     01                6,500
SMITH INTL INC            COM             832110100         300     6,244SH      X             01        6,244
SMITHFIELD FOODS INC      COM             832248108         538    17,974SH      X             01       17,974
SMUCKER J M CO            COM NEW         832696405         107     2,002SH      X             01        2,002
SMUCKER J M CO            COM NEW         832696405         366     6,870SH              X     01           40   6,830
SNAP ON INC               COM             833034101       5,986   124,452SH      X             01      124,452
SNAP ON INC               COM             833034101         495    10,300SH              X     01        7,800   1,525       975
SOLECTRON CORP            COM             834182107          56    17,805SH      X             01       17,805
SONY CORP                 ADR NEW         835699307       2,371    46,966SH      X             01       46,866     100
SONY CORP                 ADR NEW         835699307          38       750SH              X     01                  750
SOUTH FINL GROUP INC      COM             837841105         215     8,696SH      X             01        8,696
SOUTHERN CO               COM             842587107       9,338   254,786SH      X             01      249,574   1,169     4,043
SOUTHERN CO               COM             842587107         645    17,591SH              X     01        5,202   7,619     4,770
SOUTHWEST AIRLS CO        COM             844741108      10,607   721,574SH      X             01      721,574
SOUTHWEST AIRLS CO        COM             844741108           1        35SH              X     01                   35
SOUTHWESTERN ENERGY CO    COM             845467109       2,247    54,825SH      X             01       54,825
SOVEREIGN BANCORP INC     COM             845905108         845    33,202SH      X             01       33,202
SPARTAN STORES INC        COM             846822104       1,525    56,914SH      X             01       56,806               108
SPECTRA ENERGY CORP       COM             847560109         840    31,984SH      X             01       31,984
SPECTRA ENERGY CORP       COM             847560109          96     3,672SH              X     01          802   2,870
SPIRIT AEROSYSTEMS        COM CL A        848574109       1,436    45,094SH      X             01       45,094
SPRINT NEXTEL CORP        COM FON         852061100       5,675   299,324SH      X             01      287,074     389    11,861
SPRINT NEXTEL CORP        COM FON         852061100         465    24,519SH              X     01        1,463  23,056
STANCORP FINL GROUP INC   COM             852891100       5,545   112,764SH      X             01      112,764
STANLEY INC               COM             854532108       1,937   124,173SH      X             01      123,938               235
STAPLES INC               COM             855030102       2,636   102,022SH      X             01       97,625             4,397
STAPLES INC               COM             855030102         269    10,410SH              X     01               10,410
STARBUCKS CORP            COM             855244109       2,244    71,560SH      X             01       69,700      84     1,776
STARBUCKS CORP            COM             855244109         812    25,878SH              X     01               25,878
STATE AUTO FINL CORP      COM             855707105         303     9,427SH      X             01        9,427
STARWOOD HOTELS&RESORTS   COM             85590A401         836    12,894SH      X             01       12,894
STARWOOD HOTELS&RESORTS   COM             85590A401          30       462SH              X     01                  462
STATE STR CORP            COM             857477103      11,817   182,500SH      X             01      182,400               100





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
STATE STR CORP            COM             857477103          23       352SH              X     01          150     202
STERICYCLE INC            COM             858912108         312     3,823SH      X             01        3,823
STERICYCLE INC            COM             858912108          47       580SH              X     01           68     512
STMICROELECTRONICS N V    NY REGISTRY     861012102              966    50,325SH      X             01       50,325
STMICROELECTRONICS N V    NY REGISTRY     861012102           6       330SH              X     01                  330
STORA ENSO CORP           SPON ADR REP R  86210M106       1,367    79,168SH      X             01       79,168
STORA ENSO CORP           SPON ADR REP R  86210M106         711    41,145SH              X     01               41,145
STREETTRACKS SER TR       SPDR S&P MTL    86330E646         205     3,578SH      X             01        3,578
STRYKER CORP              COM             863667101      12,281   185,175SH      X             01      183,551      36     1,588
STRYKER CORP              COM             863667101         764    11,525SH              X     01          125  11,400
SUN MICROSYSTEMS INC      COM             866810104       1,746   290,580SH      X             01      290,580
SUN MICROSYSTEMS INC      COM             866810104          54     8,939SH              X     01          700   8,239
SUN HEALTHCARE GROUP      COM NEW         866933401       2,437   197,327SH      X             01      196,954               373
SUNCOR ENERGY INC         COM             867229106         762     9,980SH      X             01        9,980
SUNCOR ENERGY INC         COM             867229106         436     5,709SH              X     01        1,500   4,209
SUNOCO INC                COM             86764P109       1,221    17,339SH      X             01       15,661             1,678
SUNOCO INC                COM             86764P109         137     1,952SH              X     01                1,952
SUNRISE SENIOR LIVING     COM             86768K106       3,674    92,978SH      X             01       92,880                98
SUNRISE SENIOR LIVING     COM             86768K106          16       415SH              X     01                  415
SUNTRUST BKS INC          COM             867914103       1,806    21,748SH      X             01       21,236      26       486
SUNTRUST BKS INC          COM             867914103          42       507SH              X     01                  507
SUPERIOR ENERGY SVCS      COM             868157108         315     9,139SH      X             01        9,139
SUPERVALU INC             COM             868536103       5,060   129,519SH      X             01      128,311             1,208
SUPERVALU INC             COM             868536103          83     2,125SH              X     01          400   1,725
SWISSCOM AG               SPONSORED ADR   871013108         151     4,165SH      X             01        4,165
SWISSCOM AG               SPONSORED ADR   871013108         688    19,023SH              X     01               19,023
SYCAMORE NETWORKS INC     COM             871206108          84    22,375SH      X             01       22,375
SYMANTEC CORP             COM             871503108       1,658    95,837SH      X             01       95,473     167       197
SYMANTEC CORP             COM             871503108           9       547SH              X     01          200     347
SYNGENTA AG               SPONSORED ADR   87160A100         278     7,300SH      X             01        7,300
SYNGENTA AG               SPONSORED ADR   87160A100          14       379SH              X     01                  379
SYNOPSYS INC              COM             871607107      11,411   435,033SH      X             01      435,033
SYNOVUS FINL CORP         COM             87161C105       3,756   116,138SH      X             01      115,968     119        51
SYNOVUS FINL CORP         COM             87161C105         300     9,269SH              X     01                9,269
SYNTEL INC                COM             87162H103       1,896    54,714SH      X             01       54,609               105
SYSCO CORP                COM             871829107       2,426    71,704SH      X             01       67,261     117     4,326
SYSCO CORP                COM             871829107       1,745    51,567SH              X     01        2,048  49,519
TECO ENERGY INC           COM             872375100       2,829   164,374SH      X             01      164,374
TECO ENERGY INC           COM             872375100          10       600SH              X     01                  600
THQ INC                   COM NEW         872443403       2,347    68,656SH      X             01       68,527               129
TJX COS INC NEW           COM             872540109       2,771   102,775SH      X             01       98,581     114     4,080
TJX COS INC NEW           COM             872540109          45     1,681SH              X     01          800     881
TXU CORP                  COM             873168108       2,582    40,284SH      X             01       40,246                38
TXU CORP                  COM             873168108         160     2,503SH              X     01                2,503
TAIWAN SEMICONDUCTOR      SPONSORED ADR   874039100         122    11,304SH      X             01        7,970             3,334
TALEO CORP                CL A            87424N104       1,416    85,413SH      X             01       85,251               162
TALISMAN ENERGY INC       COM             87425E103         288    16,385SH      X             01       16,385
TALISMAN ENERGY INC       COM             87425E103         137     7,830SH              X     01        3,975   3,855
TARGET CORP               COM             87612E106       7,391   124,722SH      X             01      124,231     152       339
TARGET CORP               COM             87612E106       3,504    59,134SH              X     01       41,910  17,147        77
TEAM FINANCIAL INC        COM             87815X109         258    17,000SH      X             01                         17,000
TECHNE CORP               COM             878377100          70     1,232SH      X             01        1,232
TECHNE CORP               COM             878377100         286     5,000SH              X     01                5,000
TECHNIP NEW               SPONSORED ADR   878546209         271     3,715SH              X     01                3,715
TEKELEC                   COM             879101103         277    18,600SH      X             01       18,600
TELECOM ITALIA S P A      SPON ADR SVGS   87927Y201         834    33,815SH              X     01               33,815
TELECOM CORP NEW ZLND     SPONSORED ADR   879278208         477    17,537SH      X             01       17,537
TELEFONICA S A            SPONSORED ADR   879382208         425     6,403SH      X             01        5,882               521
TELEFONICA S A            SPONSORED ADR   879382208           7       111SH              X     01                  111
TELEFONOS DE MEXICO       SPON ADR ORD L  879403780         283     8,488SH      X             01        8,488
TELEPHONE & DATA SYS      COM             879433100       1,027    17,233SH      X             01       17,233
TELLABS INC               COM             879664100         378    38,198SH      X             01       38,068               130
TEMPLE INLAND INC         COM             879868107         691    11,563SH      X             01       11,563
TEMPLE INLAND INC         COM             879868107           6        95SH              X     01                   95
TELETECH HOLDINGS INC     COM             879939106       5,228   142,493SH      X             01      142,226               267
TELETECH HOLDINGS INC     COM             879939106          16       431SH              X     01                  431
TEMPUR PEDIC INTL INC     COM             88023U101       5,713   219,808SH      X             01      219,579               229
TENARIS S A               SPONSORED ADR   88031M109         188     4,102SH      X             01        2,773             1,329
TENARIS S A               SPONSORED ADR   88031M109          14       311SH              X     01                  311
TEVA PHARMACEUTICAL       ADR             881624209       2,787    74,446SH      X             01       73,303             1,143
TEVA PHARMACEUTICAL       ADR             881624209         622    16,626SH              X     01       12,130   4,496
TESSERA TECHNOLOGIES      COM             88164L100       1,839    46,270SH      X             01       46,183                87
TEXAS INSTRS INC          COM             882508104       7,120   236,549SH      X             01      232,007     802     3,740
TEXAS INSTRS INC          COM             882508104         799    26,539SH              X     01          790  25,749
TEXTRON INC               COM             883203101       1,295    14,420SH      X             01       14,420
TEXTRON INC               COM             883203101          89       988SH              X     01                  988
THERMO FISHER SCNTFC      COM             883556102      13,206   282,485SH      X             01      280,151      57     2,277
THERMO FISHER SCNTFC      COM             883556102          68     1,457SH              X     01                1,457
THIRD WAVE TECHNLGS       COM             88428W108          15     3,000SH      X             01        3,000
THIRD WAVE TECHNLGS       COM             88428W108         102    20,000SH              X     01               20,000
3M CO                     COM             88579Y101      20,964   274,289SH      X             01      270,131   3,317       841
3M CO                     COM             88579Y101       5,134    67,174SH              X     01        7,127  56,543     3,504
TIME WARNER INC           COM             887317105      14,948   757,997SH      X             01      741,466   2,565    13,966
TIME WARNER INC           COM             887317105       1,015    51,462SH              X     01        1,193  50,269
TOMKINS PLC               SPONSORED ADR   890030208           2       100SH      X             01          100
TOMKINS PLC               SPONSORED ADR   890030208         480    22,808SH              X     01               22,808
TOPPS INC                 COM             890786106       2,449   251,967SH      X             01      251,486               481
TORCHMARK CORP            COM             891027104         704    10,739SH      X             01       10,650      39        50
TORCHMARK CORP            COM             891027104          19       291SH              X     01                  291
TOTAL S A                 SPONSORED ADR   89151E109         172     2,465SH      X             01        2,136               329





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
TOTAL S A                 SPONSORED ADR   89151E109         509     7,300SH              X     01                7,300
TOWER GROUP INC           COM             891777104       2,287    70,977SH      X             01       70,842               135
TOWER GROUP INC           COM             891777104           7       230SH              X     01                  230
TOTAL SYS SVCS INC        COM             891906109         223     7,000SH              X     01                7,000
TOYOTA MOTOR CORP         SP ADR REP2COM  892331307         203     1,582SH      X             01        1,372               210
TOYOTA MOTOR CORP         SP ADR REP2COM  892331307         190     1,482SH              X     01                1,482
TRANSACT TECHNOLOGIES     COM             892918103         139    20,000SH      X             01       20,000
TRANSDIGM GROUP INC       COM             893641100       2,891    79,477SH      X             01       79,325               152
TRAVELERS COMPANIES INC   COM             89417E109      12,473   240,938SH      X             01      240,203               735
TRAVELERS COMPANIES INC   COM             89417E109          99     1,909SH              X     01            6   1,903
TUPPERWARE BRANDS CORP    COM             899896104         189     7,573SH      X             01        7,573
TUPPERWARE BRANDS CORP    COM             899896104         307    12,320SH              X     01               12,133       187
TURBOCHEF TECHNOLOGIES    COM NEW         900006206       1,799   118,224SH      X             01      117,999               225
TWEEN BRANDS INC          COM             901166108         260     7,270SH      X             01        7,270
TWIN DISC INC             COM             901476101         254     5,946SH              X     01        1,680   4,266
TYCO INTL LTD NEW         COM             902124106       3,550   112,504SH      X             01      108,116     186     4,202
TYCO INTL LTD NEW         COM             902124106         359    11,376SH              X     01          844  10,532
UGI CORP NEW              COM             902681105         224     8,392SH      X             01        8,392
UST INC                   COM             902911106       9,130   157,464SH      X             01      156,481      49       934
UST INC                   COM             902911106         189     3,266SH              X     01        2,000   1,266
US BANCORP DEL            COM NEW         902973304      33,614   961,214SH      X             01      943,350   1,906    15,958
US BANCORP DEL            COM NEW         902973304       4,622   132,170SH              X     01       19,778  92,096    20,296
UAP HLDG CORP             COM             903441103       5,176   200,225SH      X             01      200,011               214
ULTRA PETROLEUM CORP      COM             903914109       1,437    27,052SH      X             01       27,052
ULTRA PETROLEUM CORP      COM             903914109          97     1,820SH              X     01                1,820
UNILEVER N V              N Y SHS NEW     904784709         273     9,360SH      X             01        9,360
UNILEVER N V              N Y SHS NEW     904784709          98     3,365SH              X     01                3,365
UNION PAC CORP            COM             907818108       2,096    20,643SH      X             01       17,827   1,816     1,000
UNION PAC CORP            COM             907818108         559     5,507SH              X     01          725   4,332       450
UNIT CORP                 COM             909218109         811    16,027SH      X             01       16,027
UNITED AMER INDEMNITY     CL A            90933T109         257    11,090SH      X             01       11,090
UNITED AMER INDEMNITY     CL A            90933T109               12       538SH              X     01          213     325
UNITED PARCEL SERVICE     CL B            911312106       8,137   116,070SH      X             01      115,167     817        86
UNITED PARCEL SERVICE     CL B            911312106         795    11,336SH              X     01          450  10,765       121
UNITED STATES STL CORP    COM             912909108         317     3,199SH      X             01        3,199
UNITED STATES STL CORP    COM             912909108         165     1,664SH              X     01                1,664
UNITED TECHNOLOGIES       COM             913017109       7,190   110,618SH      X             01      105,191   2,418     3,009
UNITED TECHNOLOGIES       COM             913017109       3,432    52,797SH              X     01       17,252  28,045     7,500
UNITED UTILS PLC          SPONSORED ADR   91311Q105         467    15,734SH              X     01               15,734
UNITEDHEALTH GROUP INC    COM             91324P102       3,603    68,022SH      X             01       67,816     116        90
UNITEDHEALTH GROUP INC    COM             91324P102       1,197    22,605SH              X     01        1,250  21,355
UNIVERSAL COMPRESSION     COM             913431102         223     3,290SH      X             01        3,290
UNIVERSAL HLTH SVCS INC   CL B            913903100         321     5,600SH      X             01        5,600
UNIVERSAL HLTH SVCS INC   CL B            913903100          19       327SH              X     01                  327
V F CORP                  COM             918204108       5,092    61,637SH      X             01       60,872     640       125
V F CORP                  COM             918204108         154     1,860SH              X     01                1,860
VAIL RESORTS INC          COM             91879Q109       3,193    58,768SH      X             01       58,706                62
VALERO ENERGY CORP NEW    COM             91913Y100       3,705    57,453SH      X             01       57,371      44        38
VALERO ENERGY CORP NEW    COM             91913Y100         162     2,512SH              X     01                2,512
VALSPAR CORP              COM             920355104      10,744   386,076SH      X             01      386,076
VALUECLICK INC            COM             92046N102       2,668   102,106SH      X             01      101,914               192
VAN KAMPEN TR INVT GRD    COM             920929106         515    32,762SH      X             01       32,762
VAN KAMPEN TR INVT GRD    COM             920929106         518    33,000SH          X         01               33,000
VAN KAMPEN MUN OPRTY TR   COM             920935103         358    22,992SH      X             01       22,992
VAN KAMPEN MUN OPRTY TR   COM             920935103         513    33,000SH          X         01               33,000
VANGUARD WHITEHALL FDS    HIGH DIV YLD    921946406         247     4,800SH      X             01        4,800
VANGUARD WHITEHALL FDS    HIGH DIV YLD    921946406          30       578SH              X     01                  578
VANGUARD WORLD FDS        HEALTH CAR ETF  92204A504         776    13,419SH      X             01       13,419
VANGUARD WORLD FDS        UTILITIES ETF   92204A876              245     2,941SH      X             01        2,941
VANGUARD INTL EQTY IND    EMR MKT ETF     922042858         536     6,795SH      X             01        6,795
VANGUARD INTL EQTY IND    EMR MKT ETF     922042858         828    10,500SH              X     01       10,500
VANGUARD INTL EQTY IND    EURPEAN ETF     922042874       2,925    41,250SH      X             01       41,250
VANGUARD INTL EQTY IND    EURPEAN ETF     922042874          67       950SH              X     01          950
VASCO DATA SEC INTL INC   COM             92230Y104       2,363   132,244SH      X             01      131,991               253
VECTREN CORP              COM             92240G101         407    14,240SH      X             01       14,240
VECTREN CORP              COM             92240G101         157     5,480SH              X     01        5,280     200
VANGUARD INDEX FDS        SM CP VAL ETF   922908611       5,473    75,495SH      X             01       75,495
VANGUARD INDEX FDS        EXTEND MKT ETF  922908652         410     3,852SH      X             01        3,852
VANGUARD INDEX FDS        EXTEND MKT ETF  922908652          87       814SH              X     01          814
VANGUARD INDEX FDS        VALUE ETF       922908744       1,776    25,968SH      X             01       25,968
VANGUARD INDEX FDS        STK MRK ETF     922908769       1,560    11,026SH      X             01       11,026
VANGUARD INDEX FDS        STK MRK ETF     922908769         502     3,550SH              X     01        3,550
VEOLIA ENVIRONNEMENT      SPONSORED ADR   92334N103         221     2,980SH      X             01        2,130     850
VERIFONE HLDGS INC        COM             92342Y109       4,856   132,220SH      X             01      132,084               136
VERIZON COMMUNICATIONS    COM             92343V104      39,190 1,033,501SH      X             01    1,022,268   5,067     6,166
VERIZON COMMUNICATIONS    COM             92343V104       3,580    94,401SH              X     01       30,432  57,840     6,129
VERTEX PHARMACEUTICALS    COM             92532F100              759    27,071SH      X             01       27,071
VERTEX PHARMACEUTICALS    COM             92532F100           9       305SH              X     01                  305
VIACOM INC NEW            CL B            92553P201         619    15,069SH      X             01       15,069
VIACOM INC NEW            CL B            92553P201         210     5,107SH              X     01          258   4,474       375
VIGNETTE CORP             COM NEW         926734401       2,064   111,142SH      X             01      110,929               213
VISHAY INTERTECHNOLOGY    COM             928298108         230    16,463SH      X             01       16,463
VODAFONE GROUP PLC NEW    SPONS ADR NEW   92857W209         809    30,101SH      X             01       29,264               837
VODAFONE GROUP PLC NEW    SPONS ADR NEW   92857W209         784    29,176SH              X     01               29,176
VOLCANO CORPORATION       COM             928645100       1,664    92,409SH      X             01       92,232               177
VORNADO RLTY TR           SH BEN INT      929042109       1,684    14,109SH      X             01       14,019       5        85
VORNADO RLTY TR           SH BEN INT      929042109         449     3,765SH              X     01                3,765
VULCAN MATLS CO           COM             929160109         394     3,385SH      X             01        3,385
VULCAN MATLS CO           COM             929160109         179     1,538SH              X     01                1,538
WPP GROUP PLC             SPON ADR 0905   929309409         239     3,150SH      X             01        3,150





REPORT PTR289 98                                                                                                      04/07/2007
                                                    MARSHALL & ILSLEY TRUST CO N.A.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
WACHOVIA CORP NEW         COM             929903102      19,102   347,002SH      X             01      344,153     281     2,568
WACHOVIA CORP NEW         COM             929903102       1,853    33,656SH              X     01       12,990  20,666
WACOAL HOLDINGS CORP      ADR             930004205         255     4,061SH              X     01                4,061
WAL MART STORES INC       COM             931142103      20,764   442,267SH      X             01      418,058  14,752     9,457
WAL MART STORES INC       COM             931142103       3,996    85,114SH              X     01        6,440  76,727     1,947
WALGREEN CO               COM             931422109      23,309   507,926SH      X             01      488,492   9,842     9,592
WALGREEN CO               COM             931422109       9,470   206,357SH              X     01       49,950 128,270    28,137
WASHINGTON MUT INC        COM             939322103      14,272   353,452SH      X             01      348,486     293     4,673
WASHINGTON MUT INC        COM             939322103         333     8,247SH              X     01          378   7,869
WASTE MGMT INC DEL        COM             94106L109      13,909   404,227SH      X             01      396,428   1,740     6,059
WASTE MGMT INC DEL        COM             94106L109       1,168    33,942SH              X     01        1,800  32,142
WATERS CORP               COM             941848103         809    13,941SH      X             01       13,941
WATERS CORP               COM             941848103          29       498SH              X     01                  498
WATTS WATER TECHNLGS      CL A            942749102         225     5,917SH      X             01        5,917
WAUSAU PAPER CORP         COM             943315101       2,097   146,018SH      X             01      146,018
WAUSAU PAPER CORP         COM             943315101       1,667   116,066SH              X     01       62,693  51,553     1,820
WAUWATOSA HLDGS INC       COM             94348P108      13,251   758,046SH      X             01        4,695           753,351
WEBEX COMMUNICATIONS      COM             94767L109       5,867   103,192SH      X             01      103,082               110
WEINGARTEN RLTY INVS      SH BEN INT      948741103         131     2,752SH      X             01        2,752
WEINGARTEN RLTY INVS      SH BEN INT      948741103         747    15,699SH              X     01               15,699
WELLPOINT INC             COM             94973V107       4,848    59,784SH      X             01       59,682      54        48
WELLPOINT INC             COM             94973V107         194     2,389SH              X     01          300   2,089
WELLS FARGO & CO NEW      COM             949746101      36,133 1,049,455SH      X             01    1,030,005   5,637    13,813
WELLS FARGO & CO NEW      COM             949746101       4,528   131,511SH              X     01       40,072  89,439     2,000
WENDYS INTL INC           COM             950590109         565    18,042SH      X             01       18,042
WENDYS INTL INC           COM             950590109           9       291SH              X     01          200      91
WESCO INTL INC            COM             95082P105       1,359    21,654SH      X             01       21,550               104
WESCO INTL INC            COM             95082P105          55       870SH              X     01           83     787
WESTAR ENERGY INC         COM             95709T100         265     9,622SH      X             01        9,622
WESTAR ENERGY INC         COM             95709T100          19       704SH              X     01                  704
WESTERN ASSET GLBL HIGH   COM             95766B109         281    20,000SH      X             01       20,000
WESTERN DIGITAL CORP      COM             958102105       2,802   166,673SH      X             01      166,673
WESTERN UN CO             COM             959802109       1,130    51,482SH      X             01       51,176               306
WESTERN UN CO             COM             959802109          50     2,266SH              X     01        1,075   1,191
WET SEAL INC              CL A            961840105       2,721   415,373SH      X             01      414,584               789
WEYCO GROUP INC           COM             962149100         140     5,400SH      X             01        5,400
WEYCO GROUP INC           COM             962149100         373    14,364SH              X     01                7,182     7,182
WEYERHAEUSER CO           COM             962166104      11,792   157,773SH      X             01      153,648   3,035     1,090
WEYERHAEUSER CO           COM             962166104       1,531    20,490SH              X     01        8,654  11,836
WHIRLPOOL CORP            COM             963320106       1,764    20,773SH      X             01       16,773             4,000
WHIRLPOOL CORP            COM             963320106         180     2,124SH              X     01                2,087        37
WHOLE FOODS MKT INC       COM             966837106         271     6,049SH      X             01        6,049
WHOLE FOODS MKT INC       COM             966837106         437     9,747SH              X     01        9,375     372
WILLIAMS COS INC DEL      COM             969457100       2,846   100,016SH      X             01       99,887     129
WILLIAMS COS INC DEL      COM             969457100         139     4,899SH              X     01                4,899
WINDSTREAM CORP           COM             97381W104       8,497   578,396SH      X             01      576,261             2,135
WINDSTREAM CORP           COM             97381W104         231    15,730SH              X     01               15,730
WISCONSIN ENERGY CORP     COM             976657106       5,845   120,463SH      X             01      118,231   1,447       785
WISCONSIN ENERGY CORP     COM             976657106       1,722    35,492SH              X     01        3,964  28,116     3,412
WISDOMTREE TRUST          LARGECAP DIVID  97717W307       1,120    19,304SH      X             01       19,304
WISDOMTREE TRUST          INTL LRGCAP DV  97717W794         429     6,828SH      X             01        6,828
WISDOMTREE TRUST          PAC EXJP TOT D  97717W828         475     7,017SH      X             01        7,017
WRIGLEY WM JR CO          COM             982526105         209     4,109SH      X             01        4,044      37        28
WRIGLEY WM JR CO          COM             982526105       1,554    30,522SH              X     01        1,100  15,922    13,500
WYETH                     COM             983024100      10,011   200,098SH      X             01      198,240   1,521       337
WYETH                     COM             983024100       2,955    59,055SH              X     01        7,675  50,980       400
XTO ENERGY INC            COM             98385X106       4,391    80,115SH      X             01       80,115
XTO ENERGY INC            COM             98385X106         447     8,162SH              X     01                8,162
XCEL ENERGY INC           COM             98389B100      10,144   410,849SH      X             01      410,115      40       694
XCEL ENERGY INC           COM             98389B100         227     9,181SH              X     01                9,181
XILINX INC                COM             983919101         323    12,535SH      X             01       12,535
XILINX INC                COM             983919101           5       198SH              X     01                  198
XEROX CORP                COM             984121103      11,660   690,348SH      X             01      690,348
XEROX CORP                COM             984121103          29     1,736SH              X     01                1,736
YRC WORLDWIDE INC         COM             984249102         279     6,936SH      X             01        6,936
YRC WORLDWIDE INC         COM             984249102           4        98SH              X     01                   98
YAHOO INC                 COM             984332106       1,829    58,455SH      X             01       57,892     123       440
YAHOO INC                 COM             984332106         357    11,420SH              X     01        7,875   3,545
YAMANA GOLD INC           COM             98462Y100         156    10,850SH              X     01               10,850
YUM BRANDS INC            COM             988498101         732    12,667SH      X             01       12,613      54
YUM BRANDS INC            COM             988498101         207     3,579SH              X     01          300   3,279
ZIMMER HLDGS INC          COM             98956P102       2,010    23,529SH      X             01       23,131     305        93
ZIMMER HLDGS INC          COM             98956P102         491     5,750SH              X     01          300   5,450
ZIONS BANCORPORATION      COM             989701107      10,383   122,850SH      X             01      122,825                25
ZIONS BANCORPORATION      COM             989701107          67       790SH              X     01                  790
                                                     -----------
REPORT TOTALS                                         5,306,099
                                                     ===========





REPORT PTR289 9W                                                                                                      04/07/2007
                                                    M&I INVESTMENT MANAGEMENT CORP.
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                        ASSETS AS OF 03/31/2007

- - - - COLUMN 1 - - - - - - COLUMN 2 - - COLUMN 3 - COLUMN 4 - - COLUMN 5 - - - COLUMN 6 - COLUMN 7 - - - - - COLUMN 8 - - - -
--------------------------------------------------------------------------------------------------------------------------------
                                                                            INVESTMENT DISCRETION         VOTING AUTHORITY
                         TITLE                       MARKET                ----------------------- -----------------------------
                           OF                         VALUE    SHRS OR  SH/PUT/SOLE SHR OTHR OTHR     SOLE     SHARED     NONE
    NAME OF ISSUER       CLASS              CUSIP   (X$1000)   PRN AMT  PRN CALL(A) (B) (C)  MGRS      (A)       (B)       (C)
--------------------------------------------------------------------------------------------------------------------------------
                                                                             
RENAISSANCERE HOLDINGS    COM             G7496G103         211     4,200SH      X             05        4,200
XL CAP LTD                CL A            G98255105         200     2,860SH      X             05        2,860
AT&T INC                  COM             00206R102         523    13,267SH      X             05       13,267
ABBOTT LABS               COM             002824100         291     5,220SH      X             05        5,220
ALTRIA GROUP INC          COM             02209S103         284     3,230SH      X             05        3,230
AMEREN CORP               COM             023608102         505    10,040SH      X             05       10,040
AMERICAN INTL GROUP INC   COM             026874107         286     4,260SH      X             05        4,260
APARTMENT INVT & MGMT     CL A            03748R101         401     6,945SH      X             05        6,945
APPLIED MATLS INC         COM             038222105         217    11,870SH      X             05       11,870
ARCHSTONE SMITH TR        COM             039583109         220     4,050SH      X             05        4,050
BB&T CORP                 COM             054937107         204     4,985SH      X             05        4,985
BANK OF AMERICA CORP      COM             060505104         826    16,185SH      X             05       16,185
BOEING CO                 COM             097023105         276     3,100SH      X             05        3,100
BRISTOL MYERS SQUIBB CO   COM             110122108         496    17,880SH      X             05       17,880
CHEVRON CORP NEW          COM             166764100       1,128    15,255SH      X             05       15,255
CISCO SYS INC             COM             17275R102         527    20,658SH      X             05       20,658
CITIGROUP INC             COM             172967101         961    18,715SH      X             05       18,715
CITIZENS COMMUNICATIONS   COM             17453B101         475    31,775SH      X             05       31,775
COCA COLA CO              COM             191216100         472     9,830SH      X             05        9,830
COMERICA INC              COM             200340107         240     4,065SH      X             05        4,065
CONOCOPHILLIPS            COM             20825C104         593     8,670SH      X             05        8,670
CONSOLIDATED EDISON INC   COM             209115104         699    13,680SH      X             05       13,680
DTE ENERGY CO             COM             233331107         282     5,890SH      X             05        5,890
DELL INC                  COM             24702R101         374    16,125SH      X             05       16,125
DONNELLEY R R & SONS CO   COM             257867101         265     7,235SH      X             05        7,235
DOW CHEM CO               COM             260543103         486    10,600SH      X             05       10,600
DU PONT E I DE NEMOURS    COM             263534109         206     4,175SH      X             05        4,175
EQUITY RESIDENTIAL        SH BEN INT      29476L107         354     7,350SH      X             05        7,350
EXXON MOBIL CORP          COM             30231G102         421     5,580SH      X             05        5,580
FIFTH THIRD BANCORP       COM             316773100         231     5,975SH      X             05        5,975
FIRST HORIZON NATL CORP   COM             320517105         279     6,730SH      X             05        6,730
GENERAL ELECTRIC CO       COM             369604103       1,133    32,055SH      X             05       32,055
HEINZ H J CO              COM             423074103         295     6,255SH      X             05        6,255
INTERNATIONAL BUS MACHS   COM             459200101         237     2,510SH      X             05        2,510
ISHARES TR                MSCI EAFE IDX   464287465         237     3,109SH      X             05        3,109
ISHARES TR                RUSSELL MCP GR  464287481       4,665    43,550SH      X             05       43,550
ISHARES TR                RUSL 2000 GROW  464287648       5,972    74,600SH      X             05       74,600
JOHNSON & JOHNSON         COM             478160104         333     5,525SH      X             05        5,525
JOHNSON CTLS INC          COM             478366107         214     2,260SH      X             05        2,260
KELLOGG CO                COM             487836108         280     5,445SH      X             05        5,445
KIMCO REALTY CORP         COM             49446R109         281     5,775SH      X             05        5,775
LAUDER ESTEE COS INC      CL A            518439104         223     4,560SH      X             05        4,560
LILLY ELI & CO            COM             532457108         393     7,325SH      X             05        7,325
LOCKHEED MARTIN CORP      COM             539830109         402     4,145SH      X             05        4,145
MASCO CORP                COM             574599106         231     8,445SH      X             05        8,445
MERCK & CO INC            COM             589331107         305     6,900SH      X             05        6,900
MICROSOFT CORP            COM             594918104         405    14,541SH      X             05       14,541
NATIONAL CITY CORP        COM             635405103         537    14,410SH      X             05       14,410
PFIZER INC                COM             717081103         712    28,170SH      X             05       28,170
PITNEY BOWES INC          COM             724479100         308     6,785SH      X             05        6,785
PLUM CREEK TIMBER CO      COM             729251108         484    12,285SH      X             05       12,285
PROCTER & GAMBLE CO       COM             742718109         294     4,660SH      X             05        4,660
PROGRESS ENERGY INC       COM             743263105         717    14,220SH      X             05       14,220
PROGRESSIVE CORP OHIO     COM             743315103         223    10,240SH      X             05       10,240
QUALCOMM INC              COM             747525103         215     5,040SH      X             05        5,040
SIMON PPTY GROUP INC      COM             828806109         292     2,625SH      X             05        2,625
SOUTHERN CO               COM             842587107         430    11,740SH      X             05       11,740
TIME WARNER INC           COM             887317105         296    15,010SH      X             05       15,010
US BANCORP DEL            COM NEW         902973304         642    18,370SH      X             05       18,370
VERIZON COMMUNICATIONS    COM             92343V104         691    18,215SH      X             05       18,215
WACHOVIA CORP NEW         COM             929903102         641    11,645SH      X             05       11,645
WASHINGTON MUT INC        COM             939322103         587    14,530SH      X             05       14,530
WELLS FARGO & CO NEW      COM             949746101         206     5,970SH      X             05        5,970
WEYERHAEUSER CO           COM             962166104         336     4,490SH      X             05        4,490
WINDSTREAM CORP           COM             97381W104         424    28,845SH      X             05       28,845
                                                       ---------
REPORT TOTALS                                            36,574
                                                       =========