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

                                Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   09/30/2009

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

Institutional Investment Manager Filing this Report:

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

Form 13F File Number: 28-12609

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

Person Signing this Report on Behalf of Reporting Manager:

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

Signature, Place, and Date of Signing:

   /s/ Kenneth C. Krei            Milwaukee, WI      11/13/2009
___________________________     ________________    ____________
      [Signature]                 [City, State]         [Date]

Report Type (Check only one.):

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

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

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




                                Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    3

Form 13F Information Table Entry Total:               2,666

Form 13F Information Table Value Total:             $ 5,522,152
                                                     (thousands)

List of Other Included Mangers:

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

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

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

  2           28-274               M&I Investment Management Corp.

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




                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
AAR CORP                   COM         000361105       879    40,050  SH              X             3     38,835              1,215
ABB LTD                    SPON ADR    000375204       705    35,177  SH                    X       3      4,112    8,569    22,496
ABB LTD                    SPON ADR    000375204     2,216   110,569  SH              X             3     65,916             44,653
ACCO BRANDS CORP           COM         00081T108       109    15,107  SH              X             3     15,107
AFC ENTERPRISES INC        COM         00104Q107       100    11,850  SH              X             3     11,850
AFLAC INC                  COM         001055102        15       350  SH              X           1,3        350
AFLAC INC                  COM         001055102       428    10,013  SH                    X       3      1,750    6,307     1,956
AFLAC INC                  COM         001055102     2,884    67,489  SH              X             3     64,556       87     2,846
AES CORP                   COM         00130H105        32     2,168  SH                    X       3      1,543      625
AES CORP                   COM         00130H105       534    36,001  SH              X             3     35,318      251       432
AK STL HLDG CORP           COM         001547108         6       284  SH                    X       3                 284
AK STL HLDG CORP           COM         001547108       189     9,592  SH              X             3      8,027              1,565
AK STL HLDG CORP           COM         001547108     1,527    77,400  SH              X             2     77,400
AMR CORP                   COM         001765106        82    10,275  SH              X             3     10,275
AT&T INC                   COM         00206R102       180     6,650  SH                    X     1,3      5,173    1,477
AT&T INC                   COM         00206R102     1,625    60,178  SH              X           1,3     59,928      250
AT&T INC                   COM         00206R102     5,005   185,299  SH                    X       3     35,513  144,576     5,210
AT&T INC                   COM         00206R102    29,587 1,095,388  SH              X             3  1,068,340   18,738     8,310
AT&T INC                   COM         00206R102    32,566 1,205,704  SH              X             2    687,065            518,639
AVI BIOPHARMA INC          COM         002346104       146    85,000  SH              X             3     85,000
AARONS INC                 COM         002535201        25       940  SH                    X       3                           940
AARONS INC                 COM         002535201     1,002    37,988  SH              X             3     32,891              5,097
AARONS INC                 COM         002535201     5,687   215,400  SH              X             2    215,400
ABBOTT LABS                COM         002824100       101     2,050  SH                    X     1,3      1,550      500
ABBOTT LABS                COM         002824100       480     9,694  SH              X           1,3      9,694
ABBOTT LABS                COM         002824100     4,187    84,638  SH                    X       3     21,045   60,443     3,150
ABBOTT LABS                COM         002824100    17,423   352,198  SH              X             3    327,762   18,148     6,288
ABBOTT LABS                COM         002824100    25,229   509,975  SH              X             2    225,275            284,700
ABERDEEN AUSTRL EQ FD I    COM         003011103       188    15,710  SH              X             3     15,710
ABERDEEN AUSTRL EQ FD I    COM         003011103     1,283   107,250  SH                    X       3             107,250
ABOVENET INC               COM         00374N107     1,407    28,852  SH              X             3     27,048              1,804
ABOVENET INC               COM         00374N107     9,630   197,500  SH              X             2    197,500
ACACIA RESH CORP           COM         003881307       286    32,942  SH              X             3     30,838              2,104
ACACIA RESH CORP           COM         003881307     1,192   136,800  SH              X             2    136,800
ACTIVISION BLIZZARD INC    COM         00507V109        66     5,321  SH              X             3      5,321
ACTIVISION BLIZZARD INC    COM         00507V109     1,513   122,100  SH              X             2    122,100
ADAPTEC INC                COM         00651F108       373   111,702  SH              X             3    104,569              7,133
ADAPTEC INC                COM         00651F108     1,559   466,700  SH              X             2    466,700
ADOBE SYS INC              COM         00724F101         1        18  SH                    X       3                  18
ADOBE SYS INC              COM         00724F101     1,154    34,917  SH              X             3     26,058       73     8,786
ADTRAN INC                 COM         00738A106        75     3,060  SH                    X       3                         3,060
ADTRAN INC                 COM         00738A106       424    17,254  SH              X             3     11,928              5,326
ADVANCE AUTO PARTS INC     COM         00751Y106        12       317  SH                    X       3                 317
ADVANCE AUTO PARTS INC     COM         00751Y106       221     5,621  SH              X             3      2,331              3,290
ADVANCED SEMICOND ENGR     SPON ADR    00756M404       140    34,000  SH              X             3     34,000
ADVANTAGE OIL & GAS LTD    COM         00765F101       169    24,010  SH              X             3     24,010
AECOM TECHNOLOGY CORP      COM         00766T100         7       263  SH                    X       3                 263
AECOM TECHNOLOGY CORP      COM         00766T100       849    31,282  SH              X             3     28,079              3,203
AECOM TECHNOLOGY CORP      COM         00766T100     2,638    97,200  SH              X             2     97,200
AEGON N V                  NY REG SH   007924103       343    40,596  SH                    X       3              28,789    11,807
AEGON N V                  NY REG SH   007924103       437    51,682  SH              X             3     28,860             22,822
AETNA INC NEW              COM         00817Y108       357    12,834  SH                    X       3               9,684     3,150
AETNA INC NEW              COM         00817Y108       742    26,649  SH              X             3     24,298       61     2,290
AFFILIATED COMP SVCS       CL A        008190100         8       150  SH                    X       3                 150
AFFILIATED COMP SVCS       CL A        008190100       247     4,563  SH              X             3      3,663                900
AFFILIATED MANAGERS GR     COM         008252108       162     2,489  SH                    X       3               2,489
AFFILIATED MANAGERS GR     COM         008252108     2,521    38,777  SH              X             3     28,232             10,545
AFFILIATED MANAGERS GR     COM         008252108    10,995   169,133  SH              X             2    169,133
AFFYMETRIX INC             COM         00826T108       146    16,577  SH              X             3     16,577
AGILENT TECH INC           COM         00846U101     6,759   242,862  SH              X             2     96,304            146,558
AIR PRODS & CHEMS INC      COM         009158106        39       500  SH              X           1,3        500
AIR PRODS & CHEMS INC      COM         009158106     1,525    19,660  SH                    X       3     10,580    9,080
AIR PRODS & CHEMS INC      COM         009158106     8,009   103,230  SH              X             3     97,203    2,546     3,481
AIR PRODS & CHEMS INC      COM         009158106    10,690   137,783  SH              X             2     54,783             83,000
AIRGAS INC                 COM         009363102        13       259  SH                    X       3                 259
AIRGAS INC                 COM         009363102       531    10,975  SH              X             3      9,932              1,043
AIRGAS INC                 COM         009363102     1,030    21,300  SH              X             2     21,300
AKAMAI TECHNOLOGIES INC    COM         00971T101       109     5,524  SH              X             3      5,524
AKAMAI TECHNOLOGIES INC    COM         00971T101     1,968   100,000  SH              X             2    100,000
ALBERTO CULVER CO NEW      COM         013078100         2        74  SH                    X       3                  74
ALBERTO CULVER CO NEW      COM         013078100       250     9,030  SH              X             3        425              8,605
ALBERTO CULVER CO NEW      COM         013078100       609    22,000  SH              X             2     10,000             12,000
ALCOA INC                  COM         013817101         4       300  SH                    X     1,3        300
ALCOA INC                  COM         013817101        11       850  SH              X           1,3        850
ALCOA INC                  COM         013817101       507    38,655  SH                    X       3     18,500   17,755     2,400
ALCOA INC                  COM         013817101     1,208    92,088  SH              X             3     84,750    4,438     2,900
ALCATEL-LUCENT             SPON ADR    013904305         4       780  SH              X             2                           780
ALCATEL-LUCENT             SPON ADR    013904305       225    50,139  SH              X             3     32,829             17,310
ALCATEL-LUCENT             SPON ADR    013904305       271    60,328  SH                    X       3              60,328
ALEXION PHARMA INC         COM         015351109        13       300  SH                    X       3                           300
ALEXION PHARMA INC         COM         015351109       637    14,309  SH              X             3     13,415                894
ALEXION PHARMA INC         COM         015351109     4,543   102,000  SH              X             2    102,000
ALLEGHENY ENERGY INC       COM         017361106         4       141  SH                    X       3                 141
ALLEGHENY ENERGY INC       COM         017361106        13       500  SH              X           1,3        500
ALLEGHENY ENERGY INC       COM         017361106        13       500  SH                    X     1,3        500
ALLEGHENY ENERGY INC       COM         017361106       216     8,140  SH              X             3      7,249       51       840
ALLEGHENY TECH INC         COM         01741R102       192     5,485  SH                    X       3               5,485
ALLEGHENY TECH INC         COM         01741R102       320     9,156  SH              X             3      9,051                105
ALLERGAN INC               COM         018490102       571    10,064  SH                    X       3      1,443    2,671     5,950
ALLERGAN INC               COM         018490102     1,674    29,500  SH              X             2     23,900              5,600





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
ALLERGAN INC               COM         018490102     1,813    31,944  SH              X             3     18,926             13,018
ALLIANCE DATA SYST CORP    COM         018581108         3        45  SH                    X       3                  45
ALLIANCE DATA SYST CORP    COM         018581108       114     1,875  SH              X             3        963                912
ALLIANCE DATA SYST CORP    COM         018581108     2,034    33,300  SH              X             2     33,300
ALLIANT ENERGY CORP        COM         018802108       102     3,650  SH                    X     1,3      2,750      900
ALLIANT ENERGY CORP        COM         018802108       154     5,516  SH                    X       3        237    5,279
ALLIANT ENERGY CORP        COM         018802108       460    16,500  SH              X           1,3     16,500
ALLIANT ENERGY CORP        COM         018802108       943    33,855  SH              X             3     32,580    1,235        40
ALLIANT TECHSYSTEMS INC    COM         018804104        12       150  SH                    X       3                 150
ALLIANT TECHSYSTEMS INC    COM         018804104     4,573    58,739  SH              X             3     58,739
ALLIANZ SE                 SPADR1/10SH 018805101       170    13,659  SH                    X       3               6,232     7,427
ALLIANZ SE                 SPADR1/10SH 018805101       335    26,824  SH              X             3     13,183             13,641
ALLIANCEBERNSTEIN INCFD    COM         01881E101        10     1,200  SH                    X       3      1,200
ALLIANCEBERNSTEIN INCFD    COM         01881E101       239    28,802  SH              X             3     28,802
ALLIANCEBERNSTEINHLDGLP    UT LTDPART  01881G106       117     4,300  SH              X             3      4,300
ALLIANCEBERNSTEINHLDGLP    UT LTDPART  01881G106       158     5,800  SH                    X       3               5,800
ALLSCRIPT MISY HLTCRSOL    COM         01988P108       325    16,045  SH              X             3     15,040              1,005
ALLSTATE CORP              COM         020002101        64     2,090  SH              X             2      2,090
ALLSTATE CORP              COM         020002101       310    10,126  SH                    X       3        184    7,898     2,044
ALLSTATE CORP              COM         020002101     1,701    55,546  SH              X             3     55,386       65        95
ALTERA CORP                COM         021441100       137     6,699  SH                    X       3                 535     6,164
ALTERA CORP                COM         021441100       268    13,060  SH              X             3     12,963                 97
ALTRIA GROUP INC           COM         02209S103         9       500  SH              X           1,3        500
ALTRIA GROUP INC           COM         02209S103     1,838   103,174  SH                    X       3     15,265   87,009       900
ALTRIA GROUP INC           COM         02209S103     2,310   129,700  SH              X             2    120,800              8,900
ALTRIA GROUP INC           COM         02209S103     8,122   456,041  SH              X             3    440,383    8,637     7,021
ALUMINA LTD                SPON ADR    022205108        63     9,972  SH              X             3      9,972
ALUMINA LTD                SPON ADR    022205108        88    13,783  SH                    X       3              13,783
AMAZON COM INC             COM         023135106       349     3,743  SH                    X       3        250    2,048     1,445
AMAZON COM INC             COM         023135106     2,398    25,682  SH              X             3     25,332      330        20
AMAZON COM INC             COM         023135106     3,594    38,500  SH              X             2     38,500
AMEDISYS INC               COM         023436108        29       668  SH                    X       3        149      519
AMEDISYS INC               COM         023436108       481    11,026  SH              X             3     10,461                565
AMEDISYS INC               COM         023436108     2,941    67,400  SH              X             2     67,400
AMEREN CORP                COM         023608102        24       962  SH              X           1,3        962
AMEREN CORP                COM         023608102        64     2,531  SH                    X       3        100    2,431
AMEREN CORP                COM         023608102       182     7,210  SH              X             2      6,210              1,000
AMEREN CORP                COM         023608102     3,785   149,714  SH              X             3    148,059      530     1,125
AMERICA MOVIL SAB DE CV    SPON ADR L  02364W105       277     6,314  SH                    X       3        873    1,180     4,261
AMERICA MOVIL SAB DE CV    SPON ADR L  02364W105       838    19,109  SH              X             3      7,797             11,312
AMERICAN CAMPUS CMNTYS     COM         024835100        44     1,650  SH                    X       3                 380     1,270
AMERICAN CAMPUS CMNTYS     COM         024835100       187     6,950  SH              X             3      4,885              2,065
AMERICAN ELEC PWR INC      COM         025537101        37     1,200  SH              X             2                         1,200
AMERICAN ELEC PWR INC      COM         025537101        82     2,652  SH                    X       3        582      740     1,330
AMERICAN ELEC PWR INC      COM         025537101       335    10,825  SH              X             3     10,785                 40
AMERICAN EQTY INVT LIFE    COM         025676206        36     5,190  SH                    X       3                         5,190
AMERICAN EQTY INVT LIFE    COM         025676206       115    16,323  SH              X             3      7,768              8,555
AMERICAN EXPRESS CO        COM         025816109        61     1,789  SH              X           1,3      1,789
AMERICAN EXPRESS CO        COM         025816109     1,129    33,292  SH                    X       3     15,200    8,697     9,395
AMERICAN EXPRESS CO        COM         025816109     5,694   167,957  SH              X             3    140,812      800    26,345
AMERICAN EXPRESS CO        COM         025816109     7,394   218,100  SH              X             2     89,700            128,400
AMERICAN TOWER CORP        CL A        029912201        67     1,833  SH                    X       3                 142     1,691
AMERICAN TOWER CORP        CL A        029912201       112     3,095  SH              X             3      2,230                865
AMERICAN TOWER CORP        CL A        029912201     2,035    55,900  SH              X             2     55,900
AMERIGON INC               COM         03070L300       365    49,704  SH              X             3     46,553              3,151
AMERIGON INC               COM         03070L300     1,534   208,700  SH              X             2    208,700
AMERISOURCEBERGEN CORP     COM         03073E105        49     2,190  SH                    X       3               2,190
AMERISOURCEBERGEN CORP     COM         03073E105     1,610    71,918  SH              X             3     61,928              9,990
AMERISOURCEBERGEN CORP     COM         03073E105     5,659   252,888  SH              X             2    252,888
AMERIPRISE FINL INC        COM         03076C106         8       218  SH              X           1,3        218
AMERIPRISE FINL INC        COM         03076C106       401    11,048  SH                    X       3        325    7,723     3,000
AMERIPRISE FINL INC        COM         03076C106     7,873   216,714  SH              X             3    204,240    2,004    10,470
AMERIPRISE FINL INC        COM         03076C106    27,080   745,383  SH              X             2    510,202            235,181
AMETEK INC NEW             COM         031100100       346     9,912  SH              X             3      3,202              6,710
AMETEK INC NEW             COM         031100100     1,009    28,900  SH              X             2     28,900
AMGEN INC                  COM         031162100         9       150  SH                    X     1,3         50      100
AMGEN INC                  COM         031162100       504     8,374  SH                    X       3        475    7,899
AMGEN INC                  COM         031162100       636    10,565  SH              X           1,3     10,465      100
AMGEN INC                  COM         031162100     4,664    77,431  SH              X             3     74,882    2,019       530
AMGEN INC                  COM         031162100    16,853   279,815  SH              X             2    125,265            154,550
AMPHENOL CORP NEW          CL A        032095101        29       763  SH                    X       3                 398       365
AMPHENOL CORP NEW          CL A        032095101       463    12,277  SH              X             3      2,243             10,034
AMPHENOL CORP NEW          CL A        032095101     2,464    65,400  SH              X             2     65,400
AMTRUST FINANCL SVCS I     COM         032359309         5       479  SH                    X       3                 479
AMTRUST FINANCL SVCS I     COM         032359309       157    13,743  SH              X             3     12,600              1,143
ANADARKO PETE CORP         COM         032511107        13       200  SH              X           1,3        200
ANADARKO PETE CORP         COM         032511107       399     6,353  SH                    X       3               6,353
ANADARKO PETE CORP         COM         032511107     5,198    82,862  SH              X             3     81,907      260       695
ANADARKO PETE CORP         COM         032511107    14,051   223,995  SH              X             2    147,895             76,100
ANALOG DEVICES INC         COM         032654105        11       381  SH                    X       3                 381
ANALOG DEVICES INC         COM         032654105       463    16,798  SH              X             3     16,758                 40
ANCHOR BANCORP WIS INC     COM         032839102        28    21,280  SH                    X       3              21,280
ANCHOR BANCORP WIS INC     COM         032839102        93    71,836  SH              X             3     71,836
ANGLOGOLD ASHANTI LTD      SPON ADR    035128206        56     1,370  SH              X             3      1,370
ANGLOGOLD ASHANTI LTD      SPON ADR    035128206       334     8,204  SH                    X       3               8,204
ANNALY CAP MGMT INC        COM         035710409       171     9,430  SH              X             3      6,875              2,555
ANNALY CAP MGMT INC        COM         035710409     1,745    96,200  SH              X             2     96,200
ANSYS INC                  COM         03662Q105        34       897  SH                    X       3                 422       475
ANSYS INC                  COM         03662Q105       417    11,146  SH              X             3      1,555              9,591
ANWORTH MORTGAGE ASSET     COM         037347101       783    99,322  SH              X             3     92,989              6,333





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
ANWORTH MORTGAGE ASSET     COM         037347101     3,313   420,430  SH              X             2    420,430
AON CORP                   COM         037389103         9       225  SH              X           1,3        225
AON CORP                   COM         037389103        32       777  SH                    X       3                 777
AON CORP                   COM         037389103        43     1,050  SH                    X     1,3      1,050
AON CORP                   COM         037389103       383     9,415  SH              X             3      9,390                 25
APACHE CORP                COM         037411105        96     1,050  SH                    X     1,3      1,050
APACHE CORP                COM         037411105     1,175    12,794  SH                    X       3        520   10,812     1,462
APACHE CORP                COM         037411105     1,392    15,158  SH              X           1,3     15,058      100
APACHE CORP                COM         037411105    11,905   129,639  SH              X             2     75,769             53,870
APACHE CORP                COM         037411105    15,214   165,679  SH              X             3    160,937    3,093     1,649
APOLLO GROUP INC           CL A        037604105        78     1,064  SH                    X       3               1,064
APOLLO GROUP INC           CL A        037604105       384     5,215  SH              X             3      5,215
APOLLO GROUP INC           CL A        037604105     2,947    40,000  SH              X             2     40,000
APPLE INC                  COM         037833100       111       600  SH              X           1,3        600
APPLE INC                  COM         037833100     2,443    13,182  SH                    X       3      3,760    5,508     3,914
APPLE INC                  COM         037833100    14,862    80,183  SH              X             3     73,938      100     6,145
APPLE INC                  COM         037833100    46,354   250,088  SH              X             2    120,488            129,600
APPLIED MATLS INC          COM         038222105        21     1,600  SH                    X     1,3      1,600
APPLIED MATLS INC          COM         038222105       264    19,751  SH                    X       3      2,450   17,301
APPLIED MATLS INC          COM         038222105       265    19,800  SH              X           1,3     19,800
APPLIED MATLS INC          COM         038222105     4,930   368,447  SH              X             3    351,642   13,467     3,338
APPLIED MATLS INC          COM         038222105     8,646   646,200  SH              X             2    258,400            387,800
APTARGROUP INC             COM         038336103       132     3,525  SH                    X       3               3,525
APTARGROUP INC             COM         038336103       224     6,003  SH              X             3      1,602              4,401
ARBITRON INC               COM         03875Q108         4       200  SH                    X       3                 200
ARBITRON INC               COM         03875Q108       638    30,739  SH              X             3     28,926              1,813
ARBITRON INC               COM         03875Q108     2,491   120,000  SH              X             2    120,000
ARCHER DANIELS MIDLAND     COM         039483102       143     4,894  SH                    X       3               2,350     2,544
ARCHER DANIELS MIDLAND     COM         039483102       780    26,692  SH              X             3     26,672                 20
ARCHER DANIELS MIDLAND     COM         039483102     2,742    93,836  SH              X             2     85,030              8,806
ARENA RESOURCES INC        COM         040049108        32       890  SH              X             3        890
ARENA RESOURCES INC        COM         040049108       270     7,599  SH                    X       3               7,599
ARIBA INC                  COM NEW     04033V203       482    41,517  SH              X             3     37,312              4,205
ARIBA INC                  COM NEW     04033V203     1,981   170,800  SH              X             2    170,800
ARM HLDGS PLC              SPON ADR    042068106        97    13,890  SH              X             3     13,890
ARROW ELECTRS INC          COM         042735100       206     7,325  SH                    X       3               7,325
ARROW ELECTRS INC          COM         042735100     1,205    42,801  SH              X             3     29,898             12,903
ARROW ELECTRS INC          COM         042735100    13,027   462,780  SH              X             2    257,280            205,500
ART TECHNOLOGY GR INC      COM         04289L107       514   133,248  SH              X             3    124,751              8,497
ART TECHNOLOGY GR INC      COM         04289L107     2,191   567,600  SH              X             2    567,600
ARUBA NETWORKS INC         COM         043176106       201    22,737  SH              X             3     22,737
ARUBA NETWORKS INC         COM         043176106       401    45,400  SH              X             2     45,400
ARVINMERITOR INC           COM         043353101       150    19,178  SH              X             3     19,178
ASHLAND INC NEW            COM         044209104       315     7,290  SH              X             3      7,255                 35
ASHLAND INC NEW            COM         044209104     2,553    59,065  SH              X             2     59,065
ASIAINFO HLDGS INC         COM         04518A104       556    27,833  SH              X             3     26,060              1,773
ASIAINFO HLDGS INC         COM         04518A104     2,374   118,900  SH              X             2    118,900
ASSOCIATED BANC CORP       COM         045487105       366    32,012  SH                    X       3      4,878   26,707       427
ASSOCIATED BANC CORP       COM         045487105     2,873   251,579  SH              X             3    230,822    2,257    18,500
ASSOCIATED BANC CORP       COM         045487105     3,069   268,719  SH              X             2    268,719
ASSURANT INC               COM         04621X108         5       141  SH                    X       3                 141
ASSURANT INC               COM         04621X108       391    12,190  SH              X             3     11,590                600
ASTORIA FINL CORP          COM         046265104        33     2,990  SH                    X       3                         2,990
ASTORIA FINL CORP          COM         046265104       133    12,024  SH              X             3      4,674              7,350
ATLANTICTELENETWORK INC    COM NEW     049079205        13       243  SH                    X       3                 243
ATLANTICTELENETWORK INC    COM NEW     049079205     1,265    23,670  SH              X             3     22,168              1,502
ATLANTICTELENETWORK INC    COM NEW     049079205     5,315    99,500  SH              X             2     99,500
ATLASAIR WRLDWIDE HLDGS    COM NEW     049164205       549    17,164  SH              X             3     15,690              1,474
ATLASAIR WRLDWIDE HLDGS    COM NEW     049164205     2,311    72,300  SH              X             2     72,300
ATWOOD OCEANICS INC        COM         050095108       288     8,158  SH              X             3      8,158
AUTODESK INC               COM         052769106        11       473  SH                    X       3                 473
AUTODESK INC               COM         052769106       285    11,954  SH              X             3     11,954
AUTOLIV INC                COM         052800109       168     5,011  SH              X             2                         5,011
AUTOMATIC DATA PROCG IN    COM         053015103        10       250  SH              X           1,3                 250
AUTOMATIC DATA PROCG IN    COM         053015103       956    24,337  SH                    X       3        450   20,987     2,900
AUTOMATIC DATA PROCG IN    COM         053015103     1,978    50,323  SH              X             3     21,125       55    29,143
AUTONATION INC             COM         05329W102        11       603  SH                    X       3                 603
AUTONATION INC             COM         05329W102       426    23,529  SH              X             3     23,469                 60
AUTONATION INC             COM         05329W102     1,173    64,900  SH              X             2     64,900
AUTOZONE INC               COM         053332102        67       457  SH                    X       3                 457
AUTOZONE INC               COM         053332102       404     2,760  SH              X             3      2,714       22        24
AVALONBAY CMNTYS INC       COM         053484101         2        30  SH                    X       3                  30
AVALONBAY CMNTYS INC       COM         053484101       250     3,442  SH              X             3      3,442
AVERY DENNISON CORP        COM         053611109        41     1,130  SH              X             2      1,130
AVERY DENNISON CORP        COM         053611109       164     4,546  SH                    X       3               4,546
AVERY DENNISON CORP        COM         053611109     1,335    37,083  SH              X             3     36,762       66       255
AVIS BUDGET GROUP          COM         053774105       202    15,095  SH              X             3     15,095
AVISTA CORP                COM         05379B107       243    11,995  SH              X             3     11,685                310
AVNET INC                  COM         053807103        58     2,240  SH                    X       3                         2,240
AVNET INC                  COM         053807103       765    29,463  SH              X             3     28,535                928
AVNET INC                  COM         053807103     2,840   109,352  SH              X             2    109,352
AVON PRODS INC             COM         054303102        22       649  SH                    X       3                 199       450
AVON PRODS INC             COM         054303102       592    17,427  SH              X             3     17,392                 35
AXA                        SPON ADR    054536107       180     6,648  SH                    X       3               3,175     3,473
AXA                        SPON ADR    054536107       337    12,475  SH              X             3      5,469              7,006
BB&T CORP                  COM         054937107         3       100  SH              X             2        100
BB&T CORP                  COM         054937107        63     2,299  SH                    X       3               1,159     1,140
BB&T CORP                  COM         054937107     3,380   124,074  SH              X             3    122,875      152     1,047
BCE INC                    COM NEW     05534B760       247    10,010  SH              X             3     10,010
BJ SVCS CO                 COM         055482103         8       400  SH              X           1,3        400





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
BJ SVCS CO                 COM         055482103        11       574  SH                    X       3                 574
BJ SVCS CO                 COM         055482103     1,420    73,091  SH              X             3     66,371              6,720
BJ SVCS CO                 COM         055482103     3,836   197,383  SH              X             2    197,383
BP PLC                     SPON ADR    055622104       148     2,778  SH                    X     1,3      2,378      400
BP PLC                     SPON ADR    055622104       958    18,002  SH              X             2                        18,002
BP PLC                     SPON ADR    055622104     1,040    19,544  SH              X           1,3     19,544
BP PLC                     SPON ADR    055622104     3,868    72,670  SH                    X       3     14,637   54,980     3,053
BP PLC                     SPON ADR    055622104    11,119   208,892  SH              X             3    183,294    5,131    20,467
BMC SOFTWARE INC           COM         055921100       412    10,979  SH                    X       3      1,681    2,499     6,799
BMC SOFTWARE INC           COM         055921100     1,664    44,342  SH              X             3     30,454             13,888
BADGER METER INC           COM         056525108       602    15,550  SH                    X       3      1,700   13,850
BADGER METER INC           COM         056525108     1,367    35,340  SH              X             3     35,340
BAKER HUGHES INC           COM         057224107        66     1,539  SH                    X       3                 524     1,015
BAKER HUGHES INC           COM         057224107       543    12,723  SH              X             3     12,698                 25
BALDOR ELEC CO             COM         057741100       443    16,201  SH              X             3     16,156                 45
BALL CORP                  COM         058498106         3        68  SH                    X       3                  68
BALL CORP                  COM         058498106       291     5,912  SH              X             3      5,892                 20
BALL CORP                  COM         058498106     1,560    31,710  SH              X             2     31,710
BANCOBILBAOVIZCAYAARGEN    SPON ADR    05946K101       142     7,947  SH                    X       3               2,696     5,251
BANCOBILBAOVIZCAYAARGEN    SPON ADR    05946K101       350    19,601  SH              X             3      9,254             10,347
BANK OF AMERICA CORP       COM         060505104     5,330   315,000  SH  CALL        X             2
BANK OF AMERICA CORP       COM         060505104        14       824  SH                    X     1,3        824
BANK OF AMERICA CORP       COM         060505104       269    15,887  SH              X           1,3     15,887
BANK OF AMERICA CORP       COM         060505104     1,091    64,485  SH                    X       3      1,150   53,710     9,625
BANK OF AMERICA CORP       COM         060505104    10,612   627,170  SH              X             3    613,392    4,064     9,714
BANK OF AMERICA CORP       COM         060505104    12,849   759,435  SH              X             2    392,462            366,973
BANK MUTUAL CORP NEW       COM         063750103       107    12,090  SH                    X       3              12,090
BANK MUTUAL CORP NEW       COM         063750103       111    12,569  SH              X             3     12,399                170
BNY MELLON CORP            COM         064058100       113     3,920  SH              X             2      2,320              1,600
BNY MELLON CORP            COM         064058100       658    22,702  SH                    X       3              14,543     8,159
BNY MELLON CORP            COM         064058100     5,255   181,283  SH              X             3    146,008      170    35,105
BARD C R INC               COM         067383109        20       250  SH              X           1,3        250
BARD C R INC               COM         067383109       756     9,620  SH              X             3      6,327       26     3,267
BARD C R INC               COM         067383109     1,297    16,495  SH                    X       3     16,400       95
BARCLAYS BK PLC            DJAIG CMDTY 06738C778       268     6,955  SH                    X       3      2,850    4,105
BARCLAYS BK PLC            DJAIG CMDTY 06738C778     3,549    92,027  SH              X             3     92,027
BARCLAYS BK PLC            IPSPCROIL   06738C786     1,210    50,860  SH              X             3     50,860
BARRICK GOLD CORP          COM         067901108       130     3,426  SH              X             3      3,426
BARRICK GOLD CORP          COM         067901108       753    19,867  SH                    X       3              19,387       480
BAXTER INTL INC            COM         071813109       118     2,067  SH              X           1,3      2,067
BAXTER INTL INC            COM         071813109     1,310    22,985  SH                    X       3     13,497    9,488
BAXTER INTL INC            COM         071813109    14,458   253,605  SH              X             3    252,852      535       218
BAXTER INTL INC            COM         071813109    16,272   285,420  SH              X             2    127,180            158,240
BECKMAN COULTER INC        COM         075811109       148     2,150  SH                    X       3               2,150
BECKMAN COULTER INC        COM         075811109       261     3,788  SH              X             3      1,313              2,475
BECTON DICKINSON & CO      COM         075887109        21       300  SH              X           1,3        300
BECTON DICKINSON & CO      COM         075887109        37       529  SH                    X       3                 529
BECTON DICKINSON & CO      COM         075887109     2,912    41,753  SH              X             3     41,581       75        97
BECTON DICKINSON & CO      COM         075887109    12,307   176,445  SH              X             2     65,245            111,200
BELDEN INC                 COM         077454106        80     3,480  SH                    X       3                         3,480
BELDEN INC                 COM         077454106       623    26,983  SH              X             3     21,249              5,734
BEMIS INC                  COM         081437105       126     4,877  SH                    X       3               4,877
BEMIS INC                  COM         081437105       354    13,645  SH              X             2     13,645
BEMIS INC                  COM         081437105     1,443    55,680  SH              X             3     51,713       50     3,917
BERKSHIRE HATHAWAY INC     CL A        084670108       606         6  SH              X             3          6
BERKSHIRE HATHAWAY INC     CL A        084670108     1,313        13  SH                    X       3                  13
BERKSHIRE HATHAWAY INC     CL B        084670207         3         1  SH              X           1,3          1
BERKSHIRE HATHAWAY INC     CL B        084670207     1,509       454  SH                    X       3         10      368        76
BERKSHIRE HATHAWAY INC     CL B        084670207     5,021     1,511  SH              X             3      1,189       16       306
BEST BUY INC               COM         086516101       339     9,042  SH                    X       3        500    4,612     3,930
BEST BUY INC               COM         086516101     2,502    66,699  SH              X             3     46,210             20,489
BEST BUY INC               COM         086516101    15,510   413,402  SH              X             2    251,152            162,250
BHP BILLITON LTD           SPON ADR    088606108       182     2,750  SH                    X     1,3      1,850      900
BHP BILLITON LTD           SPON ADR    088606108     2,050    31,052  SH                    X       3      9,600   19,872     1,580
BHP BILLITON LTD           SPON ADR    088606108     2,612    39,575  SH              X           1,3     39,575
BHP BILLITON LTD           SPON ADR    088606108     2,975    45,064  SH              X             3     42,707              2,357
BIG LOTS INC               COM         089302103        10       399  SH                    X       3                 399
BIG LOTS INC               COM         089302103       548    21,923  SH              X             3     21,923
BIG LOTS INC               COM         089302103     1,907    76,200  SH              X             2     76,200
BIO RAD LABS INC           CL A        090572207        55       600  SH                    X       3                 600
BIO RAD LABS INC           CL A        090572207       360     3,916  SH              X             3      2,996                920
BIO-REFERENCE LABS INC     COM$.01NEW  09057G602       521    15,139  SH              X             3     14,255                884
BIO-REFERENCE LABS INC     COM$.01NEW  09057G602     1,985    57,700  SH              X             2     57,700
BIOGEN IDEC INC            COM         09062X103        54     1,078  SH                    X       3               1,078
BIOGEN IDEC INC            COM         09062X103       314     6,222  SH              X             3      6,202                 20
BIOTECH HOLDRS TR          DEP RCPTS   09067D201        10       100  SH              X             2                           100
BLACKBAUD INC              COM         09227Q100        71     3,050  SH                    X       3                 600     2,450
BLACKBAUD INC              COM         09227Q100       207     8,901  SH              X             3      4,791              4,110
BLACKROCK INC              COM         09247X101       196       903  SH              X             3        903
BLACKROCK INC              COM         09247X101       670     3,090  SH                    X       3      2,945                145
BLOCK H & R INC            COM         093671105        49     2,689  SH                    X       3      1,600    1,089
BLOCK H & R INC            COM         093671105       173     9,407  SH              X             3      9,342                 65
BLUE CHIP VALUE FD INC     COM         095333100        32    10,300  SH              X           1,3     10,300
BOB EVANS FARMS INC        COM         096761101        56     1,920  SH                    X       3                         1,920
BOB EVANS FARMS INC        COM         096761101       192     6,601  SH              X             3      3,431              3,170
BOEING CO                  COM         097023105        24       450  SH                    X     1,3        450
BOEING CO                  COM         097023105       477     8,800  SH              X           1,3      8,650      150
BOEING CO                  COM         097023105       932    17,206  SH                    X       3      2,460   14,612       134
BOEING CO                  COM         097023105     8,228   151,963  SH              X             2     88,937             63,026
BOEING CO                  COM         097023105    15,008   277,155  SH              X             3    267,396    5,187     4,572





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
BORGWARNER INC             COM         099724106        41     1,350  SH                    X       3        450      900
BORGWARNER INC             COM         099724106       623    20,584  SH              X             3     19,671      200       713
BOSTON SCIENTIFIC CORP     COM         101137107       163    15,438  SH              X             3     15,308                130
BRADY CORP                 CL A        104674106       117     4,074  SH              X             3      3,852                222
BRADY CORP                 CL A        104674106     1,020    35,500  SH                    X       3              35,500
BRIGGS & STRATTON CORP     COM         109043109       168     8,653  SH              X             3      8,441                212
BRIGGS & STRATTON CORP     COM         109043109       293    15,100  SH                    X       3        800   14,300
BRIGHTPOINT INC            COM NEW     109473405        15     1,737  SH                    X       3               1,737
BRIGHTPOINT INC            COM NEW     109473405       467    53,353  SH              X             3     50,147              3,206
BRIGHTPOINT INC            COM NEW     109473405     1,835   209,700  SH              X             2    209,700
BRINKER INTL INC           COM         109641100         4       225  SH              X           1,3        225
BRINKER INTL INC           COM         109641100        38     2,385  SH              X             3        257              2,128
BRINKER INTL INC           COM         109641100     2,360   150,000  SH              X             2    150,000
BRINKS CO                  COM         109696104        34     1,245  SH                    X       3                 110     1,135
BRINKS CO                  COM         109696104       262     9,733  SH              X             3      6,862              2,871
BRINKS HOME SEC HLDGS      COM         109699108        34     1,100  SH                    X       3                         1,100
BRINKS HOME SEC HLDGS      COM         109699108       187     6,077  SH              X             3      5,464                613
BRISTOL MYERS SQUIBB CO    COM         110122108        74     3,300  SH                    X     1,3      3,200      100
BRISTOL MYERS SQUIBB CO    COM         110122108       810    35,975  SH              X           1,3     35,675      300
BRISTOL MYERS SQUIBB CO    COM         110122108     1,084    48,133  SH                    X       3      7,902   34,392     5,839
BRISTOL MYERS SQUIBB CO    COM         110122108     3,440   152,761  SH              X             2    126,105             26,656
BRISTOL MYERS SQUIBB CO    COM         110122108     6,693   297,220  SH              X             3    290,271    3,910     3,039
BRISTOW GROUP INC          COM         110394103       105     3,550  SH                    X       3               3,550
BRISTOW GROUP INC          COM         110394103       165     5,544  SH              X             3      1,509              4,035
BRITISH AMERN TOB PLC      SPON ADR    110448107       116     1,830  SH                    X       3                 623     1,207
BRITISH AMERN TOB PLC      SPON ADR    110448107       247     3,907  SH              X             3      2,191              1,716
BROADCOM CORP              CL A        111320107       206     6,725  SH                    X       3        186    4,101     2,438
BROADCOM CORP              CL A        111320107     1,084    35,318  SH              X             3     35,133      140        45
BROADCOM CORP              CL A        111320107    12,282   400,200  SH              X             2    190,100            210,100
BROWN FORMAN CORP          CL B        115637209       101     2,092  SH              X             3      2,013                 79
BROWN FORMAN CORP          CL B        115637209       114     2,372  SH                    X       3               2,372
BRUNSWICK CORP             COM         117043109        55     4,620  SH                    X       3                 120     4,500
BRUNSWICK CORP             COM         117043109       162    13,550  SH              X             3      6,300              7,250
BUCYRUS INTL INC NEW       COM         118759109     4,227   118,700  SH              X             2     48,200             70,500
BURGER KING HLDGS INC      COM         121208201     1,773   100,800  SH              X             2    100,800
BURLINGTON NRTH SANTAFE    COM         12189T104     1,194    14,954  SH                    X       3      1,000   10,404     3,550
BURLINGTON NRTH SANTAFE    COM         12189T104     1,338    16,759  SH              X             3     14,964       41     1,754
BURLINGTON NRTH SANTAFE    COM         12189T104     8,438   105,700  SH              X             2     49,700             56,000
C&D TECHNOLOGIES INC       COM         124661109        72    33,500  SH              X             3     33,500
CBS CORP NEW               CL A        124857103         5       400  SH              X             2                           400
CBS CORP NEW               CL B        124857202         9       785  SH                    X       3                 785
CBS CORP NEW               CL B        124857202       304    25,195  SH              X             3     25,195
CB RICHARD ELLIS GR INC    CL A        12497T101         5       445  SH                    X       3                 445
CB RICHARD ELLIS GR INC    CL A        12497T101       154    13,097  SH              X             3     13,097
C D I CORP                 COM         125071100        33     2,330  SH                    X       3                         2,330
C D I CORP                 COM         125071100       114     8,110  SH              X             3      4,240              3,870
C H ROBINSON WRLDWD INC    COM NEW     12541W209       642    11,125  SH                    X       3      1,397    3,559     6,169
C H ROBINSON WRLDWD INC    COM NEW     12541W209     1,484    25,700  SH              X             2     25,700
C H ROBINSON WRLDWD INC    COM NEW     12541W209     2,491    43,134  SH              X             3     21,038             22,096
CIGNA CORP                 COM         125509109        89     3,152  SH                    X       3               1,202     1,950
CIGNA CORP                 COM         125509109     1,725    61,390  SH              X             3     51,250             10,140
CIGNA CORP                 COM         125509109     3,647   129,858  SH              X             2    129,858
CME GROUP INC              COM         12572Q105       309     1,003  SH                    X       3         18      886        99
CME GROUP INC              COM         12572Q105     2,153     6,986  SH              X             3      6,981                  5
CME GROUP INC              COM         12572Q105     4,669    15,150  SH              X             2      9,250              5,900
CMS ENERGY CORP            COM         125896100         5       398  SH                    X       3                 398
CMS ENERGY CORP            COM         125896100       411    30,696  SH              X             3     30,611                 85
CSX CORP                   COM         126408103        50     1,200  SH              X           1,3      1,200
CSX CORP                   COM         126408103       134     3,203  SH                    X       3               3,203
CSX CORP                   COM         126408103       678    16,192  SH              X             3     16,157                 35
CSX CORP                   COM         126408103     2,871    68,580  SH              X             2     68,580
CVS CAREMARK CORP          COM         126650100       692    19,353  SH                    X       3      2,638    7,451     9,264
CVS CAREMARK CORP          COM         126650100     5,386   150,705  SH              X             3    135,688             15,017
CVS CAREMARK CORP          COM         126650100    17,593   492,250  SH              X             2    260,050            232,200
CA INC                     COM         12673P105        33     1,490  SH                    X       3               1,490
CA INC                     COM         12673P105       149     6,786  SH              X             3      4,536              2,250
CA INC                     COM         12673P105     2,261   102,800  SH              X             2    102,800
CABOT MICROELECT CORP      COM         12709P103        88     2,525  SH                    X       3               2,525
CABOT MICROELECT CORP      COM         12709P103       127     3,653  SH              X             3        728              2,925
CAMECO CORP                COM         13321L108        48     1,739  SH              X             3      1,739
CAMECO CORP                COM         13321L108       471    16,953  SH                    X       3              16,953
CAMPBELL SOUP CO           COM         134429109        33     1,000  SH              X           1,3      1,000
CAMPBELL SOUP CO           COM         134429109        65     1,996  SH                    X       3        150    1,846
CAMPBELL SOUP CO           COM         134429109       342    10,491  SH              X             3     10,491
CANON INC                  ADR         138006309       373     9,322  SH                    X       3               4,369     4,953
CANON INC                  ADR         138006309     1,777    44,448  SH              X             3     18,703             25,745
CAPITAL ONE FINL CORP      COM         14040H105       137     3,834  SH                    X       3               3,834
CAPITAL ONE FINL CORP      COM         14040H105     1,393    38,963  SH              X             3     38,963
CAPITAL ONE FINL CORP      COM         14040H105     2,466    69,039  SH              X             2     69,039
CAPITALSOURCE INC          COM         14055X102       599   138,106  SH              X             3    138,106
CAPITALSOURCE INC          COM         14055X102     2,499   575,801  SH              X             2    575,801
CARDINAL HEALTH INC        COM         14149Y108         2        73  SH              X           1,3         73
CARDINAL HEALTH INC        COM         14149Y108         4       156  SH              X             2                           156
CARDINAL HEALTH INC        COM         14149Y108       499    18,627  SH                    X       3         21   13,181     5,425
CARDINAL HEALTH INC        COM         14149Y108     2,271    84,733  SH              X             3     66,173             18,560
CAREFUSION CORP            COM         14170T101         1        36  SH              X           1,3         36
CAREFUSION CORP            COM         14170T101         2        78  SH              X             2                            78
CAREFUSION CORP            COM         14170T101       446    20,479  SH                    X       3              18,092     2,387
CAREFUSION CORP            COM         14170T101     1,076    49,361  SH              X             3     19,954             29,407
CARLISLE COS INC           COM         142339100       132     3,900  SH                    X       3               3,900





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
CARLISLE COS INC           COM         142339100       214     6,308  SH              X             3      1,482              4,826
CARNIVAL CORP              PAIRED CTF  143658300       160     4,817  SH              X             3      4,817
CARNIVAL CORP              PAIRED CTF  143658300       249     7,474  SH                    X       3               7,474
CARNIVAL CORP              PAIRED CTF  143658300     6,107   183,500  SH              X             2     57,000            126,500
CARTER INC                 COM         146229109       509    19,043  SH              X             3     17,156              1,887
CARTER INC                 COM         146229109     1,842    69,000  SH              X             2     69,000
CASEYS GEN STORES INC      COM         147528103       113     3,600  SH                    X       3                         3,600
CASEYS GEN STORES INC      COM         147528103       304     9,673  SH              X             3      4,511              5,162
CASH AMER INTL INC         COM         14754D100        47     1,570  SH                    X       3                         1,570
CASH AMER INTL INC         COM         14754D100       193     6,383  SH              X             3      3,749              2,634
CATERPILLAR INC DEL        COM         149123101       145     2,825  SH              X           1,3      2,825
CATERPILLAR INC DEL        COM         149123101     3,674    71,582  SH                    X       3     33,090   37,892       600
CATERPILLAR INC DEL        COM         149123101     8,864   172,683  SH              X             2     73,083             99,600
CATERPILLAR INC DEL        COM         149123101    10,794   210,292  SH              X             3    204,192    2,649     3,451
CELGENE CORP               COM         151020104        64     1,150  SH              X           1,3      1,150
CELGENE CORP               COM         151020104     1,477    26,428  SH                    X       3      9,320   13,989     3,119
CELGENE CORP               COM         151020104    11,197   200,301  SH              X             3    187,567    1,579    11,155
CELGENE CORP               COM         151020104    11,390   203,760  SH              X             2     99,610            104,150
CENTERPOINT ENERGY INC     COM         15189T107        30     2,430  SH                    X       3                 970     1,460
CENTERPOINT ENERGY INC     COM         15189T107       312    25,064  SH              X             3     18,927      157     5,980
CENTRAL GARDEN & PET CO    COM         153527106       453    38,576  SH              X             3     36,505              2,071
CENTRAL GARDEN & PET CO    COM         153527106     1,579   134,400  SH              X             2    134,400
CENTRAL SECS CORP          COM         155123102       206    11,816  SH              X             3     11,816
CENTURYTEL INC             COM         156700106        36     1,082  SH                    X       3               1,082
CENTURYTEL INC             COM         156700106     3,793   112,885  SH              X             3    112,655       70       160
CENTURYTEL INC             COM         156700106     3,913   116,480  SH              X             2    116,480
CENVEO INC                 COM         15670S105       127    18,400  SH              X             3     18,400
CERNER CORP                COM         156782104       574     7,668  SH              X             3      1,042              6,626
CHECKPOINT SYS INC         COM         162825103       438    26,625  SH              X             3     26,625
CHEESECAKE FACTORY INC     COM         163072101        28     1,518  SH              X             2                         1,518
CHENIERE ENERGY INC        COM NEW     16411R208       293   100,039  SH              X             3     93,654              6,385
CHENIERE ENERGY INC        COM NEW     16411R208     1,239   422,900  SH              X             2    422,900
CHESAPEAKE ENERGY CORP     COM         165167107         9       300  SH              X           1,3        300
CHESAPEAKE ENERGY CORP     COM         165167107        31     1,108  SH                    X       3               1,108
CHESAPEAKE ENERGY CORP     COM         165167107       213     7,507  SH              X             3      7,507
CHEVRON CORP NEW           COM         166764100        62       875  SH                    X     1,3        450      425
CHEVRON CORP NEW           COM         166764100       306     4,344  SH              X           1,3      4,344
CHEVRON CORP NEW           COM         166764100     5,051    71,719  SH                    X       3     13,090   54,150     4,479
CHEVRON CORP NEW           COM         166764100    20,031   284,410  SH              X             2    192,752             91,658
CHEVRON CORP NEW           COM         166764100    39,836   565,618  SH              X             3    542,168   16,939     6,511
CHICOS FAS INC             COM         168615102        23     1,780  SH                    X       3                 200     1,580
CHICOS FAS INC             COM         168615102       104     7,962  SH              X             3      6,502              1,460
CHICOS FAS INC             COM         168615102     1,769   136,100  SH              X             2    136,100
CHINA DIRECT INDS INC      COM NEW     169384203       623   397,093  SH              X             3    371,723             25,370
CHINA DIRECT INDS INC      COM NEW     169384203     2,641 1,681,900  SH              X             2  1,681,900
CHINA NEPSTAR DRUGSTOR     SPON ADR    16943C109        75    12,300  SH              X             3     12,300
CHINA GREEN AG INC         COM         16943W105       344    29,368  SH              X             3     27,494              1,874
CHINA GREEN AG INC         COM         16943W105     1,456   124,200  SH              X             2    124,200
CHINDEX INTERNATL INC      COM         169467107       430    34,182  SH              X             3     32,003              2,179
CHINDEX INTERNATL INC      COM         169467107     1,842   146,400  SH              X             2    146,400
CHIPOTLE MEX GRILL INC     CL A        169656105         2        20  SH                    X       3                  20
CHIPOTLE MEX GRILL INC     CL A        169656105       106     1,096  SH              X             3        596                500
CHIPOTLE MEX GRILL INC     CL A        169656105     1,941    20,000  SH              X             2     20,000
CHUBB CORP                 COM         171232101        10       200  SH                    X     1,3        200
CHUBB CORP                 COM         171232101       291     5,764  SH                    X       3               5,114       650
CHUBB CORP                 COM         171232101     6,503   128,992  SH              X             3    127,943      705       344
CHUBB CORP                 COM         171232101     8,033   159,360  SH              X             2     90,460             68,900
CHURCH & DWIGHT INC        COM         171340102         2        31  SH                    X       3                  31
CHURCH & DWIGHT INC        COM         171340102       415     7,321  SH              X             3      1,484              5,837
CIENA CORP                 COM NEW     171779309         1        85  SH              X             2                            85
CIENA CORP                 COM NEW     171779309       522    32,037  SH              X             3     32,037
CIMAREX ENERGY CO          COM         171798101       181     4,190  SH              X             3      3,655                535
CIMAREX ENERGY CO          COM         171798101     1,561    36,025  SH              X             2     36,025
CINCINNATI FINL CORP       COM         172062101        31     1,183  SH                    X       3               1,183
CINCINNATI FINL CORP       COM         172062101       142     5,445  SH              X             2      5,445
CINCINNATI FINL CORP       COM         172062101     2,323    89,369  SH              X             3     89,020      105       244
CIRRUS LOGIC INC           COM         172755100        91    16,362  SH              X             3     16,362
CISCO SYS INC              COM         17275R102       135     5,750  SH                    X     1,3      4,100    1,650
CISCO SYS INC              COM         17275R102     1,891    80,315  SH              X           1,3     80,315
CISCO SYS INC              COM         17275R102     4,550   193,293  SH                    X       3     37,575  146,635     9,083
CISCO SYS INC              COM         17275R102    29,329 1,245,899  SH              X             3  1,210,279   24,957    10,663
CISCO SYS INC              COM         17275R102    40,280 1,711,116  SH              X             2    749,516            961,600
CINTAS CORP                COM         172908105       440    14,530  SH                    X       3              10,005     4,525
CINTAS CORP                COM         172908105     2,734    90,211  SH              X             3     49,001             41,210
CINTAS CORP                COM         172908105     3,398   112,116  SH              X             2    112,116
CITIGROUP INC              COM         172967101     1,331   275,000  SH  CALL        X             2
CITIGROUP INC              COM         172967101         1       250  SH                    X     1,3        250
CITIGROUP INC              COM         172967101       104    21,498  SH                    X       3              21,498
CITIGROUP INC              COM         172967101     3,753   775,400  SH              X             2    392,700            382,700
CITIGROUP INC              COM         172967101     3,869   799,392  SH              X             3    794,852              4,540
CITRIX SYS INC             COM         177376100        11       281  SH                    X       3                 281
CITRIX SYS INC             COM         177376100     1,112    28,358  SH              X             3     16,975      137    11,246
CLARCOR INC                COM         179895107        50     1,582  SH              X             3      1,363                219
CLARCOR INC                COM         179895107       447    14,250  SH                    X       3              14,250
CLAYMORE ETF               BNY BRI&C   18383M100       236     6,059  SH                    X       3      1,111    1,900     3,048
CLAYMORE ETF               BNY BRI&C   18383M100     1,712    43,974  SH              X             3     43,904                 70
CLIFFS NATURAL RSRCS IN    COM         18683K101         3       100  SH              X           1,3        100
CLIFFS NATURAL RSRCS IN    COM         18683K101       142     4,378  SH              X             3      3,608                770
CLIFFS NATURAL RSRCS IN    COM         18683K101     2,035    62,900  SH              X             2     62,900
CLOROX CO DEL              COM         189054109        53       900  SH              X           1,3        900





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
CLOROX CO DEL              COM         189054109        92     1,570  SH              X             2      1,570
CLOROX CO DEL              COM         189054109       596    10,141  SH                    X       3      8,650    1,141       350
CLOROX CO DEL              COM         189054109     2,767    47,043  SH              X             3     45,601       30     1,412
COACH INC                  COM         189754104       641    19,470  SH                    X       3     17,650      395     1,425
COACH INC                  COM         189754104     1,235    37,535  SH              X             3     29,180              8,355
COACH INC                  COM         189754104     3,569   108,400  SH              X             2    108,400
COCA COLA CO               COM         191216100        86     1,600  SH                    X     1,3      1,400      200
COCA COLA CO               COM         191216100       998    18,583  SH              X           1,3     18,458      125
COCA COLA CO               COM         191216100     3,992    74,330  SH                    X       3     14,350   56,840     3,140
COCA COLA CO               COM         191216100    24,611   458,303  SH              X             3    418,545   27,623    12,135
COCA COLA CO               COM         191216100    27,942   520,333  SH              X             2    185,303            335,030
COCA COLA ENT INC          COM         191219104        19       908  SH                    X       3                 908
COCA COLA ENT INC          COM         191219104       365    17,064  SH              X             3     11,637              5,427
COGNEX CORP                COM         192422103        11       680  SH                    X       3                 680
COGNEX CORP                COM         192422103       165    10,055  SH              X             3     10,055
COGNIZANT TECH SOLUTIO     CL A        192446102       108     2,787  SH                    X       3        100    2,687
COGNIZANT TECH SOLUTIO     CL A        192446102     1,641    42,458  SH              X             3     29,958             12,500
COGNIZANT TECH SOLUTIO     CL A        192446102     2,142    55,400  SH              X             2     55,400
COINSTAR INC               COM         19259P300     2,265    68,655  SH              X             3     64,431              4,224
COINSTAR INC               COM         19259P300    16,803   509,500  SH              X             2    509,500
COLGATE PALMOLIVE CO       COM         194162103         8       100  SH                    X     1,3                 100
COLGATE PALMOLIVE CO       COM         194162103     2,978    39,036  SH                    X       3      9,235   28,301     1,500
COLGATE PALMOLIVE CO       COM         194162103    10,466   137,209  SH              X             3    131,508    5,590       111
COLGATE PALMOLIVE CO       COM         194162103    12,815   168,000  SH              X             2     58,550            109,450
COLLECTIVE BRANDS INC      COM         19421W100       588    33,938  SH              X             3     31,499              2,439
COLLECTIVE BRANDS INC      COM         19421W100     2,322   134,000  SH              X             2    134,000
COMCAST CORP NEW           CL A        20030N101        17     1,012  SH              X           1,3      1,012
COMCAST CORP NEW           CL A        20030N101       276    16,324  SH                    X       3      3,213   13,111
COMCAST CORP NEW           CL A        20030N101     4,468   264,639  SH              X             2    264,639
COMCAST CORP NEW           CL A        20030N101     7,572   448,606  SH              X             3    438,574    4,208     5,824
COMCAST CORP NEW           CL A SPL    20030N200       131     8,119  SH                    X       3               3,340     4,779
COMCAST CORP NEW           CL A SPL    20030N200       245    15,217  SH              X             3     15,217
COMERICA INC               COM         200340107        29       979  SH                    X       3        500      479
COMERICA INC               COM         200340107       622    20,968  SH              X             3     20,968
COMMERCE BANCSHARES INC    COM         200525103     1,611    43,266  SH                    X       3              43,266
COMMERCE BANCSHARES INC    COM         200525103     2,796    75,083  SH              X             3     74,670                413
COMMERCIAL METALS CO       COM         201723103        24     1,360  SH                    X       3                         1,360
COMMERCIAL METALS CO       COM         201723103       190    10,592  SH              X             3      9,874                718
COMMERCIAL METALS CO       COM         201723103     2,108   117,760  SH              X             2    117,760
COMMSCOPE INC              COM         203372107         8       254  SH                    X       3                 254
COMMSCOPE INC              COM         203372107       524    17,518  SH              X             3     17,051                467
COMMSCOPE INC              COM         203372107     3,125   104,393  SH              X             2    104,393
COMMUNITY HEALTH SYSINC    COM         203668108        11       350  SH                    X       3                 350
COMMUNITY HEALTH SYSINC    COM         203668108       172     5,389  SH              X             3      3,057              2,332
COMMUNITY HEALTH SYSINC    COM         203668108     1,325    41,500  SH              X             2     41,500
COMPUTER SCIENCES CORP     COM         205363104        54     1,020  SH                    X       3               1,020
COMPUTER SCIENCES CORP     COM         205363104       988    18,760  SH              X             3     18,260                500
COMPUTER SCIENCES CORP     COM         205363104     1,948    36,950  SH              X             2     36,950
COMPUWARE CORP             COM         205638109         5       645  SH                    X       3                 645
COMPUWARE CORP             COM         205638109       199    27,096  SH              X             3     27,096
CONAGRA FOODS INC          COM         205887102         7       300  SH                    X     1,3        300
CONAGRA FOODS INC          COM         205887102         9       400  SH              X           1,3        400
CONAGRA FOODS INC          COM         205887102        65     3,000  SH              X             2                         3,000
CONAGRA FOODS INC          COM         205887102        92     4,237  SH                    X       3        400    3,837
CONAGRA FOODS INC          COM         205887102       390    17,973  SH              X             3     17,973
CON-WAY INC                COM         205944101        83     2,169  SH              X             3      1,846                323
CON-WAY INC                COM         205944101     7,380   192,600  SH              X             2    107,300             85,300
CONCHO RES INC             COM         20605P101       474    13,033  SH              X             3     11,840              1,193
CONCHO RES INC             COM         20605P101     4,271   117,600  SH              X             2    117,600
CONOCOPHILLIPS             COM         20825C104        96     2,130  SH                    X     1,3      1,786      344
CONOCOPHILLIPS             COM         20825C104       930    20,604  SH              X           1,3     20,454      150
CONOCOPHILLIPS             COM         20825C104     1,489    32,975  SH                    X       3     19,200   10,882     2,893
CONOCOPHILLIPS             COM         20825C104     5,808   128,615  SH              X             2    128,615
CONOCOPHILLIPS             COM         20825C104     6,833   151,311  SH              X             3    146,838      389     4,084
CONSECO INC                COM NEW     208464883       174    33,100  SH              X             3     33,100
CONSOL ENERGY INC          COM         20854P109         8       182  SH                    X       3                 182
CONSOL ENERGY INC          COM         20854P109       128     2,829  SH              X             3      1,617              1,212
CONSOL ENERGY INC          COM         20854P109     1,840    40,800  SH              X             2     40,800
CONSOLIDATED EDISON INC    COM         209115104        90     2,192  SH                    X       3               2,192
CONSOLIDATED EDISON INC    COM         209115104       163     3,975  SH              X             2      3,975
CONSOLIDATED EDISON INC    COM         209115104     3,159    77,162  SH              X             3     75,379      842       941
CONSTELLATION ENRGY GR1    COM         210371100         5       164  SH                    X       3                 164
CONSTELLATION ENRGY GR1    COM         210371100       345    10,670  SH              X             3     10,239                431
CONVERGYS CORP             COM         212485106        10     1,016  SH                    X       3               1,016
CONVERGYS CORP             COM         212485106       337    33,899  SH              X             3     33,899
COPART INC                 COM         217204106       273     8,214  SH              X             3      1,029              7,185
CORINTHIAN COLLEGES INC    COM         218868107       357    19,238  SH              X             3     17,630              1,608
CORNING INC                COM         219350105         3       200  SH              X           1,3        200
CORNING INC                COM         219350105       161    10,507  SH                    X       3              10,507
CORNING INC                COM         219350105     2,603   170,038  SH              X             3    168,907      199       932
CORNING INC                COM         219350105    13,043   851,900  SH              X             2    372,700            479,200
COSTCO WHSL CORP NEW       COM         22160K105         4        75  SH              X           1,3         75
COSTCO WHSL CORP NEW       COM         22160K105       339     6,010  SH                    X       3         75    5,118       817
COSTCO WHSL CORP NEW       COM         22160K105     1,893    33,583  SH              X             3     33,039       30       514
COSTCO WHSL CORP NEW       COM         22160K105     2,486    44,100  SH              X             2     20,000             24,100
COVANCE INC                COM         222816100       172     3,183  SH                    X       3               3,183
COVANCE INC                COM         222816100       527     9,730  SH              X             3      1,254              8,476
COVENTRY HLTH CARE INC     COM         222862104        15       753  SH                    X       3                 753
COVENTRY HLTH CARE INC     COM         222862104       566    28,381  SH              X             3     27,731                650
CROWN CASTLE INTL CORP     COM         228227104        16       499  SH              X             3        499





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
CROWN CASTLE INTL CORP     COM         228227104     2,142    68,300  SH              X             2     68,300
CROWN HOLDINGS INC         COM         228368106       952    35,000  SH              X             2                        35,000
CUMMINS INC                COM         231021106        13       287  SH                    X       3                 287
CUMMINS INC                COM         231021106       733    16,362  SH              X             3     16,362
CUMMINS INC                COM         231021106     3,854    86,000  SH              X             2     35,600             50,400
CYBERSOURCE CORP           COM         23251J106        10       609  SH                    X       3                 609
CYBERSOURCE CORP           COM         23251J106       581    34,871  SH              X             3     32,518              2,353
CYBERSOURCE CORP           COM         23251J106     2,239   134,300  SH              X             2    134,300
CYBERONICS INC             COM         23251P102       452    28,360  SH              X             3     27,317              1,043
CYPRESS SEMICOND CORP      COM         232806109         6       587  SH                    X       3                 587
CYPRESS SEMICOND CORP      COM         232806109       107    10,383  SH              X             3      6,251              4,132
CYPRESS SEMICOND CORP      COM         232806109     1,411   136,600  SH              X             2    136,600
DNP SELECT INCOME FD       COM         23325P104        27     3,000  SH                    X       3               3,000
DNP SELECT INCOME FD       COM         23325P104        32     3,602  SH              X           1,3      3,602
DNP SELECT INCOME FD       COM         23325P104       597    66,875  SH              X             3     66,875
DG FASTCHANNEL INC         COM         23326R109       447    21,367  SH              X             3     19,251              2,116
DG FASTCHANNEL INC         COM         23326R109     1,805    86,200  SH              X             2     86,200
D R HORTON INC             COM         23331A109       203    17,797  SH              X             3     17,797
D R HORTON INC             COM         23331A109       881    77,250  SH              X             2     77,250
DST SYS INC DEL            COM         233326107       114     2,550  SH                    X       3               2,550
DST SYS INC DEL            COM         233326107       207     4,612  SH              X             3      1,494              3,118
DTE ENERGY CO              COM         233331107        36     1,025  SH                    X       3               1,025
DTE ENERGY CO              COM         233331107        75     2,145  SH              X             2      2,145
DTE ENERGY CO              COM         233331107     1,917    54,565  SH              X             3     53,944      187       434
DANAHER CORP DEL           COM         235851102       109     1,625  SH                    X     1,3      1,125      500
DANAHER CORP DEL           COM         235851102       535     7,946  SH                    X       3      1,758    1,691     4,497
DANAHER CORP DEL           COM         235851102     1,484    22,045  SH              X           1,3     22,045
DANAHER CORP DEL           COM         235851102     3,235    48,055  SH              X             3     33,406       34    14,615
DARDEN RESTAURANTS INC     COM         237194105         6       174  SH                    X       3                 174
DARDEN RESTAURANTS INC     COM         237194105       438    12,822  SH              X             3     12,822
DARDEN RESTAURANTS INC     COM         237194105     6,913   202,540  SH              X             2     94,540            108,000
DAVITA INC                 COM         23918K108         1        21  SH                    X       3                  21
DAVITA INC                 COM         23918K108       942    16,642  SH              X             3     14,412              2,230
DAVITA INC                 COM         23918K108     3,553    62,728  SH              X             2     62,728
DEAN FOODS CO NEW          COM         242370104        23     1,300  SH              X           1,3      1,300
DEAN FOODS CO NEW          COM         242370104        39     2,206  SH                    X       3        175    2,031
DEAN FOODS CO NEW          COM         242370104       930    52,297  SH              X             3     52,247                 50
DEAN FOODS CO NEW          COM         242370104     1,012    56,880  SH              X             2     56,880
DEERE & CO                 COM         244199105        17       400  SH              X           1,3        400
DEERE & CO                 COM         244199105       296     6,890  SH                    X       3      2,100      696     4,094
DEERE & CO                 COM         244199105     1,727    40,246  SH              X             3     39,369      852        25
DEERE & CO                 COM         244199105     5,377   125,270  SH              X             2     44,270             81,000
DELL INC                   COM         24702R101        51     3,350  SH              X           1,3      3,350
DELL INC                   COM         24702R101       139     9,089  SH                    X       3        430    8,629        30
DELL INC                   COM         24702R101     3,136   205,475  SH              X             2    205,475
DELL INC                   COM         24702R101     7,186   470,846  SH              X             3    458,208    6,328     6,310
DENBURY RES INC            COM NEW     247916208        31     2,078  SH                    X       3                 218     1,860
DENBURY RES INC            COM NEW     247916208        63     4,171  SH              X             3      4,033                138
DENBURY RES INC            COM NEW     247916208     2,857   188,800  SH              X             2    188,800
DENNYS CORP                COM         24869P104       126    47,420  SH              X             3     47,420
DENTSPLY INTL INC NEW      COM         249030107       204     5,915  SH                    X       3               3,135     2,780
DENTSPLY INTL INC NEW      COM         249030107     2,027    58,698  SH              X             3     20,002             38,696
DENTSPLY INTL INC NEW      COM         249030107     2,294    66,407  SH              X             2     66,407
DEVON ENERGY CORP NEW      COM         25179M103       198     2,945  SH                    X       3               2,160       785
DEVON ENERGY CORP NEW      COM         25179M103     1,236    18,358  SH              X             3     18,257                101
DEVON ENERGY CORP NEW      COM         25179M103     8,200   121,795  SH              X             2     82,795             39,000
DEVRY INC DEL              COM         251893103       568    10,272  SH              X             3     10,247                 25
DEVRY INC DEL              COM         251893103     1,057    19,100  SH              X             2     19,100
DEXCOM INC                 COM         252131107       497    62,714  SH              X             3     56,449              6,265
DEXCOM INC                 COM         252131107     2,021   254,800  SH              X             2    254,800
DIAGEO P L C               SP ADR NEW  25243Q205       802    13,038  SH                    X       3              11,013     2,025
DIAGEO P L C               SP ADR NEW  25243Q205     1,632    26,541  SH              X             3     11,730             14,811
DIAMONDOFFSHOREDRILLING    COM         25271C102         9        93  SH                    X       3                  93
DIAMONDOFFSHOREDRILLING    COM         25271C102       240     2,514  SH              X             3      2,499                 15
DIAMONDOFFSHOREDRILLING    COM         25271C102     1,435    15,020  SH              X             2     15,020
DIAMONDROCK HOSPITALITY    COM         252784301        37     4,620  SH                    X       3                         4,620
DIAMONDROCK HOSPITALITY    COM         252784301       137    16,895  SH              X             3      9,135              7,760
DIAMONDS TR                UNIT SER 1  252787106       142     1,460  SH                    X       3               1,460
DIAMONDS TR                UNIT SER 1  252787106     6,174    63,593  SH              X             3     63,593
DICKS SPORTING GOODS IN    COM         253393102       384    17,122  SH              X             3      2,360             14,762
DIGITAL RLTY TR INC        COM         253868103        16       346  SH              X             3        346
DIGITAL RLTY TR INC        COM         253868103     2,162    47,300  SH              X             2     47,300
DIRECTV GROUP INC          COM         25459L106       753    27,295  SH                    X       3      2,466   12,086    12,743
DIRECTV GROUP INC          COM         25459L106     1,429    51,815  SH              X             3     33,001             18,814
DISNEY WALT CO             COM         254687106        14       500  SH              X           1,3        500
DISNEY WALT CO             COM         254687106        14       500  SH                    X     1,3        500
DISNEY WALT CO             COM         254687106       795    28,969  SH                    X       3        425   27,199     1,345
DISNEY WALT CO             COM         254687106     5,100   185,712  SH              X             3    172,085   11,235     2,392
DISNEY WALT CO             COM         254687106    10,852   395,200  SH              X             2    157,200            238,000
DISCOVER FINL SVCS         COM         254709108        16       982  SH                    X       3                 982
DISCOVER FINL SVCS         COM         254709108     1,192    73,434  SH              X             3     73,324                110
DISCOVER FINL SVCS         COM         254709108     5,767   355,323  SH              X             2    355,323
DOLAN MEDIA CO             COM         25659P402     1,166    97,255  SH              X             3     91,687              5,568
DOLAN MEDIA CO             COM         25659P402     4,411   367,900  SH              X             2    367,900
DOLLAR TREE INC            COM         256746108       144     2,964  SH                    X       3               2,964
DOLLAR TREE INC            COM         256746108       149     3,062  SH              X             3      1,929              1,133
DOLLAR TREE INC            COM         256746108     2,434    50,000  SH              X             2     50,000
DOMINION RES INC VA NEW    COM         25746U109         7       198  SH              X           1,3        198
DOMINION RES INC VA NEW    COM         25746U109       231     6,683  SH                    X       3      4,500    2,183
DOMINION RES INC VA NEW    COM         25746U109     1,659    48,110  SH              X             2     48,110





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
DOMINION RES INC VA NEW    COM         25746U109     2,641    76,549  SH              X             3     74,707      117     1,725
DONALDSON INC              COM         257651109       224     6,470  SH              X             3      1,640              4,830
DONNELLEY R R & SONS CO    COM         257867101        16       762  SH                    X       3                 762
DONNELLEY R R & SONS CO    COM         257867101     1,567    73,707  SH              X             3     73,527                180
DOVER CORP                 COM         260003108       212     5,471  SH                    X       3        500    4,971
DOVER CORP                 COM         260003108       542    13,998  SH              X             3     13,998
DOVER CORP                 COM         260003108     1,760    45,400  SH              X             2     45,400
DOW CHEM CO                COM         260543103        36     1,400  SH                    X     1,3        950      450
DOW CHEM CO                COM         260543103        69     2,650  SH              X           1,3      2,650
DOW CHEM CO                COM         260543103       384    14,747  SH                    X       3      4,200    6,502     4,045
DOW CHEM CO                COM         260543103     1,918    73,583  SH              X             3     68,358    2,550     2,675
DOW CHEM CO                COM         260543103     8,824   338,490  SH              X             2    149,390            189,100
DR PEPPER SNAPPLE GR IN    COM         26138E109         2        84  SH                    X       3                  84
DR PEPPER SNAPPLE GR IN    COM         26138E109       404    14,055  SH              X             3     12,440              1,615
DR PEPPER SNAPPLE GR IN    COM         26138E109     1,265    43,991  SH              X             2     43,991
DRESSER-RAND GROUP INC     COM         261608103       152     4,900  SH                    X       3               4,000       900
DRESSER-RAND GROUP INC     COM         261608103       245     7,890  SH              X             3      3,315              4,575
DRESSER-RAND GROUP INC     COM         261608103     1,243    40,000  SH              X             2     40,000
DUPONT EIDE NEMOURS&CO     COM         263534109        85     2,650  SH                    X     1,3      2,550      100
DUPONT EIDE NEMOURS&CO     COM         263534109       651    20,245  SH                    X       3      4,075   13,987     2,183
DUPONT EIDE NEMOURS&CO     COM         263534109     1,073    33,400  SH              X           1,3     33,150      250
DUPONT EIDE NEMOURS&CO     COM         263534109     3,391   105,517  SH              X             3    104,032      450     1,035
DUPONT EIDE NEMOURS&CO     COM         263534109    12,289   382,374  SH              X             2    139,600            242,774
DUKE REALTY CORP           COM NEW     264411505        40     3,295  SH                    X       3                 420     2,875
DUKE REALTY CORP           COM NEW     264411505       304    25,319  SH              X             3     21,628              3,691
DUKE ENERGY CORP NEW       COM         26441C105       120     7,623  SH                    X       3      1,404    3,154     3,065
DUKE ENERGY CORP NEW       COM         26441C105       896    56,938  SH              X             3     54,105              2,833
DYNCORP INTL INC           CL A        26817C101       487    27,055  SH              X             3     25,335              1,720
DYNCORP INTL INC           CL A        26817C101     2,108   117,100  SH              X             2    117,100
E HOUSE CHINA HLDG LTD     ADR         26852W103       550    25,790  SH              X             3     24,178              1,612
E HOUSE CHINA HLDG LTD     ADR         26852W103     3,861   180,740  SH              X             2    180,740
E M C CORP MASS            COM         268648102       126     7,373  SH                    X       3        675    2,358     4,340
E M C CORP MASS            COM         268648102     1,450    85,076  SH              X             3     82,768      823     1,485
E M C CORP MASS            COM         268648102    15,022   881,570  SH              X             2    447,970            433,600
ENSCO INTL INC             COM         26874Q100        71     1,671  SH                    X       3                 871       800
ENSCO INTL INC             COM         26874Q100       684    16,083  SH              X             3     16,058                 25
ENI S P A                  SPON ADR    26874R108        36       715  SH                    X       3                 715
ENI S P A                  SPON ADR    26874R108       239     4,786  SH              X             3      3,421              1,365
EOG RES INC                COM         26875P101       293     3,512  SH                    X       3               3,512
EOG RES INC                COM         26875P101       299     3,576  SH              X             3      3,504       42        30
EQT CORP                   COM         26884L109     1,056    24,795  SH              X             3     21,455              3,340
EQT CORP                   COM         26884L109     4,167    97,820  SH              X             2     97,820
EASTMAN CHEM CO            COM         277432100         3        56  SH              X           1,3         56
EASTMAN CHEM CO            COM         277432100        24       442  SH                    X       3                 442
EASTMAN CHEM CO            COM         277432100       545    10,183  SH              X             3     10,158                 25
EASTMAN KODAK CO           COM         277461109        11     2,400  SH              X             2                         2,400
EATON CORP                 COM         278058102       285     5,029  SH                    X       3      1,350    2,644     1,035
EATON CORP                 COM         278058102     1,196    21,132  SH              X             3     17,702              3,430
EATON CORP                 COM         278058102     8,839   156,193  SH              X             2     97,193             59,000
EATON VANCE CORP           COM NONVTG  278265103       386    13,778  SH                    X       3      2,187    2,764     8,827
EATON VANCE CORP           COM NONVTG  278265103     1,442    51,507  SH              X             3     17,290             34,217
EATON VANCE ENEQ INC FD    COM         278277108        30     2,250  SH                    X       3               2,250
EATON VANCE ENEQ INC FD    COM         278277108     2,730   206,315  SH              X             3    206,315
EBAY INC                   COM         278642103       317    13,450  SH                    X       3               9,380     4,070
EBAY INC                   COM         278642103       380    16,129  SH              X             3     13,680      104     2,345
EBAY INC                   COM         278642103     9,178   388,900  SH              X             2    210,300            178,600
EBIX INC                   COM NEW     278715206     2,341    42,291  SH              X             3     39,243              3,048
EBIX INC                   COM NEW     278715206     9,738   175,900  SH              X             2    175,900
ECOLAB INC                 COM         278865100       210     4,542  SH                    X       3               3,542     1,000
ECOLAB INC                 COM         278865100     1,110    24,015  SH              X             3     17,697    6,268        50
ECOLAB INC                 COM         278865100     1,637    35,400  SH              X             2     35,400
EDISON INTL                COM         281020107        22       650  SH              X           1,3        650
EDISON INTL                COM         281020107       103     3,068  SH                    X       3                 795     2,273
EDISON INTL                COM         281020107     1,424    42,419  SH              X             3     38,516       61     3,842
EDISON INTL                COM         281020107     5,427   161,598  SH              X             2    161,598
EDWARDS LIFESCIENCES       COM         28176E108        35       507  SH                    X       3                 507
EDWARDS LIFESCIENCES       COM         28176E108     1,307    18,699  SH              X             3     18,324                375
EDWARDS LIFESCIENCES       COM         28176E108     6,687    95,648  SH              X             2     47,700             47,948
ELAN PLC                   ADR         284131208       228    32,000  SH              X             2                        32,000
ELECTRONIC ARTS INC        COM         285512109       123     6,476  SH              X             2      6,476
ELECTRONIC ARTS INC        COM         285512109       187     9,813  SH                    X       3      1,390    7,043     1,380
ELECTRONIC ARTS INC        COM         285512109     3,461   181,676  SH              X             3    173,221    5,589     2,866
ELECTRONICS FOR IMAGING    COM         286082102       139    12,300  SH              X             3     12,300
EMBRAER-EMPRESA BRASILD    SPADRCOMSH  29081M102        63     2,742  SH                    X       3                 950     1,792
EMBRAER-EMPRESA BRASILD    SPADRCOMSH  29081M102       230    10,029  SH              X             3      3,611              6,418
EMERITUS CORP              COM         291005106       458    20,869  SH              X             3     19,537              1,332
EMERITUS CORP              COM         291005106     1,936    88,200  SH              X             2     88,200
EMERSON ELEC CO            COM         291011104        56     1,400  SH                    X     1,3      1,400
EMERSON ELEC CO            COM         291011104       527    13,150  SH              X           1,3     13,150
EMERSON ELEC CO            COM         291011104     6,494   162,014  SH                    X       3     17,581  143,418     1,015
EMERSON ELEC CO            COM         291011104    14,025   349,940  SH              X             2    189,240            160,700
EMERSON ELEC CO            COM         291011104    15,420   384,725  SH              X             3    376,871    4,229     3,625
EMPLOYERS HOLDINGS INC     COM         292218104       171    11,075  SH              X             3     11,075
ENCANA CORP                COM         292505104        35       600  SH              X             3        600
ENCANA CORP                COM         292505104       343     5,946  SH                    X       3               5,946
ENBRIDGE INC               COM         29250N105       509    13,129  SH                    X       3      1,575    2,828     8,726
ENBRIDGE INC               COM         29250N105     1,530    39,421  SH              X             3     13,931             25,490
ENERGIZER HLDGS INC        COM         29266R108     1,513    22,803  SH                    X       3        400    7,203    15,200
ENERGIZER HLDGS INC        COM         29266R108     3,936    59,328  SH              X             3     58,033              1,295
ENERGY TRANS PRTNRS L P    UT LTDPART  29273R109        17       400  SH                    X       3                 400





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
ENERGY TRANS PRTNRS L P    UT LTDPART  29273R109       423     9,944  SH              X             3      9,944
ENERGY TRANSFER EQ L P     CMUTLTDPTN  29273V100        30     1,065  SH              X             3      1,065
ENERGY TRANSFER EQ L P     CMUTLTDPTN  29273V100       700    25,000  SH                    X       3              25,000
ENERGYSOLUTIONS INC        COM         292756202        27     2,930  SH                    X       3                         2,930
ENERGYSOLUTIONS INC        COM         292756202        86     9,285  SH              X             3      2,490              6,795
ENNIS INC                  COM         293389102       118     7,340  SH                    X       3               3,700     3,640
ENNIS INC                  COM         293389102       175    10,868  SH              X             3      5,113              5,755
ENTERGY CORP NEW           COM         29364G103        12       148  SH                    X       3                 148
ENTERGY CORP NEW           COM         29364G103        24       300  SH              X           1,3        300
ENTERGY CORP NEW           COM         29364G103     1,025    12,842  SH              X             3     11,952                890
ENTERGY CORP NEW           COM         29364G103     2,051    25,676  SH              X             2     25,676
ENTERPRISE GP HLDGS L P    UT LP INT   293716106        70     2,368  SH              X             3      2,368
ENTERPRISE GP HLDGS L P    UT LP INT   293716106       740    25,000  SH                    X       3              25,000
ENTERPRISE PRODS PRT L     COM         293792107        20       700  SH                    X       3                 700
ENTERPRISE PRODS PRT L     COM         293792107       430    15,167  SH              X             3     14,967                200
EQUINIX INC                COM NEW     29444U502       664     7,222  SH              X             3      6,785                437
EQUINIX INC                COM NEW     29444U502     5,603    60,900  SH              X             2     60,900
EQUITY RESIDENTIAL         SH BEN INT  29476L107         2        60  SH              X             2         60
EQUITY RESIDENTIAL         SH BEN INT  29476L107        10       336  SH                    X       3        200      136
EQUITY RESIDENTIAL         SH BEN INT  29476L107       289     9,406  SH              X             3      9,406
ERICSSON L M TEL CO        ADRBSEK 10  294821608       116    11,601  SH                    X       3               4,329     7,272
ERICSSON L M TEL CO        ADRBSEK 10  294821608       339    33,871  SH              X             3     12,783             21,088
ETHAN ALLEN INTERIORS      COM         297602104     1,137    68,930  SH              X             3     68,930
EURONET WORLDWIDE INC      COM         298736109       718    29,900  SH              X             3     29,900
EXELON CORP                COM         30161N101        96     1,926  SH                    X     1,3      1,926
EXELON CORP                COM         30161N101       358     7,224  SH              X           1,3      7,224
EXELON CORP                COM         30161N101       690    13,897  SH                    X       3        995   12,902
EXELON CORP                COM         30161N101       962    19,384  SH              X             2     19,384
EXELON CORP                COM         30161N101     7,480   150,752  SH              X             3    147,062    2,844       846
EXPEDIA INC DEL            COM         30212P105         4       178  SH                    X       3                 178
EXPEDIA INC DEL            COM         30212P105       823    34,363  SH              X             3     28,663              5,700
EXPEDIA INC DEL            COM         30212P105     3,807   158,949  SH              X             2    158,949
EXPEDITORS INTL WASH       COM         302130109       339     9,633  SH                    X       3         25    9,276       332
EXPEDITORS INTL WASH       COM         302130109       553    15,730  SH              X             3      9,629              6,101
EXPRESS SCRIPTS INC        COM         302182100       320     4,126  SH                    X       3               4,126
EXPRESS SCRIPTS INC        COM         302182100       940    12,110  SH              X             3     12,095                 15
EXPRESS SCRIPTS INC        COM         302182100     7,309    94,215  SH              X             2     94,215
EXXON MOBIL CORP           COM         30231G102       309     4,500  SH                    X     1,3      3,575      925
EXXON MOBIL CORP           COM         30231G102     1,829    26,654  SH              X           1,3     26,504      150
EXXON MOBIL CORP           COM         30231G102    13,977   203,720  SH                    X       3     33,014  167,911     2,795
EXXON MOBIL CORP           COM         30231G102    48,775   710,905  SH              X             2    344,457            366,448
EXXON MOBIL CORP           COM         30231G102    66,804   973,685  SH              X             3    930,134   34,691     8,860
FLIR SYS INC               COM         302445101        15       530  SH                    X       3                           530
FLIR SYS INC               COM         302445101       356    12,710  SH              X             3      1,950             10,760
FLIR SYS INC               COM         302445101     1,622    58,000  SH              X             2     58,000
FMC TECHNOLOGIES INC       COM         30249U101       469     8,975  SH              X             3      2,460              6,515
FNB CORP PA                COM         302520101       146    20,584  SH              X             3     20,584
FPL GROUP INC              COM         302571104        28       500  SH                    X     1,3        500
FPL GROUP INC              COM         302571104        66     1,200  SH              X           1,3      1,200
FPL GROUP INC              COM         302571104       575    10,402  SH                    X       3      4,359    6,043
FPL GROUP INC              COM         302571104       919    16,640  SH              X             2     16,640
FPL GROUP INC              COM         302571104     2,584    46,786  SH              X             3     42,154    4,507       125
FTI CONSULTING INC         COM         302941109        10       225  SH                    X       3                           225
FTI CONSULTING INC         COM         302941109       252     5,914  SH              X             3      1,451              4,463
FACTSET RESH SYS INC       COM         303075105         3        42  SH                    X       3                  42
FACTSET RESH SYS INC       COM         303075105       319     4,815  SH              X             3        726              4,089
FAMILY DLR STORES INC      COM         307000109       150     5,685  SH                    X       3               5,685
FAMILY DLR STORES INC      COM         307000109       185     7,000  SH              X             2      7,000
FAMILY DLR STORES INC      COM         307000109       249     9,428  SH              X             3      4,183              5,245
FASTENAL CO                COM         311900104       711    18,373  SH              X             3     10,088      375     7,910
FEDERAL HOME LN MTGCORP    COM         313400301        10     5,700  SH              X             2                         5,700
FEDERAL NATL MTG ASSN      COM         313586109        12     7,800  SH              X             2                         7,800
FEDERATED INVS INC PA      CL B        314211103        90     3,410  SH              X             2      3,410
FEDERATED INVS INC PA      CL B        314211103       161     6,121  SH                    X       3               6,121
FEDERATED INVS INC PA      CL B        314211103       906    34,372  SH              X             3     33,173              1,199
FEDEX CORP                 COM         31428X106        41       548  SH                    X       3                 548
FEDEX CORP                 COM         31428X106       592     7,864  SH              X             3      7,817       27        20
FEDEX CORP                 COM         31428X106    12,577   167,200  SH              X             2     70,500             96,700
FIDELITY NATL INFO SV      COM         31620M106        37     1,468  SH                    X       3                 668       800
FIDELITY NATL INFO SV      COM         31620M106       504    19,764  SH              X             3     18,014              1,750
FIFTH THIRD BANCORP        COM         316773100       150    14,788  SH                    X       3              14,788
FIFTH THIRD BANCORP        COM         316773100     1,038   102,468  SH              X             3    102,468
FIFTH THIRD BANCORP        COM         316773100     3,368   332,430  SH              X             2    332,430
FIRST AMERN CORP CALIF     COM         318522307       624    19,274  SH              X             3     17,898              1,376
FIRST AMERN CORP CALIF     COM         318522307     2,287    70,661  SH              X             2     70,661
FIRST HORIZON NATL CORP    COM         320517105         0         1  SH              X             2          1
FIRST SOLAR INC            COM         336433107        96       629  SH                    X       3                 509       120
FIRST SOLAR INC            COM         336433107       109       710  SH              X             3        710
1ST SOURCE CORP            COM         336901103       512    31,439  SH                    X       3              31,439
FISERV INC                 COM         337738108       168     3,476  SH                    X       3               3,476
FISERV INC                 COM         337738108     1,371    28,449  SH              X             3     22,299              6,150
FIRSTENERGY CORP           COM         337932107        23       508  SH                    X       3                 508
FIRSTENERGY CORP           COM         337932107       137     2,990  SH              X             2      2,990
FIRSTENERGY CORP           COM         337932107     2,060    45,063  SH              X             3     44,948                115
FLUOR CORP NEW             COM         343412102       154     3,036  SH                    X       3               1,260     1,776
FLUOR CORP NEW             COM         343412102       772    15,177  SH              X             3     15,177
FLUOR CORP NEW             COM         343412102     3,727    73,300  SH              X             2     28,500             44,800
FLOWERS FOODS INC          COM         343498101       342    13,019  SH              X             3      1,170             11,849
FLOWSERVE CORP             COM         34354P105       554     5,623  SH                    X       3        906    1,279     3,438
FLOWSERVE CORP             COM         34354P105     2,288    23,217  SH              X             3      8,119             15,098





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
FOOT LOCKER INC            COM         344849104        46     3,875  SH                    X       3                  95     3,780
FOOT LOCKER INC            COM         344849104       208    17,416  SH              X             3      7,789              9,627
FORD MTR CO DEL            COMPAR$0.01 345370860         7     1,000  SH              X           1,3      1,000
FORD MTR CO DEL            COMPAR$0.01 345370860        13     1,748  SH              X             2                         1,748
FORD MTR CO DEL            COMPAR$0.01 345370860        13     1,784  SH                    X       3         98    1,686
FORD MTR CO DEL            COMPAR$0.01 345370860     2,288   317,350  SH              X             3    317,170                180
FOREST LABS INC            COM         345838106       311    10,548  SH                    X       3              10,548
FOREST LABS INC            COM         345838106       635    21,570  SH              X             3     21,434       96        40
FOREST LABS INC            COM         345838106     1,748    59,365  SH              X             2     59,365
FORTUNE BRANDS INC         COM         349631101         9       200  SH              X           1,3        200
FORTUNE BRANDS INC         COM         349631101       378     8,790  SH                    X       3      1,600    7,190
FORTUNE BRANDS INC         COM         349631101       407     9,464  SH              X             3      9,300      164
FRANKLIN RES INC           COM         354613101        39       390  SH                    X       3                 240       150
FRANKLIN RES INC           COM         354613101       774     7,691  SH              X             3      7,691
FREEPORT-MCMORAN COPPER    PFD CONV    35671D782        75       724  SH              X             3        724
FREEPORT-MCMORAN COPPER    PFD CONV    35671D782     1,607    15,600  SH                    X       3              15,600
FREEPORT-MCMORAN COPPER    COM         35671D857       151     2,204  SH                    X       3               1,379       825
FREEPORT-MCMORAN COPPER    COM         35671D857       938    13,674  SH              X             3     13,649                 25
FREEPORT-MCMORAN COPPER    COM         35671D857    12,258   178,659  SH              X             2     99,264             79,395
FRESENIUS MEDCRAG&COKGA    SPON ADR    358029106       120     2,416  SH                    X       3                 833     1,583
FRESENIUS MEDCRAG&COKGA    SPON ADR    358029106       346     6,957  SH              X             3      4,490              2,467
FRONTIER COMMUNICATIONS    COM         35906A108         4       498  SH                    X       3                 498
FRONTIER COMMUNICATIONS    COM         35906A108       159    21,027  SH              X             3     21,027
FUJIFILM HLDGS CORP        ADR 2 ORD   35958N107        62     2,080  SH              X             3      2,040                 40
FUJIFILM HLDGS CORP        ADR 2 ORD   35958N107       334    11,215  SH                    X       3              11,215
GABELLI EQUITY TR INC      COM         362397101        82    16,360  SH              X             3     16,360
GALLAGHER ARTHUR J & CO    COM         363576109       157     6,450  SH                    X       3               6,450
GALLAGHER ARTHUR J & CO    COM         363576109       276    11,342  SH              X             3      4,680              6,662
GAMESTOP CORP NEW          CL A        36467W109       193     7,276  SH                    X       3      1,127    1,550     4,599
GAMESTOP CORP NEW          CL A        36467W109       588    22,218  SH              X             3      9,713             12,505
GAMESTOP CORP NEW          CL A        36467W109     1,853    70,000  SH              X             2     70,000
GANNETT INC                COM         364730101        39     3,082  SH                    X       3                 972     2,110
GANNETT INC                COM         364730101       429    34,278  SH              X             3     33,678      100       500
GAP INC DEL                COM         364760108       374    17,486  SH                    X       3              12,534     4,952
GAP INC DEL                COM         364760108     1,457    68,063  SH              X             3     62,113              5,950
GAP INC DEL                COM         364760108     6,629   309,764  SH              X             2    309,764
GARTNER INC                COM         366651107        65     3,550  SH                    X       3               3,550
GARTNER INC                COM         366651107       260    14,208  SH              X             3      9,435              4,773
GENERAL COMMUNIC INC       CL A        369385109       215    31,273  SH              X             3     31,273
GENERAL DYNAMICS CORP      COM         369550108       503     7,787  SH                    X       3      2,100    5,067       620
GENERAL DYNAMICS CORP      COM         369550108     2,387    36,952  SH              X             3     36,127                825
GENERAL DYNAMICS CORP      COM         369550108     3,283    50,815  SH              X             2     50,815
GENERAL ELECTRIC CO        COM         369604103        29     1,750  SH                    X     1,3      1,150      600
GENERAL ELECTRIC CO        COM         369604103       267    16,262  SH              X           1,3     16,262
GENERAL ELECTRIC CO        COM         369604103     6,772   412,433  SH                    X       3     96,121  303,650    12,662
GENERAL ELECTRIC CO        COM         369604103    23,822 1,450,823  SH              X             2    882,806            568,017
GENERAL ELECTRIC CO        COM         369604103    44,862 2,732,126  SH              X             3  2,576,726   89,496    65,904
GENERAL MLS INC            COM         370334104         6       100  SH              X           1,3        100
GENERAL MLS INC            COM         370334104     1,009    15,669  SH                    X       3     10,800    4,519       350
GENERAL MLS INC            COM         370334104     1,630    25,315  SH              X             2      1,285             24,030
GENERAL MLS INC            COM         370334104     3,904    60,647  SH              X             3     57,431    1,668     1,548
GENOPTIX INC               COM         37243V100        10       292  SH                    X       3                 292
GENOPTIX INC               COM         37243V100       598    17,201  SH              X             3     16,091              1,110
GENOPTIX INC               COM         37243V100     2,525    72,600  SH              X             2     72,600
GENUINE PARTS CO           COM         372460105       111     2,910  SH              X             2      2,910
GENUINE PARTS CO           COM         372460105       116     3,058  SH                    X       3        100    2,958
GENUINE PARTS CO           COM         372460105     1,327    34,876  SH              X             3     34,773                103
GENWORTH FINL INC          COM CL A    37247D106        12     1,015  SH                    X       3               1,015
GENWORTH FINL INC          COM CL A    37247D106        30     2,500  SH              X             2                         2,500
GENWORTH FINL INC          COM CL A    37247D106       393    32,881  SH              X             3     32,881
GEOEYE INC                 COM         37250W108         5       171  SH                    X       3                 171
GEOEYE INC                 COM         37250W108     1,535    57,278  SH              X             3     53,715              3,563
GEOEYE INC                 COM         37250W108    11,441   426,900  SH              X             2    426,900
GENZYME CORP               COM         372917104     7,233   127,500  SH              X             2     46,700             80,800
GILEAD SCIENCES INC        COM         375558103       179     3,850  SH                    X     1,3      2,750    1,100
GILEAD SCIENCES INC        COM         375558103       923    19,846  SH                    X       3      2,129    8,355     9,362
GILEAD SCIENCES INC        COM         375558103     2,003    43,075  SH              X           1,3     42,925      150
GILEAD SCIENCES INC        COM         375558103     6,573   141,354  SH              X             3    123,046      204    18,104
GILEAD SCIENCES INC        COM         375558103    17,364   373,420  SH              X             2    198,920            174,500
GLAXOSMITHKLINE PLC        SPON ADR    37733W105         8       200  SH              X           1,3        200
GLAXOSMITHKLINE PLC        SPON ADR    37733W105       418    10,578  SH                    X       3        200    9,423       955
GLAXOSMITHKLINE PLC        SPON ADR    37733W105       951    24,076  SH              X             3     23,601      400        75
GLOBAL PMTS INC            COM         37940X102        14       310  SH                    X       3                 310
GLOBAL PMTS INC            COM         37940X102       452     9,679  SH              X             3      1,772              7,907
GOLD FIELDS LTD NEW        SPON ADR    38059T106        15     1,118  SH              X             3      1,118
GOLD FIELDS LTD NEW        SPON ADR    38059T106       268    19,438  SH                    X       3              19,438
GOLDMAN SACHS GROUP INC    COM         38141G104        28       150  SH                    X     1,3        100       50
GOLDMAN SACHS GROUP INC    COM         38141G104     1,083     5,875  SH              X           1,3      5,875
GOLDMAN SACHS GROUP INC    COM         38141G104     2,471    13,403  SH                    X       3      2,605   10,483       315
GOLDMAN SACHS GROUP INC    COM         38141G104    19,451   105,511  SH              X             3    102,664    2,198       649
GOLDMAN SACHS GROUP INC    COM         38141G104    26,796   145,352  SH              X             2     92,252             53,100
GOODRICH CORP              COM         382388106        11       199  SH                    X       3                 199
GOODRICH CORP              COM         382388106       359     6,605  SH              X             3      6,585                 20
GOODYEAR TIRE & RUBR CO    COM         382550101         4       207  SH                    X       3                 207
GOODYEAR TIRE & RUBR CO    COM         382550101       245    14,365  SH              X             3     14,345                 20
GOOGLE INC                 CL A        38259P508         6        12  SH              X           1,3         12
GOOGLE INC                 CL A        38259P508     1,862     3,756  SH                    X       3        209    2,400     1,147
GOOGLE INC                 CL A        38259P508    14,114    28,465  SH              X             3     26,106      411     1,948
GOOGLE INC                 CL A        38259P508    25,544    51,517  SH              X             2     24,017             27,500
GRACO INC                  COM         384109104        79     2,825  SH                    X       3               2,825





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
GRACO INC                  COM         384109104       143     5,145  SH              X             3      1,547              3,598
GRAINGER W W INC           COM         384802104        38       425  SH              X           1,3        425
GRAINGER W W INC           COM         384802104       349     3,908  SH                    X       3        200    2,758       950
GRAINGER W W INC           COM         384802104     1,351    15,123  SH              X             3      8,326              6,797
GREENHILL & CO INC         COM         395259104        16       175  SH                    X       3        175
GREENHILL & CO INC         COM         395259104     1,426    15,918  SH              X             3     15,543      100       275
GROUP 1 AUTOMOTIVE INC     COM         398905109        67     2,500  SH                    X       3               2,500
GROUP 1 AUTOMOTIVE INC     COM         398905109       165     6,155  SH              X             3      3,135              3,020
GRUPO TELEVISA SA DE CV    SPADRREPORD 40049J206       145     7,819  SH                    X       3               3,499     4,320
GRUPO TELEVISA SA DE CV    SPADRREPORD 40049J206       387    20,804  SH              X             3      8,901             11,903
HCP INC                    COM         40414L109        59     2,048  SH                    X       3               2,048
HCP INC                    COM         40414L109       320    11,147  SH              X             3     11,147
HMS HLDGS CORP             COM         40425J101        15       385  SH                    X       3                 385
HMS HLDGS CORP             COM         40425J101       475    12,434  SH              X             3     11,577                857
HMS HLDGS CORP             COM         40425J101     1,820    47,600  SH              X             2     47,600
HSBC HLDGS PLC             SP ADR NEW  404280406       816    14,226  SH              X             3      9,184      468     4,574
HSBC HLDGS PLC             SP ADR NEW  404280406       825    14,394  SH                    X       3              12,182     2,212
HAEMONETICS CORP           COM         405024100       457     8,151  SH              X             3      7,581                570
HAEMONETICS CORP           COM         405024100     1,695    30,200  SH              X             2     30,200
HALLIBURTON CO             COM         406216101       223     8,235  SH                    X       3               7,260       975
HALLIBURTON CO             COM         406216101       654    24,116  SH              X             3     23,705      101       310
HALLIBURTON CO             COM         406216101    14,090   519,560  SH              X             2    321,260            198,300
HANGER ORTHOPEDIC GRINC    COM NEW     41043F208       425    30,626  SH              X             3     28,667              1,959
HANGER ORTHOPEDIC GRINC    COM NEW     41043F208     1,768   127,500  SH              X             2    127,500
HANOVER INS GROUP INC      COM         410867105     1,007    24,346  SH              X             3     20,650              3,696
HANOVER INS GROUP INC      COM         410867105     3,373    81,610  SH              X             2     81,610
HANSEN NAT CORP            COM         411310105        71     1,930  SH                    X       3        200    1,730
HANSEN NAT CORP            COM         411310105     1,837    50,000  SH              X             2     50,000
HANSEN NAT CORP            COM         411310105     2,073    56,436  SH              X             3     54,958      800       678
HARLEY DAVIDSON INC        COM         412822108       131     5,707  SH                    X       3        800    4,907
HARLEY DAVIDSON INC        COM         412822108     1,029    44,732  SH              X             3     44,622      110
HARMAN INTL INDS INC       COM         413086109        14       416  SH                    X       3                 416
HARMAN INTL INDS INC       COM         413086109       263     7,762  SH              X             3      7,762
HARRIS CORP DEL            COM         413875105        27       720  SH                    X       3                 720
HARRIS CORP DEL            COM         413875105     1,569    41,734  SH              X             3     41,639                 95
HARTE-HANKS INC            COM         416196103       137     9,875  SH                    X       3               9,875
HARTE-HANKS INC            COM         416196103       223    16,111  SH              X             3      4,896             11,215
HARTFORD FINLSVCS GR IN    COM         416515104         8       300  SH                    X     1,3        300
HARTFORD FINLSVCS GR IN    COM         416515104       123     4,633  SH                    X       3                 983     3,650
HARTFORD FINLSVCS GR IN    COM         416515104       707    26,663  SH              X             3     23,763              2,900
HEALTHCARE SVCS GRP INC    COM         421906108        51     2,780  SH                    X       3                 400     2,380
HEALTHCARE SVCS GRP INC    COM         421906108       461    25,078  SH              X             3     22,343              2,735
HEALTHCARE SVCS GRP INC    COM         421906108     1,786    97,300  SH              X             2     97,300
HEALTHSOUTH CORP           COM NEW     421924309       178    11,400  SH              X             3     11,400
HEALTH MGMT ASSOC INC      CL A        421933102       753   100,420  SH              X             3     95,970              4,450
HEALTH MGMT ASSOC INC      CL A        421933102     2,090   279,100  SH              X             2    279,100
HEALTH CARE REIT INC       COM         42217K106         9       205  SH                    X       3                 205
HEALTH CARE REIT INC       COM         42217K106       395     9,491  SH              X             3      9,491
HECLA MNG CO               COM         422704106         6     1,350  SH                    X       3               1,350
HECLA MNG CO               COM         422704106       504   114,964  SH              X             3    107,817              7,147
HECLA MNG CO               COM         422704106     3,879   883,500  SH              X             2    883,500
HEINZ H J CO               COM         423074103       646    16,251  SH                    X       3        500   14,193     1,558
HEINZ H J CO               COM         423074103     3,460    87,042  SH              X             3     85,707      327     1,008
HEINZ H J CO               COM         423074103    12,180   306,425  SH              X             2    119,825            186,600
HELMERICH & PAYNE INC      COM         423452101       626    15,844  SH              X             3     13,357              2,487
HELMERICH & PAYNE INC      COM         423452101     2,170    54,893  SH              X             2     54,893
HENRY JACK & ASSOC INC     COM         426281101        23     1,000  SH              X           1,3      1,000
HENRY JACK & ASSOC INC     COM         426281101       221     9,426  SH              X             3      1,581              7,845
HENRY JACK & ASSOC INC     COM         426281101       479    20,400  SH                    X       3              20,400
HERSHEY CO                 COM         427866108         2        50  SH              X             2         50
HERSHEY CO                 COM         427866108        10       245  SH              X           1,3        245
HERSHEY CO                 COM         427866108        85     2,189  SH                    X       3               2,189
HERSHEY CO                 COM         427866108       310     7,984  SH              X             3      7,939       15        30
HESS CORP                  COM         42809H107        49       919  SH                    X       3                 919
HESS CORP                  COM         42809H107       452     8,448  SH              X             3      8,448
HESS CORP                  COM         42809H107     6,046   113,100  SH              X             2     49,600             63,500
HEWITT ASSOCS INC          COM         42822Q100       668    18,318  SH              X             3     18,318
HEWITT ASSOCS INC          COM         42822Q100     4,031   110,649  SH              X             2    110,649
HEWLETT PACKARD CO         COM         428236103        68     1,450  SH                    X     1,3      1,000      450
HEWLETT PACKARD CO         COM         428236103     1,294    27,415  SH              X           1,3     27,415
HEWLETT PACKARD CO         COM         428236103     3,798    80,452  SH                    X       3     58,268   12,408     9,776
HEWLETT PACKARD CO         COM         428236103    11,352   240,447  SH              X             3    221,170    4,119    15,158
HEWLETT PACKARD CO         COM         428236103    40,934   867,063  SH              X             2    443,201            423,862
HIMAX TECHNOLOGIES INC     SPON ADR    43289P106        93    28,000  SH              X             3     28,000
HOLLY CORP                 COMPAR$0.01 435758305        39     1,525  SH                    X       3                         1,525
HOLLY CORP                 COMPAR$0.01 435758305       172     6,715  SH              X             3      3,275              3,440
HOME DEPOT INC             COM         437076102        45     1,700  SH                    X     1,3      1,700
HOME DEPOT INC             COM         437076102       184     6,905  SH                    X       3      1,100    5,805
HOME DEPOT INC             COM         437076102       414    15,550  SH              X           1,3     15,300      250
HOME DEPOT INC             COM         437076102     2,992   112,310  SH              X             2     63,910             48,400
HOME DEPOT INC             COM         437076102     3,082   115,704  SH              X             3    114,389    1,102       213
HONDA MOTOR LTD            AMERN SH    438128308       106     3,482  SH                    X       3               1,272     2,210
HONDA MOTOR LTD            AMERN SH    438128308       999    32,956  SH              X             3     28,254              4,702
HONEYWELL INTL INC         COM         438516106        21       562  SH                    X     1,3        562
HONEYWELL INTL INC         COM         438516106        50     1,350  SH              X           1,3      1,350
HONEYWELL INTL INC         COM         438516106       394    10,605  SH                    X       3      2,786    6,619     1,200
HONEYWELL INTL INC         COM         438516106     2,694    72,520  SH              X             3     68,650       79     3,791
HONEYWELL INTL INC         COM         438516106    13,452   362,090  SH              X             2    188,990            173,100
HOSPIRA INC                COM         441060100         1        30  SH                    X     1,3         30
HOSPIRA INC                COM         441060100        43       974  SH                    X       3        891       83





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
HOSPIRA INC                COM         441060100        65     1,450  SH              X             2                         1,450
HOSPIRA INC                COM         441060100       261     5,845  SH              X             3      5,815                 30
HOST HOTELS&RESORTS INC    COM         44107P104         9       724  SH                    X       3                 724
HOST HOTELS&RESORTS INC    COM         44107P104       288    24,480  SH              X             3     24,370                110
HUDSON CITY BANCORP        COM         443683107        16     1,179  SH                    X       3               1,179
HUDSON CITY BANCORP        COM         443683107       176    13,400  SH              X             2     13,400
HUDSON CITY BANCORP        COM         443683107     1,245    94,642  SH              X             3     94,427                215
HUMANA INC                 COM         444859102        17       458  SH                    X       3                 458
HUMANA INC                 COM         444859102       479    12,855  SH              X             3     12,723                132
HUMANA INC                 COM         444859102     2,415    64,755  SH              X             2     64,155                600
HUNT J B TRANS SVCS INC    COM         445658107       141     4,375  SH                    X       3               4,375
HUNT J B TRANS SVCS INC    COM         445658107       323    10,068  SH              X             3      4,034              6,034
IMS HEALTH INC             COM         449934108        24     1,537  SH                    X       3               1,537
IMS HEALTH INC             COM         449934108       529    34,468  SH              X             3     32,768              1,700
ITT EDUCATIONAL SVCS IN    COM         45068B109        11       100  SH                    X       3                 100
ITT EDUCATIONAL SVCS IN    COM         45068B109       617     5,583  SH              X             3      5,193                390
ITT EDUCATIONAL SVCS IN    COM         45068B109     1,115    10,100  SH              X             2     10,100
ITT CORP NEW               COM         450911102        85     1,638  SH                    X       3        920      518       200
ITT CORP NEW               COM         450911102     1,157    22,186  SH              X             3     21,370       16       800
ICON PUB LTD CO            SPON ADR    45103T107       180     7,334  SH              X             2      7,334
ICON PUB LTD CO            SPON ADR    45103T107       292    11,931  SH                    X       3        330   11,601
ICON PUB LTD CO            SPON ADR    45103T107     6,578   268,591  SH              X             3    258,166    6,350     4,075
IDEX CORP                  COM         45167R104       211     7,548  SH              X             3        482              7,066
IDEXX LABS INC             COM         45168D104         3        53  SH                    X       3                  53
IDEXX LABS INC             COM         45168D104       408     8,157  SH              X             3        966              7,191
IHS INC                    CL A        451734107       250     4,884  SH              X             3        194              4,690
IHS INC                    CL A        451734107     1,365    26,700  SH              X             2     26,700
ILLINOIS TOOL WKS INC      COM         452308109       147     3,450  SH                    X     1,3      2,350    1,100
ILLINOIS TOOL WKS INC      COM         452308109     1,760    41,204  SH                    X       3      6,850   34,354
ILLINOIS TOOL WKS INC      COM         452308109     1,937    45,360  SH              X           1,3     45,160      200
ILLINOIS TOOL WKS INC      COM         452308109     3,007    70,396  SH              X             3     61,227    7,915     1,254
ILLUMINA INC               COM         452327109         7       170  SH                    X       3                 170
ILLUMINA INC               COM         452327109        45     1,061  SH              X             3        675                386
ILLUMINA INC               COM         452327109     2,550    60,000  SH              X             2     60,000
IMPERIAL OIL LTD           COM NEW     453038408        84     2,221  SH                    X       3                 766     1,455
IMPERIAL OIL LTD           COM NEW     453038408       358     9,401  SH              X             3      7,203              2,198
IMPERIAL SUGAR CO NEW      COM NEW     453096208     1,387   109,393  SH              X             3    102,435              6,958
IMPERIAL SUGAR CO NEW      COM NEW     453096208     5,847   461,100  SH              X             2    461,100
INDIA FD INC               COM         454089103        69     2,371  SH              X             3      2,371
INDIA FD INC               COM         454089103       602    20,719  SH                    X       3              20,719
INFOSYS TECHNOL LTD        SPON ADR    456788108       208     4,285  SH                    X       3               2,641     1,644
INFOSYS TECHNOL LTD        SPON ADR    456788108       304     6,274  SH              X             3      3,001              3,273
ING GROEP N V              SPON ADR    456837103       161     9,014  SH                    X       3               3,054     5,960
ING GROEP N V              SPON ADR    456837103       397    22,262  SH              X             3     10,373             11,889
INGRAM MICRO INC           CL A        457153104       920    54,620  SH              X             3     45,694              8,926
INGRAM MICRO INC           CL A        457153104     3,361   199,482  SH              X             2    199,482
INNODATA ISOGEN INC        COM NEW     457642205       800   100,528  SH              X             3     94,111              6,417
INNODATA ISOGEN INC        COM NEW     457642205     3,380   425,200  SH              X             2    425,200
INTEGRATED DEVICE TECH     COM         458118106       536    79,256  SH              X             3     73,391              5,865
INTEGRATED DEVICE TECH     COM         458118106     3,888   575,200  SH              X             2    575,200
INTEL CORP                 COM         458140100        66     3,350  SH                    X     1,3      2,050    1,300
INTEL CORP                 COM         458140100       383    19,550  SH              X           1,3     19,550
INTEL CORP                 COM         458140100     2,343   119,706  SH                    X       3      5,075  105,692     8,939
INTEL CORP                 COM         458140100    22,808 1,165,472  SH              X             3  1,131,730   20,466    13,276
INTEL CORP                 COM         458140100    30,540 1,560,507  SH              X             2    594,907            965,600
INTEGRYS ENERGY GR INC     COM         45822P105         4       110  SH              X             2        110
INTEGRYS ENERGY GR INC     COM         45822P105        46     1,289  SH              X           1,3      1,289
INTEGRYS ENERGY GR INC     COM         45822P105       122     3,397  SH                    X       3               3,397
INTEGRYS ENERGY GR INC     COM         45822P105       947    26,398  SH              X             3     25,398    1,000
INTERCONTEXCHANGE INC      COM         45865V100        30       310  SH                    X       3                 140       170
INTERCONTEXCHANGE INC      COM         45865V100       267     2,746  SH              X             3        704              2,042
INTERCONTEXCHANGE INC      COM         45865V100     2,187    22,500  SH              X             2     22,500
INTERDIGITAL INC           COM         45867G101        11       458  SH                    X       3                 458
INTERDIGITAL INC           COM         45867G101        22       941  SH              X             3        429                512
INTERDIGITAL INC           COM         45867G101       662    28,600  SH              X             2     28,600
IBM                        COM         459200101       181     1,513  SH                    X     1,3        925      588
IBM                        COM         459200101     2,291    19,150  SH              X           1,3     19,150
IBM                        COM         459200101     7,115    59,481  SH                    X       3     16,612   38,144     4,725
IBM                        COM         459200101    40,342   337,279  SH              X             3    313,117   10,620    13,542
IBM                        COM         459200101    41,060   343,279  SH              X             2    140,491            202,788
INTERNATIONAL GAME TECH    COM         459902102         9       396  SH                    X       3                 396
INTERNATIONAL GAME TECH    COM         459902102        26     1,200  SH              X           1,3      1,200
INTERNATIONAL GAME TECH    COM         459902102        64     3,000  SH              X             2                         3,000
INTERNATIONAL GAME TECH    COM         459902102       546    25,429  SH              X             3     25,315      114
INTL PAPER CO              COM         460146103        41     1,830  SH              X           1,3      1,830
INTL PAPER CO              COM         460146103       338    15,225  SH                    X       3        301   13,689     1,235
INTL PAPER CO              COM         460146103       597    26,867  SH              X             3     26,867
INTL PAPER CO              COM         460146103     1,894    85,205  SH              X             2     85,205
INTERPUBLIC GR COS INC     COM         460690100         1       156  SH                    X       3                 156
INTERPUBLIC GR COS INC     COM         460690100       993   132,099  SH              X             3    107,594             24,505
INTERPUBLIC GR COS INC     COM         460690100     3,831   509,419  SH              X             2    509,419
INTERSIL CORP              CL A        46069S109       486    31,781  SH              X             3     25,334              6,447
INTERSIL CORP              CL A        46069S109     1,968   128,545  SH              X             2    128,545
INTUIT                     COM         461202103        10       350  SH                    X       3                 350
INTUIT                     COM         461202103        11       400  SH              X           1,3        400
INTUIT                     COM         461202103       376    13,191  SH              X             3      1,161             12,030
INVERNESS MED INNVTNS      COM         46126P106         6       163  SH                    X       3                 163
INVERNESS MED INNVTNS      COM         46126P106       815    21,031  SH              X             3     18,730              2,301
INVERNESS MED INNVTNS      COM         46126P106     5,844   150,900  SH              X             2    150,900
ISHARES COMEX GOLD TR      ISHARES     464285105       112     1,129  SH                    X       3                 600       529





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
ISHARES COMEX GOLD TR      ISHARES     464285105       122     1,230  SH              X             3      1,230
ISHARES INC                MSCI BRAZIL 464286400       234     3,457  SH              X             3      3,457
ISHARES INC                MSCI BRAZIL 464286400       473     7,000  SH              X             2      7,000
ISHARES INC                MSCI BRAZIL 464286400       708    10,460  SH                    X       3              10,460
ISHARES INC                MSCI CDAIND 464286509       184     7,235  SH              X             3      7,235
ISHARES INC                MSCI CDAIND 464286509     2,341    91,870  SH                    X       3              91,870
ISHARES INC                MSCIEMUIND  464286608       304     8,000  SH              X             2      8,000
ISHARES INC                MSCI PACJID 464286665       385     9,500  SH              X             2      9,500
ISHARES INC                MSCI TAIWAN 464286731        20     1,590  SH              X             3      1,590
ISHARES INC                MSCI TAIWAN 464286731       592    48,075  SH                    X       3              48,075
ISHARES INC                MSCISKOREA  464286772        55     1,160  SH              X             3      1,160
ISHARES INC                MSCISKOREA  464286772       275     5,810  SH                    X       3               5,810
ISHARES INC                MSCISTHAFR  464286780        32       590  SH              X             3        590
ISHARES INC                MSCISTHAFR  464286780       190     3,470  SH                    X       3               3,470
ISHARES TR INDEX           LC GR IND   464287119       670    12,507  SH              X             3     12,507
ISHARES TR INDEX           LG COREIDX  464287127       220     3,620  SH              X             3      3,620
ISHARES TR INDEX           S&P 1500IND 464287150        35       740  SH                    X       3                 740
ISHARES TR INDEX           S&P 1500IND 464287150       205     4,310  SH              X             3      4,310
ISHARES TR INDEX           DJSELDIVIND 464287168       597    14,473  SH                    X       3        750   13,723
ISHARES TR INDEX           DJSELDIVIND 464287168    13,583   329,122  SH              X             3    328,543      579
ISHARES TR INDEX           TIPS BD     464287176        18       175  SH              X           1,3        175
ISHARES TR INDEX           TIPS BD     464287176       366     3,558  SH                    X       3               2,808       750
ISHARES TR INDEX           TIPS BD     464287176     3,532    34,329  SH              X             3     33,329              1,000
ISHARES TR INDEX           FTSEXNHUA   464287184       292     7,142  SH                    X       3        132    7,010
ISHARES TR INDEX           FTSEXNHUA   464287184     1,640    40,074  SH              X             3     40,074
ISHARES TR INDEX           TRANAVE IDX 464287192       686     9,991  SH              X             3      9,991
ISHARES TR INDEX           S&P 500IND  464287200       843     7,954  SH                    X       3      1,224    6,730
ISHARES TR INDEX           S&P 500IND  464287200    20,082   189,431  SH              X             3    186,544    1,000     1,887
ISHARES TR INDEX           US AGG B    464287226       491     4,675  SH                    X       3        600    4,075
ISHARES TR INDEX           US AGG B    464287226     6,422    61,213  SH              X             3     60,273      700       240
ISHARES TR INDEX           MSCIEMERMKT 464287234       428    11,000  SH              X             2     11,000
ISHARES TR INDEX           MSCIEMERMKT 464287234     1,088    27,972  SH                    X       3     14,447   10,536     2,989
ISHARES TR INDEX           MSCIEMERMKT 464287234    21,405   550,126  SH              X             3    543,981      570     5,575
ISHARES TR INDEX           IBOXINVCPBD 464287242        15       142  SH              X           1,3        142
ISHARES TR INDEX           IBOXINVCPBD 464287242     2,120    19,870  SH                    X       3      4,550   15,320
ISHARES TR INDEX           IBOXINVCPBD 464287242    26,643   249,744  SH              X             3    249,744
ISHARES TR INDEX           S&P500 GR   464287309        22       405  SH              X           1,3        405
ISHARES TR INDEX           S&P500 GR   464287309       647    11,982  SH                    X       3      2,900    9,082
ISHARES TR INDEX           S&P500 GR   464287309    12,680   234,850  SH              X             3    219,750    4,600    10,500
ISHARES TR INDEX           S&P LTNAM40 464287390       386     9,000  SH              X             2      9,000
ISHARES TR INDEX           S&P 500VL   464287408        13       260  SH              X           1,3        260
ISHARES TR INDEX           S&P 500VL   464287408       330     6,437  SH                    X       3        200    6,237
ISHARES TR INDEX           S&P 500VL   464287408     3,226    63,015  SH              X             3     58,015    5,000
ISHARES TR INDEX           7-10 YR     464287440         9        98  SH              X           1,3         98
ISHARES TR INDEX           7-10 YR     464287440       346     3,741  SH              X             3      3,741
ISHARES TR INDEX           1-3 YR      464287457        42       500  SH              X           1,3        500
ISHARES TR INDEX           1-3 YR      464287457     3,188    37,951  SH              X             3     37,951
ISHARES TR INDEX           MSCIEAFEIDX 464287465        85     1,554  SH              X             2      1,554
ISHARES TR INDEX           MSCIEAFEIDX 464287465     3,009    55,038  SH                    X       3      6,869   45,787     2,382
ISHARES TR INDEX           MSCIEAFEIDX 464287465    43,291   791,716  SH              X             3    770,675   16,067     4,974
ISHARES TR INDEX           RUSS MC VL  464287473       271     7,648  SH                    X       3      2,064    5,584
ISHARES TR INDEX           RUSS MC VL  464287473     5,839   164,860  SH              X             3    159,191              5,669
ISHARES TR INDEX           RUSS MC GR  464287481       633    14,895  SH                    X       3      2,218   12,677
ISHARES TR INDEX           RUSS MC GR  464287481    10,108   237,679  SH              X             3    236,779                900
ISHARES TR INDEX           RUSS MC     464287499       557     7,120  SH                    X       3        750    6,370
ISHARES TR INDEX           RUSS MC     464287499    10,401   132,948  SH              X             3    128,691      250     4,007
ISHARES TR INDEX           S&P MC400   464287507         6        92  SH              X           1,3         92
ISHARES TR INDEX           S&P MC400   464287507     2,246    32,573  SH                    X       3      3,458   29,115
ISHARES TR INDEX           S&P MC400   464287507    12,656   183,554  SH              X             3    182,568      986
ISHARES TR INDEX           NASDQBIOIND 464287556       275     3,381  SH              X             3      3,381
ISHARES TR INDEX           COH&STRLTY  464287564        38       790  SH                    X       3                 790
ISHARES TR INDEX           COH&STRLTY  464287564       710    14,600  SH              X             3     14,600
ISHARES TR INDEX           RUSS1000VAL 464287598        52       943  SH                    X       3                 943
ISHARES TR INDEX           RUSS1000VAL 464287598     2,263    40,784  SH              X             3     40,784
ISHARES TR INDEX           S&P MC400GR 464287606        38       511  SH              X             2        511
ISHARES TR INDEX           S&P MC400GR 464287606       467     6,327  SH                    X       3      1,601    4,726
ISHARES TR INDEX           S&P MC400GR 464287606     6,059    82,160  SH              X             3     81,933       90       137
ISHARES TR INDEX           RUSS1000GRW 464287614       845    18,236  SH                    X       3      2,500   15,736
ISHARES TR INDEX           RUSS1000GRW 464287614    10,554   227,909  SH              X             3    227,389      520
ISHARES TR INDEX           RUSS 1000   464287622       261     4,500  SH                    X       3               4,500
ISHARES TR INDEX           RUSS 1000   464287622    13,940   239,937  SH              X             3    239,829      108
ISHARES TR INDEX           RUSL 2000VL 464287630       735    13,017  SH                    X       3      2,429   10,588
ISHARES TR INDEX           RUSL 2000VL 464287630     8,321   147,453  SH              X             3    147,268       75       110
ISHARES TR INDEX           RUSL 2000GR 464287648       576     8,809  SH                    X       3      1,428    7,381
ISHARES TR INDEX           RUSL 2000GR 464287648     3,147    48,100  SH              X             2     48,100
ISHARES TR INDEX           RUSL 2000GR 464287648     7,350   112,346  SH              X             3    111,101      100     1,145
ISHARES TR INDEX           RUSS 2000   464287655       131     2,177  SH              X             2      2,177
ISHARES TR INDEX           RUSS 2000   464287655     1,666    27,649  SH                    X       3      3,114   24,535
ISHARES TR INDEX           RUSS 2000   464287655    18,316   304,047  SH              X             3    301,953    1,653       441
ISHARES TR INDEX           RUSS 3000   464287689       705    11,380  SH              X             3     11,380
ISHARES TR INDEX           S&P MC VL   464287705        26       414  SH              X             2        414
ISHARES TR INDEX           S&P MC VL   464287705     3,203    50,871  SH                    X       3     44,415    6,456
ISHARES TR INDEX           S&P MC VL   464287705    11,188   177,662  SH              X             3    176,966      151       545
ISHARES TR INDEX           DJ US TLCM  464287713       882    46,748  SH              X             3     46,703                 45
ISHARES TR INDEX           DJUSTECHSEC 464287721       673    12,964  SH              X             3     11,764      250       950
ISHARES TR INDEX           DJ US RE    464287739       316     7,414  SH              X             3      7,414
ISHARES TR INDEX           DJ US INDL  464287754       213     4,230  SH              X             3      4,230
ISHARES TR INDEX           DJUSHLTHCR  464287762        42       708  SH                    X       3                 708
ISHARES TR INDEX           DJUSHLTHCR  464287762       682    11,577  SH              X             3     11,487       90
ISHARES TR INDEX           DJUSFINLSVC 464287770         0         5  SH                    X       3                   5





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
ISHARES TR INDEX           DJUSFINLSVC 464287770       207     3,726  SH              X             3      3,726
ISHARES TR INDEX           DJUSENERGY  464287796       438    13,744  SH              X             3     13,744
ISHARES TR INDEX           S&P SC 600  464287804        30       564  SH              X           1,3        564
ISHARES TR INDEX           S&P SC 600  464287804     1,000    19,102  SH                    X       3              19,102
ISHARES TR INDEX           S&P SC 600  464287804     4,002    76,464  SH              X             3     76,458                  6
ISHARES TR INDEX           DJUSBASMATL 464287838       572    10,445  SH              X             3     10,189      256
ISHARES TR INDEX           S&P EUROPL  464287861        88     2,290  SH                    X       3               2,290
ISHARES TR INDEX           S&P EUROPL  464287861       772    20,034  SH              X             3     20,034
ISHARES TR INDEX           S&P SC VAL  464287879       473     8,423  SH                    X       3      5,413    3,010
ISHARES TR INDEX           S&P SC VAL  464287879     4,337    77,262  SH              X             3     76,742      520
ISHARES TR INDEX           S&P SC GR   464287887       163     3,020  SH                    X       3               3,020
ISHARES TR INDEX           S&P SC GR   464287887       188     3,478  SH              X             3      3,478
ISHARES TR                 LC VL IND   464288109       582    11,151  SH              X             3     11,151
ISHARES TR                 MDCORE IND  464288208       343     5,325  SH              X             3      5,325
ISHARES TR                 MG INDX     464288307       270     3,823  SH              X             3      3,823
ISHARES TR                 MV IND      464288406       530     8,529  SH              X             3      8,529
ISHARES TR                 S&PNATMUNB  464288414     3,799    35,911  SH              X             3     32,306       95     3,510
ISHARES TR                 S CORE IND  464288505       401     5,900  SH              X             3      5,900
ISHARES TR                 HI YLDCORP  464288513     1,625    18,821  SH              X             3     18,821
ISHARES TR                 INTER GV    464288612        27       250  SH                    X       3        250
ISHARES TR                 INTER GV    464288612       954     8,965  SH              X             3      8,965
ISHARES TR                 INTER CR    464288638       107     1,030  SH                    X       3               1,030
ISHARES TR                 INTER CR    464288638     2,848    27,515  SH              X             3     27,315      200
ISHARES TR                 USPFDSTK    464288687        40     1,100  SH                    X       3               1,100
ISHARES TR                 USPFDSTK    464288687       917    25,280  SH              X             3     25,280
ISHARES TR                 SC VAL IND  464288703     5,162    80,815  SH              X             3     80,815
ISHARES TR                 DJ MD DVCS  464288810       288     5,730  SH              X             3      5,730
ISHARES TR                 MSCI VL IDX 464288877       405     7,910  SH                    X       3      1,301    6,609
ISHARES TR                 MSCI VL IDX 464288877     4,402    85,994  SH              X             3     85,916                 78
ISHARES TR                 MSCI GR IDX 464288885       555    10,395  SH                    X       3      1,156    9,239
ISHARES TR                 MSCI GR IDX 464288885     3,145    58,949  SH              X             3     58,225      261       463
ISHARES SILVER TRUST       ISHARES     46428Q109        29     1,760  SH                    X       3               1,760
ISHARES SILVER TRUST       ISHARES     46428Q109       820    50,090  SH              X             3     50,090
ISHARES S&P GSCICMDTY I    UT BEN INT  46428R107        33     1,120  SH                    X       3        200      920
ISHARES S&P GSCICMDTY I    UT BEN INT  46428R107       205     6,895  SH              X             3      6,895
IVANHOE MINES LTD          COM         46579N103        15     1,210  SH              X             3      1,210
IVANHOE MINES LTD          COM         46579N103       138    10,767  SH                    X       3              10,767
JA SOLAR HOLDINGS CO LTD   SPON ADR    466090107       109    27,000  SH              X             3     27,000
JDS UNIPHASE CORP          COMPAR$.001 46612J507        89    12,565  SH              X             3     12,565
JDA SOFTWARE GROUP INC     COM         46612K108       539    24,570  SH              X             3     22,492              2,078
JDA SOFTWARE GROUP INC     COM         46612K108     2,108    96,100  SH              X             2     96,100
JPMORGAN CHASE & CO        COM         46625H100        77     1,750  SH                    X     1,3        800      950
JPMORGAN CHASE & CO        COM         46625H100     1,590    36,292  SH              X           1,3     36,292
JPMORGAN CHASE & CO        COM         46625H100     7,623   173,951  SH                    X       3     86,309   86,037     1,605
JPMORGAN CHASE & CO        COM         46625H100    39,662   905,103  SH              X             2    559,101            346,002
JPMORGAN CHASE & CO        COM         46625H100    51,650 1,178,685  SH              X             3  1,163,402   11,305     3,978
JACOBS ENGR GROUP INC      COM         469814107        32       700  SH                    X     1,3        400      300
JACOBS ENGR GROUP INC      COM         469814107        52     1,130  SH                    X       3        200      305       625
JACOBS ENGR GROUP INC      COM         469814107       362     7,875  SH              X           1,3      7,875
JACOBS ENGR GROUP INC      COM         469814107       799    17,390  SH              X             3     17,390
JANUS CAP GROUP INC        COM         47102X105        12       833  SH                    X       3                 833
JANUS CAP GROUP INC        COM         47102X105       307    21,654  SH              X             3     18,064              3,590
JARDEN CORP                COM         471109108     1,180    42,039  SH              X             3     38,648              3,391
JARDEN CORP                COM         471109108     8,564   305,100  SH              X             2    305,100
JOHNSON & JOHNSON          COM         478160104       161     2,650  SH                    X     1,3      1,650    1,000
JOHNSON & JOHNSON          COM         478160104     1,630    26,765  SH              X           1,3     26,215      550
JOHNSON & JOHNSON          COM         478160104     5,914    97,118  SH                    X       3     20,755   75,253     1,110
JOHNSON & JOHNSON          COM         478160104    36,646   601,837  SH              X             3    575,145   15,801    10,891
JOHNSON & JOHNSON          COM         478160104    37,589   617,323  SH              X             2    229,723            387,600
JOHNSON CTLS INC           COM         478366107        12       450  SH              X           1,3        450
JOHNSON CTLS INC           COM         478366107       951    37,220  SH              X             2     37,220
JOHNSON CTLS INC           COM         478366107     2,609   102,072  SH                    X       3     17,460   76,850     7,762
JOHNSON CTLS INC           COM         478366107     4,202   164,382  SH              X             3    138,951   23,600     1,831
JOY GLOBAL INC             COM         481165108         9       182  SH                    X       3                 182
JOY GLOBAL INC             COM         481165108       387     7,900  SH              X             3      6,058              1,842
JUNIPER NETWORKS INC       COM         48203R104       128     4,751  SH                    X       3               3,961       790
JUNIPER NETWORKS INC       COM         48203R104       173     6,390  SH              X             3      5,280              1,110
KBR INC                    COM         48242W106       239    10,253  SH              X             3      8,186              2,067
KLA-TENCOR CORP            COM         482480100        13       353  SH                    X       3                 353
KLA-TENCOR CORP            COM         482480100       469    13,070  SH              X             3     13,070
KLA-TENCOR CORP            COM         482480100     1,872    52,200  SH              X             2     52,200
KANSAS CITY SOUTHERN       COM NEW     485170302       114     4,295  SH              X             3      3,718                577
KANSAS CITY SOUTHERN       COM NEW     485170302       276    10,420  SH                    X       3              10,420
KANSAS CITY SOUTHERN       COM NEW     485170302     1,857    70,100  SH              X             2     70,100
KAYNEANDERSON MLP INV C    COM         486606106         7       320  SH                    X       3                 320
KAYNEANDERSON MLP INV C    COM         486606106     2,966   140,225  SH              X             3    140,225
KB HOME                    COM         48666K109         4       235  SH                    X       3                 235
KB HOME                    COM         48666K109       234    14,116  SH              X             3     14,116
KELLOGG CO                 COM         487836108       124     2,525  SH                    X     1,3      1,500    1,025
KELLOGG CO                 COM         487836108       388     7,897  SH              X             2      7,897
KELLOGG CO                 COM         487836108       658    13,365  SH              X           1,3     13,265      100
KELLOGG CO                 COM         487836108     1,654    33,589  SH                    X       3      9,464   24,125
KELLOGG CO                 COM         487836108    12,596   255,860  SH              X             3    250,063    4,724     1,073
KEYCORP NEW                COM         493267108        40     6,200  SH              X             2                         6,200
KEYCORP NEW                COM         493267108       150    23,087  SH                    X       3              23,087
KEYCORP NEW                COM         493267108       206    31,622  SH              X             3     31,622
KIMBERLY CLARK CORP        COM         494368103       171     2,900  SH                    X     1,3      2,250      650
KIMBERLY CLARK CORP        COM         494368103       879    14,900  SH              X           1,3     14,900
KIMBERLY CLARK CORP        COM         494368103     3,431    58,168  SH                    X       3     17,332   35,925     4,911
KIMBERLY CLARK CORP        COM         494368103    12,546   212,703  SH              X             3    185,395   11,720    15,588





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
KIMBERLY CLARK CORP        COM         494368103    16,285   276,100  SH              X             2    112,388            163,712
KIMCO REALTY CORP          COM         49446R109         0        16  SH                    X       3                  16
KIMCO REALTY CORP          COM         49446R109       136    10,424  SH              X             3     10,424
KINDER MORGAN ENER PART    UT LTDPART  494550106       373     6,913  SH                    X       3        200    6,713
KINDER MORGAN ENER PART    UT LTDPART  494550106       943    17,464  SH              X             3     17,464
KING PHARMA INC            COM         495582108         6       532  SH                    X       3                 532
KING PHARMA INC            COM         495582108       133    12,349  SH              X             3      9,849              2,500
KING PHARMA INC            COM         495582108     1,509   140,100  SH              X             2    140,100
KINROSS GOLD CORP          COM NO PAR  496902404        13       613  SH              X             3        613
KINROSS GOLD CORP          COM NO PAR  496902404       287    13,221  SH                    X       3              13,221
KIRBY CORP                 COM         497266106        88     2,380  SH                    X       3               2,380
KIRBY CORP                 COM         497266106       205     5,555  SH              X             3      2,871              2,684
KITE RLTY GROUP TR         COM         49803T102        42    10,000  SH              X             3     10,000
KNOLL INC                  COM NEW     498904200        28     2,650  SH                    X       3                         2,650
KNOLL INC                  COM NEW     498904200        87     8,355  SH              X             3      3,995              4,360
KOHLS CORP                 COM         500255104        17       300  SH                    X     1,3                 300
KOHLS CORP                 COM         500255104        44       775  SH              X           1,3        775
KOHLS CORP                 COM         500255104     2,018    35,371  SH                    X       3      2,210   32,111     1,050
KOHLS CORP                 COM         500255104     9,851   172,668  SH              X             2    119,068             53,600
KOHLS CORP                 COM         500255104    15,845   277,734  SH              X             3    255,097   12,691     9,946
KOREA ELECTRIC PWR         SPON ADR    500631106        57     3,727  SH              X             3      3,727
KOREA ELECTRIC PWR         SPON ADR    500631106       262    17,182  SH                    X       3              17,182
KORN FERRY INTL            COM NEW     500643200       111     7,600  SH                    X       3               7,600
KORN FERRY INTL            COM NEW     500643200       181    12,380  SH              X             3      5,295              7,085
KRAFT FOODS INC            CL A        50075N104         9       345  SH              X           1,3        345
KRAFT FOODS INC            CL A        50075N104       560    21,337  SH              X             2     11,048             10,289
KRAFT FOODS INC            CL A        50075N104     2,518    95,865  SH                    X       3      5,097   88,109     2,659
KRAFT FOODS INC            CL A        50075N104     5,760   219,267  SH              X             3    214,654    2,170     2,443
KRISPY KREME DOUGHNUTS     COM         501014104         0         1  SH              X             2                             1
KROGER CO                  COM         501044101        28     1,349  SH                    X       3               1,349
KROGER CO                  COM         501044101     1,704    82,553  SH              X             3     78,563       50     3,940
KROGER CO                  COM         501044101     2,894   140,221  SH              X             2    117,421             22,800
KUBOTA CORP                ADR         501173207        96     2,318  SH                    X       3                 789     1,529
KUBOTA CORP                ADR         501173207       234     5,653  SH              X             3      2,587              3,066
LKQ CORP                   COM         501889208        20     1,090  SH                    X       3                 165       925
LKQ CORP                   COM         501889208       341    18,405  SH              X             3      3,115             15,290
LSI CORPORATION            COM         502161102        26     4,758  SH                    X       3         95    2,013     2,650
LSI CORPORATION            COM         502161102        98    17,997  SH              X             3      4,817             13,180
LSI CORPORATION            COM         502161102     1,021   185,900  SH              X             2    185,900
L-3 COMM HLDGS INC         COM         502424104        84     1,050  SH                    X     1,3        775      275
L-3 COMM HLDGS INC         COM         502424104       124     1,545  SH                    X       3        365      600       580
L-3 COMM HLDGS INC         COM         502424104       773     9,621  SH              X             3      5,261              4,360
L-3 COMM HLDGS INC         COM         502424104     1,335    16,625  SH              X           1,3     16,625
L-3 COMM HLDGS INC         COM         502424104     1,835    22,850  SH              X             2     22,850
LAB CORP AMER HLDGS        COM NEW     50540R409       270     4,117  SH                    X       3        674      920     2,523
LAB CORP AMER HLDGS        COM NEW     50540R409     1,191    18,129  SH              X             3     12,535              5,594
LANCASTER COLONY CORP      COM         513847103        47       920  SH                    X       3                           920
LANCASTER COLONY CORP      COM         513847103       194     3,791  SH              X             3      2,055              1,736
LAUDER ESTEE COS INC       CL A        518439104        48     1,299  SH                    X       3        100    1,199
LAUDER ESTEE COS INC       CL A        518439104       355     9,572  SH              X             3      9,342      200        30
LEGGETT & PLATT INC        COM         524660107        18       908  SH                    X       3                 908
LEGGETT & PLATT INC        COM         524660107     1,349    69,555  SH              X             3     69,370                185
LEGG MASON INC             COM         524901105        29       941  SH                    X       3                 441       500
LEGG MASON INC             COM         524901105       224     7,226  SH              X             3      7,226
LENNAR CORP                CL A        526057104        18     1,282  SH                    X       3               1,282
LENNAR CORP                CL A        526057104        20     1,400  SH              X             2                         1,400
LENNAR CORP                CL A        526057104       335    23,534  SH              X             3     23,534
LEVEL 3 COMM INC           COM         52729N100        94    67,270  SH              X             3     66,670                600
LEXMARK INTL NEW           CL A        529771107         2       110  SH                    X       3                 110
LEXMARK INTL NEW           CL A        529771107       939    43,578  SH              X             3     42,568              1,010
LEXMARK INTL NEW           CL A        529771107     2,911   135,160  SH              X             2    135,160
LIBERTY ALL STAR EQ FD     SH BEN INT  530158104       111    26,220  SH              X             3              26,220
LIBERTY ALL STAR EQ FD     SH BEN INT  530158104     5,838 1,380,118  SH                    X       3  1,380,118
LIBERTY GLOBAL INC         COM SER A   530555101        27     1,192  SH                    X       3                         1,192
LIBERTY GLOBAL INC         COM SER A   530555101     1,116    49,471  SH              X             3     42,671              6,800
LIBERTY GLOBAL INC         COM SER A   530555101     4,503   199,493  SH              X             2    199,493
LIBERTY GLOBAL INC         COM SER C   530555309        48     2,121  SH                    X       3                         2,121
LIBERTY GLOBAL INC         COM SER C   530555309       169     7,523  SH              X             3      7,523
LIBERTY MEDIA CORP NEW     INTCOMSERA  53071M104        38     3,446  SH                    X       3                         3,446
LIBERTY MEDIA CORP NEW     INTCOMSERA  53071M104       659    60,143  SH              X             3     60,143
LIBERTY MEDIA CORP NEW     INTCOMSERA  53071M104     2,438   222,236  SH              X             2    222,236
LIBERTY MEDIA CORP NEW     ENT COMSERA 53071M500        73     2,356  SH                    X       3                         2,356
LIBERTY MEDIA CORP NEW     ENT COMSERA 53071M500       721    23,190  SH              X             3     21,070              2,120
LIBERTY MEDIA CORP NEW     ENT COMSERA 53071M500     1,879    60,378  SH              X             2     60,378
LIFE TECHNOLOGIES CORP     COM         53217V109         7       155  SH                    X       3         88       67
LIFE TECHNOLOGIES CORP     COM         53217V109       203     4,379  SH              X             3      3,507                872
LIFE TECHNOLOGIES CORP     COM         53217V109     2,542    54,600  SH              X             2     54,600
LILLY ELI & CO             COM         532457108        39     1,200  SH              X             2        100              1,100
LILLY ELI & CO             COM         532457108        83     2,500  SH              X           1,3      2,500
LILLY ELI & CO             COM         532457108     7,392   223,783  SH              X             3    221,625    2,103        55
LILLY ELI & CO             COM         532457108     8,639   261,564  SH                    X       3    252,129    8,445       990
LIMITED BRANDS INC         COM         532716107        30     1,763  SH                    X       3               1,763
LIMITED BRANDS INC         COM         532716107       975    57,400  SH              X             2     57,400
LIMITED BRANDS INC         COM         532716107     1,968   115,823  SH              X             3    115,588                235
LINCOLN ELEC HLDGS INC     COM         533900106        19       390  SH                    X       3                           390
LINCOLN ELEC HLDGS INC     COM         533900106       327     6,882  SH              X             3      1,200              5,682
LINCOLN NATL CORP IND      COM         534187109         6       250  SH                    X     1,3        250
LINCOLN NATL CORP IND      COM         534187109        58     2,250  SH              X           1,3      2,250
LINCOLN NATL CORP IND      COM         534187109       221     8,521  SH                    X       3               8,521
LINCOLN NATL CORP IND      COM         534187109     1,500    57,864  SH              X             3     57,864





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
LINCOLN NATL CORP IND      COM         534187109     3,385   130,650  SH              X             2    130,650
LINEAR TECHNOLOGY CORP     COM         535678106         1        45  SH              X           1,3         45
LINEAR TECHNOLOGY CORP     COM         535678106        27       985  SH                    X       3                 430       555
LINEAR TECHNOLOGY CORP     COM         535678106     1,107    40,062  SH              X             3     39,947                115
LINN ENERGY LLC            UT LTD LIAB 536020100        23     1,000  SH              X           1,3      1,000
LINN ENERGY LLC            UT LTD LIAB 536020100       159     6,938  SH              X             3      6,938
LINN ENERGY LLC            UT LTD LIAB 536020100       252    11,000  SH                    X       3              11,000
LOCKHEED MARTIN CORP       COM         539830109        47       600  SH                    X     1,3        400      200
LOCKHEED MARTIN CORP       COM         539830109        53       675  SH              X           1,3        675
LOCKHEED MARTIN CORP       COM         539830109       188     2,415  SH              X             2      2,115                300
LOCKHEED MARTIN CORP       COM         539830109       813    10,407  SH                    X       3      1,515    8,642       250
LOCKHEED MARTIN CORP       COM         539830109    11,234   143,879  SH              X             3    138,740    3,605     1,534
LOEWS CORP                 COM         540424108        88     2,563  SH                    X       3               2,563
LOEWS CORP                 COM         540424108       387    11,313  SH              X             3     11,313
LORILLARD INC              COM         544147101         4        59  SH                    X       3                  59
LORILLARD INC              COM         544147101     1,149    15,468  SH              X             3     14,033              1,435
LORILLARD INC              COM         544147101     3,222    43,364  SH              X             2     43,364
LOWES COS INC              COM         548661107        49     2,350  SH                    X     1,3      1,200    1,150
LOWES COS INC              COM         548661107       939    44,855  SH              X           1,3     44,855
LOWES COS INC              COM         548661107     1,284    61,327  SH                    X       3     25,840   35,487
LOWES COS INC              COM         548661107     7,559   360,992  SH              X             2    248,042            112,950
LOWES COS INC              COM         548661107     9,090   434,070  SH              X             3    420,638   10,371     3,061
LUBRIZOL CORP              COM         549271104        39       550  SH                    X     1,3        550
LUBRIZOL CORP              COM         549271104        63       884  SH                    X       3                 884
LUBRIZOL CORP              COM         549271104       163     2,275  SH              X           1,3      2,275
LUBRIZOL CORP              COM         549271104       194     2,708  SH              X             3      1,193              1,515
LUCAS ENERGY INC           COM NEW     549333201        38    47,500  SH              X             3     47,500
LULULEMON ATHLETICA INC    COM         550021109         8       370  SH                    X       3                 370
LULULEMON ATHLETICA INC    COM         550021109       406    17,832  SH              X             3     17,832
LUXOTTICA GROUP S P A      SPON ADR    55068R202       110     4,253  SH                    X       3               1,528     2,725
LUXOTTICA GROUP S P A      SPON ADR    55068R202       284    11,000  SH              X             3      5,058              5,942
M & T BK CORP              COM         55261F104       165     2,644  SH                    X       3               2,644
M & T BK CORP              COM         55261F104       633    10,151  SH              X             3     10,151
MDU RES GROUP INC          COM         552690109       270    12,954  SH                    X       3              12,954
MDU RES GROUP INC          COM         552690109     2,556   122,583  SH              X             3     80,959   40,279     1,345
MEMC ELECTR MATLS INC      COM         552715104        94     5,658  SH                    X       3               1,393     4,265
MEMC ELECTR MATLS INC      COM         552715104       269    16,211  SH              X             3     11,977              4,234
MEMC ELECTR MATLS INC      COM         552715104     1,497    90,000  SH              X             2     90,000
MFA FINANCIAL INC          COM         55272X102        44     5,550  SH                    X       3                         5,550
MFA FINANCIAL INC          COM         55272X102     1,357   170,517  SH              X             3    151,807             18,710
MFA FINANCIAL INC          COM         55272X102     8,736 1,097,500  SH              X             2  1,097,500
MGE ENERGY INC             COM         55277P104        40     1,100  SH                    X       3               1,100
MGE ENERGY INC             COM         55277P104     1,325    36,327  SH              X             3     31,548    2,110     2,669
MLP & STRATEGIC EQFD IN    COM         55312N106       133    10,249  SH              X             3     10,249
MPS GROUP INC              COM         553409103       112    10,600  SH                    X       3              10,600
MPS GROUP INC              COM         553409103       200    19,031  SH              X             3      9,051              9,980
MSC SOFTWARE CORP          COM         553531104       159    18,960  SH              X             3     18,960
MSCI INC                   CL A        55354G100       440    14,843  SH                    X       3      2,359    2,981     9,503
MSCI INC                   CL A        55354G100     1,404    47,417  SH              X             3     16,258             31,159
MACK CALI RLTY CORP        COM         554489104        23       715  SH                    X       3                           715
MACK CALI RLTY CORP        COM         554489104       521    16,124  SH              X             3     13,990              2,134
MACK CALI RLTY CORP        COM         554489104     1,667    51,544  SH              X             2     51,544
MACYS INC                  COM         55616P104        13       720  SH                    X       3                 720
MACYS INC                  COM         55616P104       792    43,356  SH              X             3     43,356
MACYS INC                  COM         55616P104     1,054    57,600  SH              X             2     57,600
MAGNA INTL INC             CL A        559222401        45     1,063  SH              X             3      1,063
MAGNA INTL INC             CL A        559222401       220     5,167  SH                    X       3               5,167
MAGYAR TELEKOM P           SPON ADR    559776109        77     3,517  SH                    X       3               1,324     2,193
MAGYAR TELEKOM P           SPON ADR    559776109       180     8,163  SH              X             3      3,815              4,348
MAIDENFORM BRANDS INC      COM         560305104         1        65  SH                    X       3                  65
MAIDENFORM BRANDS INC      COM         560305104       173    10,751  SH              X             3     10,751
MANITOWOC INC              COM         563571108        39     4,150  SH                    X       3               4,150
MANITOWOC INC              COM         563571108       452    47,717  SH              X             3     47,717
MANPOWER INC               COM         56418H100       174     3,064  SH                    X       3               3,064
MANPOWER INC               COM         56418H100     6,061   106,872  SH              X             2    106,872
MANPOWER INC               COM         56418H100     7,937   139,957  SH              X             3    135,365      110     4,482
MANULIFE FINL CORP         COM         56501R106        16       758  SH                    X       3                 758
MANULIFE FINL CORP         COM         56501R106       292    13,964  SH              X             3     13,964
MARATHON OIL CORP          COM         565849106       261     8,182  SH                    X       3               5,051     3,131
MARATHON OIL CORP          COM         565849106     3,268   102,460  SH              X             2    102,460
MARATHON OIL CORP          COM         565849106     3,281   102,848  SH              X             3    102,400      132       316
MARCUS CORP                COM         566330106        23     1,780  SH              X             3      1,780
MARCUS CORP                COM         566330106       269    21,040  SH                    X       3        300   19,050     1,690
MARKET VECTORS ETF TR      GLDMINERETF 57060U100       222     4,900  SH                    X       3               4,900
MARKET VECTORS ETF TR      GLDMINERETF 57060U100       817    18,040  SH              X             3     18,040
MARKET VECTORS ETF TR      AGRIBUS ETF 57060U605       309     7,995  SH              X             3      7,995
MARKET VECTORS ETF TR      MKTVEC ETF  57060U845       549    25,080  SH              X             3     25,080
MARSH & MCLENNAN COS INC   COM         571748102       297    12,000  SH              X             2      9,000              3,000
MARSHALL & ILSLEY CORP     COM         571837103        22     2,676  SH              X           1,3                         2,676
MARSHALL & ILSLEY CORP     COM         571837103       412    51,134  SH              X             2                        51,134
MARSHALL & ILSLEY CORP     COM         571837103    11,489 1,423,708  SH                    X       3     90,127  308,295 1,025,286
MARSHALL & ILSLEY CORP     COM         571837103    38,293 4,745,056  SH              X             3  2,064,185   40,325 2,640,546
MARTEK BIOSCIENCES CORP    COM         572901106       512    22,648  SH              X             3     21,254              1,394
MARTEK BIOSCIENCES CORP    COM         572901106     2,087    92,400  SH              X             2     92,400
MASCO CORP                 COM         574599106       156    12,088  SH              X             3     12,008                 80
MASSEY ENERGY CORP         COM         576206106       182     6,529  SH                    X       3        891    1,287     4,351
MASSEY ENERGY CORP         COM         576206106       620    22,246  SH              X             3      8,600             13,646
MASTERCARD INC             CL A        57636Q104        52       256  SH                    X       3        120      136
MASTERCARD INC             CL A        57636Q104     2,365    11,699  SH              X             2     11,699
MASTERCARD INC             CL A        57636Q104     3,233    15,993  SH              X             3     15,672                321





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
MATTEL INC                 COM         577081102       138     7,501  SH                    X       3               2,724     4,777
MATTEL INC                 COM         577081102       238    12,900  SH              X             3     12,840                 60
MAXIM INTEGRATED PRODS     COM         57772K101       502    27,695  SH              X             3     27,695
MAXIM INTEGRATED PRODS     COM         57772K101     1,748    96,383  SH              X             2     96,383
MAXIMUS INC                COM         577933104       871    18,690  SH              X             3     17,995                695
MCAFEE INC                 COM         579064106       426     9,717  SH                    X       3      1,513    2,105     6,099
MCAFEE INC                 COM         579064106     2,047    46,733  SH              X             3     17,190             29,543
MCAFEE INC                 COM         579064106     2,601    59,400  SH              X             2     59,400
MCDONALDS CORP             COM         580135101        83     1,450  SH                    X     1,3        800      650
MCDONALDS CORP             COM         580135101     1,423    24,940  SH              X           1,3     24,940
MCDONALDS CORP             COM         580135101     2,807    49,183  SH                    X       3     27,200   21,983
MCDONALDS CORP             COM         580135101    18,363   321,762  SH              X             2    119,362            202,400
MCDONALDS CORP             COM         580135101    18,715   327,936  SH              X             3    324,239    2,634     1,063
MCGRATH RENTCORP           COM         580589109    10,936   514,174  SH              X           1,3    514,174
MCGRAW HILL COS INC        COM         580645109       241     9,575  SH                    X       3               6,425     3,150
MCGRAW HILL COS INC        COM         580645109     2,177    86,584  SH              X             3     48,646    6,126    31,812
MCKESSON CORP              COM         58155Q103        18       298  SH                    X       3                 298
MCKESSON CORP              COM         58155Q103       889    14,921  SH              X             3     14,921
MCKESSON CORP              COM         58155Q103     2,601    43,680  SH              X             2     43,680
MEADWESTVACO CORP          COM         583334107        65     2,919  SH                    X       3               2,919
MEADWESTVACO CORP          COM         583334107     1,493    66,935  SH              X             3     59,965              6,970
MEADWESTVACO CORP          COM         583334107     4,748   212,839  SH              X             2    212,839
MEDASSETS INC              COM         584045108       493    21,830  SH              X             3     20,439              1,391
MEDASSETS INC              COM         584045108     2,110    93,500  SH              X             2     93,500
MEDCO HEALTH SOLUTIONS     COM         58405U102        70     1,260  SH                    X     1,3      1,260
MEDCO HEALTH SOLUTIONS     COM         58405U102       736    13,299  SH                    X       3        793   12,506
MEDCO HEALTH SOLUTIONS     COM         58405U102     2,207    39,906  SH              X             2     37,906              2,000
MEDCO HEALTH SOLUTIONS     COM         58405U102     7,441   134,530  SH              X             3    131,157    2,312     1,061
MEDICIS PHARMA CORP        CL A NEW    584690309       482    22,591  SH              X             3     20,047              2,544
MEDICIS PHARMA CORP        CL A NEW    584690309     3,284   153,800  SH              X             2    153,800
MEDTRONIC INC              COM         585055106        54     1,475  SH                    X     1,3      1,400       75
MEDTRONIC INC              COM         585055106       211     5,745  SH              X           1,3      5,745
MEDTRONIC INC              COM         585055106       711    19,314  SH                    X       3        470   18,844
MEDTRONIC INC              COM         585055106     6,762   183,744  SH              X             2     62,744            121,000
MEDTRONIC INC              COM         585055106    10,811   293,783  SH              X             3    282,938    7,591     3,254
MEDTRONIC INC              NOTE1.5%4/1 585055AL0     1,515 1,520,000 PRN             X             2
MEDTRONIC INC              NOTE1.5%4/1 585055AL0     3,825 3,820,000 PRN             X             3
MERCK & CO INC             COM         589331107        77     2,425  SH                    X     1,3      2,425
MERCK & CO INC             COM         589331107       169     5,350  SH              X           1,3      5,350
MERCK & CO INC             COM         589331107     1,647    52,060  SH                    X       3     18,322   29,017     4,721
MERCK & CO INC             COM         589331107     8,321   263,077  SH              X             3    252,461    6,804     3,812
MERCK & CO INC             COM         589331107    10,271   324,724  SH              X             2    125,210            199,514
MEREDITH CORP              COM         589433101       156     5,212  SH                    X       3               5,212
MEREDITH CORP              COM         589433101       659    21,998  SH              X             3     16,638              5,360
MERGE HEALTHCARE INC       COM         589499102       420   102,209  SH              X             3     95,666              6,543
MERGE HEALTHCARE INC       COM         589499102     1,769   430,400  SH              X             2    430,400
MERIDIAN BIOSCIENCE INC    COM         589584101        53     2,110  SH                    X       3                 410     1,700
MERIDIAN BIOSCIENCE INC    COM         589584101       170     6,801  SH              X             3      3,986              2,815
METAVANTE TECH INC         COM         591407101        31       892  SH              X           1,3                           892
METAVANTE TECH INC         COM         591407101    10,482   304,014  SH                    X       3      8,707    6,310   288,997
METAVANTE TECH INC         COM         591407101    32,030   928,943  SH              X             3    355,105    7,675   566,163
METLIFE INC                COM         59156R108       171     4,501  SH                    X       3        100    3,566       835
METLIFE INC                COM         59156R108     2,426    63,734  SH              X             3     63,444       65       225
METLIFE INC                COM         59156R108    11,774   309,260  SH              X             2    177,280            131,980
METTLER TOLEDO INTRNTL     COM         592688105       172     1,902  SH                    X       3                 662     1,240
METTLER TOLEDO INTRNTL     COM         592688105       523     5,770  SH              X             3      3,899              1,871
METTLER TOLEDO INTRNTL     COM         592688105     1,748    19,300  SH              X             2     19,300
MICROS SYS INC             COM         594901100        10       332  SH                    X       3        161      171
MICROS SYS INC             COM         594901100       402    13,314  SH              X             3      2,520             10,794
MICROSOFT CORP             COM         594918104        13       500  SH                    X     1,3                 500
MICROSOFT CORP             COM         594918104       147     5,700  SH              X           1,3      5,700
MICROSOFT CORP             COM         594918104     5,152   200,296  SH                    X       3     31,232  162,242     6,822
MICROSOFT CORP             COM         594918104    37,512 1,458,162  SH              X             3  1,385,361   45,549    27,252
MICROSOFT CORP             COM         594918104    52,137 2,027,091  SH              X             2    845,091          1,182,000
MICROCHIP TECH INC         COM         595017104        35     1,311  SH                    X       3               1,311
MICROCHIP TECH INC         COM         595017104        83     3,135  SH              X             2      3,135
MICROCHIP TECH INC         COM         595017104     1,494    56,363  SH              X             3     56,008                355
MICRON TECHNOLOGY INC      COM         595112103     6,167   752,100  SH              X             2    298,900            453,200
MICROSEMI CORP             COM         595137100       182    11,514  SH              X             3     11,165                349
MIDCAP SPDR TR             UNIT SER 1  595635103        13       100  SH                    X     1,3                 100
MIDCAP SPDR TR             UNIT SER 1  595635103        19       150  SH              X           1,3        150
MIDCAP SPDR TR             UNIT SER 1  595635103       972     7,756  SH                    X       3        724    7,032
MIDCAP SPDR TR             UNIT SER 1  595635103    15,098   120,524  SH              X             3    118,915    1,578        31
MIDDLEBY CORP              COM         596278101        26       472  SH                    X       3        120      352
MIDDLEBY CORP              COM         596278101       638    11,585  SH              X             3     10,877                708
MIDDLEBY CORP              COM         596278101     4,890    88,900  SH              X             2     88,900
MIDWEST BANC HLDGS INC     COM         598251106        19    26,247  SH              X           1,3     26,247
MILLIPORE CORP             COM         601073109         3        39  SH                    X       3                  39
MILLIPORE CORP             COM         601073109       441     6,266  SH              X             3      6,251                 15
MINDRAY MED INTL LTD       SPON ADR    602675100       112     3,420  SH              X             3      1,440              1,980
MINDRAY MED INTL LTD       SPON ADR    602675100       375    11,500  SH                    X       3              11,500
MITSUBISHI UFJFINLGR IN    SPON ADR    606822104        61    11,510  SH              X             3     11,105                405
MIZUHO FINL GROUP INC      SPON ADR    60687Y109        48    12,185  SH              X             3     11,760                425
MOLEX INC                  CL A        608554200       178     9,475  SH                    X       3               7,975     1,500
MOLEX INC                  CL A        608554200       213    11,325  SH              X             3      2,220              9,105
MONSANTO CO NEW            COM         61166W101        54       700  SH                    X     1,3        300      400
MONSANTO CO NEW            COM         61166W101     1,014    13,100  SH              X           1,3     13,100
MONSANTO CO NEW            COM         61166W101     1,563    20,194  SH                    X       3        858   16,356     2,980
MONSANTO CO NEW            COM         61166W101    11,399   147,274  SH              X             3    138,630    2,078     6,566
MONSANTO CO NEW            COM         61166W101    11,615   150,059  SH              X             2     72,959             77,100





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
MOODYS CORP                COM         615369105        48     2,359  SH                    X       3               2,359
MOODYS CORP                COM         615369105       212    10,383  SH              X             3     10,353                 30
MORGAN STANLEY             COM NEW     617446448       114     3,685  SH                    X       3        156    3,529
MORGAN STANLEY             COM NEW     617446448     3,560   115,282  SH              X             3    115,027                255
MORGAN STANLEY             COM NEW     617446448     6,265   202,895  SH              X             2    202,895
MORNINGSTAR INC            COM         617700109         9       185  SH                    X       3                 185
MORNINGSTAR INC            COM         617700109       230     4,729  SH              X             3        250              4,479
MOSAIC CO                  COM         61945A107        59     1,218  SH                    X       3               1,218
MOSAIC CO                  COM         61945A107       197     4,100  SH              X             2                         4,100
MOSAIC CO                  COM         61945A107       203     4,214  SH              X             3      4,214
MOTOROLA INC               COM         620076109       201    23,433  SH                    X       3      5,500    3,782    14,151
MOTOROLA INC               COM         620076109       429    49,958  SH              X             3     49,683                275
MURPHY OIL CORP            COM         626717102       400     6,950  SH                    X       3               6,950
MURPHY OIL CORP            COM         626717102       531     9,221  SH              X             3      9,206                 15
MYLAN INC                  COM         628530107        12       742  SH                    X       3                 742
MYLAN INC                  COM         628530107       111     6,920  SH              X             3      3,265              3,655
MYLAN INC                  COM         628530107     2,648   165,400  SH              X             2    165,400
MYRIAD GENETICS INC        COM         62855J104       136     4,948  SH                    X       3        968    1,113     2,867
MYRIAD GENETICS INC        COM         62855J104       415    15,155  SH              X             3      5,365              9,790
NII HLDGS INC              CL B NEW    62913F201        56     1,859  SH              X             3      1,859
NII HLDGS INC              CL B NEW    62913F201       276     9,196  SH                    X       3               9,196
NTT DOCOMO INC             SPON ADR    62942M201        93     5,885  SH                    X       3               2,025     3,860
NTT DOCOMO INC             SPON ADR    62942M201       220    13,859  SH              X             3      8,057              5,802
NYSE EURONEXT              COM         629491101        28       952  SH                    X       3                 952
NYSE EURONEXT              COM         629491101     1,505    52,089  SH              X             3     51,894       60       135
NYSE EURONEXT              COM         629491101     8,357   289,280  SH              X             2    115,980            173,300
NATIONAL OILWELL VARCO     COM         637071101       361     8,362  SH                    X       3      6,800      472     1,090
NATIONAL OILWELL VARCO     COM         637071101     2,172    50,367  SH              X             3     49,742      600        25
NATIONAL OILWELL VARCO     COM         637071101     4,386   101,690  SH              X             2    101,690
NATIONAL PRESTO INDS       COM         637215104        80       929  SH              X             3        604                325
NATIONAL PRESTO INDS       COM         637215104       169     1,950  SH                    X       3               1,950
NATIONAL SEMICOND CORP     COM         637640103        10       727  SH                    X       3                 727
NATIONAL SEMICOND CORP     COM         637640103       353    24,759  SH              X             3     24,421                338
NEOGEN CORP                COM         640491106       641    19,839  SH              X             3     18,744              1,095
NEOGEN CORP                COM         640491106     2,391    74,050  SH              X             2     74,050
NESS TECHNOLOGIES INC      COM         64104X108       104    13,129  SH              X             3     13,129
NET SRVCS DECOMUNICACAO    SPON ADR    64109T201        19     1,640  SH              X             3      1,640
NET SRVCS DECOMUNICACAO    SPON ADR    64109T201     2,587   224,600  SH              X             2    224,600
NETAPP INC                 COM         64110D104        23       872  SH                    X       3                  12       860
NETAPP INC                 COM         64110D104       299    11,177  SH              X             3      9,207              1,970
NETAPP INC                 COM         64110D104     3,002   112,500  SH              X             2    112,500
NEUTRAL TANDEM INC         COM         64128B108       684    30,064  SH              X             3     28,149              1,915
NEUTRAL TANDEM INC         COM         64128B108     2,834   124,500  SH              X             2    124,500
NEW ORIENT ED&TECH GR I    SPON ADR    647581107       394     4,900  SH                    X       3               4,700       200
NEW YORK TIMES CO          CL A        650111107         8       949  SH                    X       3                 949
NEW YORK TIMES CO          CL A        650111107        92    11,318  SH              X             3     11,318
NEWELL RUBBERMAID INC      COM         651229106         3       200  SH              X           1,3        200
NEWELL RUBBERMAID INC      COM         651229106         5       350  SH                    X     1,3        350
NEWELL RUBBERMAID INC      COM         651229106       333    21,238  SH              X             3     20,042    1,196
NEWELL RUBBERMAID INC      COM         651229106     2,426   154,595  SH              X             2    154,595
NEWFIELD EXPL CO           COM         651290108       835    19,603  SH              X             3     17,930              1,673
NEWFIELD EXPL CO           COM         651290108     2,561    60,180  SH              X             2     60,180
NEWMONT MINING CORP        COM         651639106        29       650  SH                    X     1,3        650
NEWMONT MINING CORP        COM         651639106        82     1,872  SH              X             2                         1,872
NEWMONT MINING CORP        COM         651639106       215     4,890  SH                    X       3               4,890
NEWMONT MINING CORP        COM         651639106       394     8,950  SH              X           1,3      8,800      150
NEWMONT MINING CORP        COM         651639106       606    13,764  SH              X             3     13,646       49        69
NEWS CORP                  CL A        65248E104        90     7,500  SH                    X       3               3,800     3,700
NEWS CORP                  CL A        65248E104       668    55,796  SH              X             3     55,666                130
NEXEN INC                  COM         65334H102        15       684  SH              X             3        684
NEXEN INC                  COM         65334H102       286    12,673  SH                    X       3              12,673
NICOR INC                  COM         654086107         1        40  SH              X             2         40
NICOR INC                  COM         654086107         9       248  SH                    X     1,3        248
NICOR INC                  COM         654086107       118     3,226  SH                    X       3      2,200      626       400
NICOR INC                  COM         654086107       575    15,720  SH              X             3     13,940              1,780
NIDEC CORP                 SPON ADR    654090109       140     6,889  SH                    X       3               2,432     4,457
NIDEC CORP                 SPON ADR    654090109       339    16,668  SH              X             3      7,720              8,948
NIKE INC                   CL B        654106103        68     1,050  SH                    X     1,3        500      550
NIKE INC                   CL B        654106103       175     2,712  SH              X             2      2,712
NIKE INC                   CL B        654106103       922    14,247  SH                    X       3      1,997    7,067     5,183
NIKE INC                   CL B        654106103     1,195    18,475  SH              X           1,3     18,475
NIKE INC                   CL B        654106103    11,849   183,133  SH              X             3    163,876    3,125    16,132
NIPPON TELEG & TEL CORP    SPON ADR    654624105       136     5,907  SH              X             3      5,737                170
NIPPON TELEG & TEL CORP    SPON ADR    654624105       450    19,545  SH                    X       3              19,545
NISOURCE INC               COM         65473P105         3       240  SH              X             2        240
NISOURCE INC               COM         65473P105        63     4,508  SH                    X       3      3,500    1,008
NISOURCE INC               COM         65473P105       499    35,918  SH              X             3     35,918
NOKIA CORP                 SPON ADR    654902204        12       800  SH              X             2                           800
NOKIA CORP                 SPON ADR    654902204       648    44,323  SH              X             3     34,008             10,315
NOKIA CORP                 SPON ADR    654902204       675    46,187  SH                    X       3     26,100   15,685     4,402
NOBLE ENERGY INC           COM         655044105       174     2,637  SH                    X       3                 522     2,115
NOBLE ENERGY INC           COM         655044105     1,354    20,521  SH              X             3     17,986              2,535
NOBLE ENERGY INC           COM         655044105     4,800    72,770  SH              X             2     72,770
NORDSTROM INC              COM         655664100       356    11,669  SH                    X       3      1,974    2,396     7,299
NORDSTROM INC              COM         655664100     1,376    45,066  SH              X             3     30,492             14,574
NORFOLK SOUTHERN CORP      COM         655844108       307     7,112  SH                    X       3        200    6,097       815
NORFOLK SOUTHERN CORP      COM         655844108       631    14,648  SH              X             3     14,433      150        65
NORFOLK SOUTHERN CORP      COM         655844108     9,398   218,000  SH              X             2     93,200            124,800
NORTHERN TR CORP           COM         665859104        26       450  SH                    X     1,3        300      150
NORTHERN TR CORP           COM         665859104        78     1,345  SH              X           1,3      1,345





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
NORTHERN TR CORP           COM         665859104       123     2,123  SH              X             2      2,123
NORTHERN TR CORP           COM         665859104     1,360    23,381  SH                    X       3      7,279   15,367       735
NORTHERN TR CORP           COM         665859104    10,552   181,423  SH              X             3    176,291    4,113     1,019
NORTHROP GRUMMAN CORP      COM         666807102        62     1,200  SH              X           1,3      1,200
NORTHROP GRUMMAN CORP      COM         666807102       224     4,335  SH                    X       3               2,991     1,344
NORTHROP GRUMMAN CORP      COM         666807102     1,137    21,978  SH              X             3     21,459      436        83
NORTHROP GRUMMAN CORP      COM         666807102     2,681    51,805  SH              X             2     51,805
NOVARTIS A G               SPON ADR    66987V109       497     9,869  SH                    X       3         50    9,716       103
NOVARTIS A G               SPON ADR    66987V109       573    11,376  SH              X             3     10,270              1,106
NOVELL INC                 COM         670006105        73    16,219  SH              X             3     16,219
NOVELLUS SYS INC           COM         670008101        10       471  SH                    X       3                 471
NOVELLUS SYS INC           COM         670008101       271    12,932  SH              X             3     12,877                 55
NOVO-NORDISK A S           ADR         670100205        92     1,469  SH                    X       3                 540       929
NOVO-NORDISK A S           ADR         670100205       250     3,965  SH              X             3      2,391              1,574
NUANCE COMM INC            COM         67020Y100        21     1,435  SH                    X       3                         1,435
NUANCE COMM INC            COM         67020Y100       980    65,498  SH              X             3     61,438              4,060
NUANCE COMM INC            COM         67020Y100     7,159   478,576  SH              X             2    478,576
NUCOR CORP                 COM         670346105       377     8,013  SH                    X       3        465    5,383     2,165
NUCOR CORP                 COM         670346105     2,741    58,305  SH              X             2     58,305
NUCOR CORP                 COM         670346105     5,736   122,026  SH              X             3    119,277      665     2,084
NVIDIA CORP                COM         67066G104         1        86  SH                    X       3                  86
NVIDIA CORP                COM         67066G104        70     4,652  SH              X             3      4,451      106        95
NVIDIA CORP                COM         67066G104     2,169   144,300  SH              X             2    144,300
NUVEEN DIV ADVNTG MUN F    COM         67066V101       139    10,000  SH              X             3     10,000
NUVASIVE INC               COM         670704105         6       142  SH                    X       3                           142
NUVASIVE INC               COM         670704105       846    20,248  SH              X             3     19,002              1,246
NUVASIVE INC               COM         670704105     6,247   149,600  SH              X             2    149,600
NUVEEN MUN VALUE FD INC    COM         670928100        44     4,400  SH                    X       3               4,400
NUVEEN MUN VALUE FD INC    COM         670928100       227    22,800  SH              X             3     22,800
O2MICRO INTERNATL LTD      SPON ADR    67107W100       426    81,183  SH              X             3     75,993              5,190
O2MICRO INTERNATL LTD      SPON ADR    67107W100     1,779   338,800  SH              X             2    338,800
OCCIDENTAL PETE CORP       COM         674599105        55       700  SH              X           1,3        700
OCCIDENTAL PETE CORP       COM         674599105       482     6,143  SH                    X       3               5,543       600
OCCIDENTAL PETE CORP       COM         674599105     4,443    56,667  SH              X             3     56,228      124       315
OCCIDENTAL PETE CORP       COM         674599105    16,409   209,305  SH              X             2    105,605            103,700
OCEANEERING INTL INC       COM         675232102       138     2,430  SH              X             3      1,460                970
OCEANEERING INTL INC       COM         675232102       409     7,200  SH                    X       3               7,200
OCULUS INNOVATIVE SCI I    COM         67575P108        49    20,000  SH              X             3     20,000
OCULUS INNOVATIVE SCI I    COM         67575P108       152    62,540  SH              X             2     62,540
OFFICE DEPOT INC           COM         676220106         2       365  SH                    X       3                 365
OFFICE DEPOT INC           COM         676220106       161    24,271  SH              X             3     24,271
OFFICE DEPOT INC           COM         676220106     1,059   160,000  SH              X             2    160,000
OIL SVC HOLDRS TR          DEP RCPT    678002106       826     7,037  SH              X             3      7,037
OLD NATL BANCORP IND       COM         680033107        92     8,225  SH              X             3      8,225
OLD NATL BANCORP IND       COM         680033107       119    10,669  SH                    X       3              10,669
OLD REP INTL CORP          COM         680223104       209    17,120  SH                    X       3              17,120
OLD REP INTL CORP          COM         680223104       363    29,791  SH              X             3     17,988             11,803
OMNICOM GROUP INC          COM         681919106         4       100  SH                    X     1,3        100
OMNICOM GROUP INC          COM         681919106        33       900  SH              X           1,3        900
OMNICOM GROUP INC          COM         681919106       238     6,434  SH                    X       3               6,434
OMNICOM GROUP INC          COM         681919106       421    11,406  SH              X             3     10,814       62       530
ON SEMICONDUCTOR CORP      COM         682189105       127    15,428  SH              X             3     13,186              2,242
ON SEMICONDUCTOR CORP      COM         682189105     2,352   285,100  SH              X             2    285,100
ONEOK INC NEW              COM         682680103       305     8,313  SH              X             3      7,532                781
ONEOK INC NEW              COM         682680103     2,430    66,365  SH              X             2     66,365
ONYX PHARMA INC            COM         683399109        37     1,250  SH                    X       3        100    1,150
ONYX PHARMA INC            COM         683399109     1,634    54,525  SH              X             3     54,215      310
ORACLE CORP                COM         68389X105        84     4,050  SH                    X     1,3      2,950    1,100
ORACLE CORP                COM         68389X105     1,124    53,950  SH              X           1,3     53,950
ORACLE CORP                COM         68389X105     1,621    77,763  SH                    X       3     34,464   25,512    17,787
ORACLE CORP                COM         68389X105    10,175   488,210  SH              X             3    452,228    2,862    33,120
ORACLE CORP                COM         68389X105    27,829 1,335,365  SH              X             2    529,665            805,700
O REILLY AUTOMOTIVE INC    COM         686091109       404    11,186  SH              X             3      1,896              9,290
O REILLY AUTOMOTIVE INC    COM         686091109     2,147    59,400  SH              X             2     59,400
ORION MARINE GROUP INC     COM         68628V308       683    33,271  SH              X             3     30,812              2,459
ORION MARINE GROUP INC     COM         68628V308     2,393   116,500  SH              X             2    116,500
OSHKOSH CORP               COM         688239201       654    21,134  SH              X             3     19,634              1,500
OSHKOSH CORP               COM         688239201       874    28,250  SH                    X       3              28,250
OWENS & MINOR INC NEW      COM         690732102        67     1,480  SH                    X       3                         1,480
OWENS & MINOR INC NEW      COM         690732102       248     5,470  SH              X             3      2,563              2,907
PG&E CORP                  COM         69331C108        49     1,214  SH                    X       3               1,214
PG&E CORP                  COM         69331C108       460    11,359  SH              X             3     11,334                 25
PICO HLDGS INC             COM NEW     693366205         8       250  SH                    X       3                 250
PICO HLDGS INC             COM NEW     693366205       675    20,228  SH              X             3     18,843              1,385
PICO HLDGS INC             COM NEW     693366205     2,801    84,000  SH              X             2     84,000
PMC-SIERRA INC             COM         69344F106     7,418   775,900  SH              X             2    290,700            485,200
PNC FINL SVCS GROUP INC    COM         693475105       103     2,115  SH                    X       3               2,115
PNC FINL SVCS GROUP INC    COM         693475105     2,608    53,670  SH              X             3     53,464       55       151
PNC FINL SVCS GROUP INC    COM         693475105     9,275   190,890  SH              X             2    109,690             81,200
POSCO                      SPON ADR    693483109       124     1,196  SH                    X       3                 407       789
POSCO                      SPON ADR    693483109       305     2,938  SH              X             3      1,361              1,577
PPG INDS INC               COM         693506107       342     5,875  SH                    X       3      5,110      765
PPG INDS INC               COM         693506107     3,632    62,391  SH              X             3     59,318      144     2,929
PPG INDS INC               COM         693506107     4,532    77,855  SH              X             2     77,855
PPL CORP                   COM         69351T106         4       146  SH                    X       3                 146
PPL CORP                   COM         69351T106       270     8,895  SH              X             3      8,865                 30
PACCAR INC                 COM         693718108       162     4,297  SH              X             2      4,297
PACCAR INC                 COM         693718108       311     8,260  SH                    X       3        330    7,930
PACCAR INC                 COM         693718108     6,399   169,690  SH              X             3    165,953    1,599     2,138
PACKAGING CORP AMER        COM         695156109        63     3,066  SH              X             3      2,462                604





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
PACKAGING CORP AMER        COM         695156109     1,224    60,000  SH                    X       3              60,000
PALL CORP                  COM         696429307         7       230  SH                    X       3                 230
PALL CORP                  COM         696429307       345    10,675  SH              X             3     10,528       14       133
PALOMAR MED TECH INC       COM NEW     697529303       606    37,418  SH              X             3     35,195              2,223
PALOMAR MED TECH INC       COM NEW     697529303     2,357   145,400  SH              X             2    145,400
PANASONIC CORP             ADR         69832A205        12       835  SH              X             3        835
PANASONIC CORP             ADR         69832A205       176    12,070  SH                    X       3              12,070
PANERA BREAD CO            CL A        69840W108       415     7,551  SH              X             3        923              6,628
PARK ELECTROCHEM CORP      COM         700416209        46     1,870  SH                    X       3                         1,870
PARK ELECTROCHEM CORP      COM         700416209       157     6,375  SH              X             3      3,295              3,080
PARKER HANNIFIN CORP       COM         701094104        32       625  SH                    X     1,3        625
PARKER HANNIFIN CORP       COM         701094104       150     2,888  SH                    X       3      1,132    1,451       305
PARKER HANNIFIN CORP       COM         701094104     1,302    25,119  SH              X             3     24,919      200
PARKER HANNIFIN CORP       COM         701094104     7,221   139,300  SH              X             2     69,650             69,650
PATTERSON COMPANIES INC    COM         703395103       170     6,225  SH                    X       3               6,225
PATTERSON COMPANIES INC    COM         703395103       280    10,290  SH              X             3      3,215              7,075
PAYCHEX INC                COM         704326107        17       600  SH              X           1,3        600
PAYCHEX INC                COM         704326107        80     2,745  SH                    X       3               2,745
PAYCHEX INC                COM         704326107       746    25,673  SH              X             3     25,623       50
PENGROWTH ENERGY TR        TR UT NEW   706902509       121    11,560  SH              X             3     11,560
PENNEY J C INC             COM         708160106        14       400  SH              X           1,3        400
PENNEY J C INC             COM         708160106       614    18,194  SH                    X       3              18,194
PENNEY J C INC             COM         708160106       781    23,142  SH              X             3     22,827       65       250
PENNEY J C INC             COM         708160106     9,268   274,600  SH              X             2    107,200            167,400
PEOPLES UNITED FINL INC    COM         712704105       170    10,925  SH              X             2     10,925
PEOPLES UNITED FINL INC    COM         712704105       180    11,572  SH                    X       3              11,572
PEOPLES UNITED FINL INC    COM         712704105     2,364   151,949  SH              X             3    151,339      185       425
PEPCO HOLDINGS INC         COM         713291102        20     1,332  SH                    X       3               1,332
PEPCO HOLDINGS INC         COM         713291102        31     2,095  SH              X             2      2,095
PEPCO HOLDINGS INC         COM         713291102     1,968   132,239  SH              X             3    131,770      140       329
PEPSI BOTTLING GR INC      COM         713409100        15       399  SH                    X       3                 399
PEPSI BOTTLING GR INC      COM         713409100       716    19,642  SH              X             3     19,612                 30
PEPSICO INC                COM         713448108       198     3,375  SH                    X     1,3      2,725      650
PEPSICO INC                COM         713448108     1,327    22,617  SH              X           1,3     22,617
PEPSICO INC                COM         713448108     5,502    93,796  SH                    X       3     25,267   62,383     6,146
PEPSICO INC                COM         713448108    17,857   304,409  SH              X             3    276,612   16,229    11,568
PEPSICO INC                COM         713448108    27,910   475,780  SH              X             2    199,380            276,400
PERRIGO CO                 COM         714290103       309     9,097  SH              X             3      8,401                696
PETROHAWK ENERGY CORP      COM         716495106        21       852  SH                    X       3                 852
PETROHAWK ENERGY CORP      COM         716495106       277    11,424  SH              X             3      9,519              1,905
PETROLEO BRASIL SAPETRO    SPON ADR    71654V408       345     7,523  SH                    X       3               5,673     1,850
PETROLEO BRASIL SAPETRO    SPON ADR    71654V408       603    13,133  SH              X             3     10,442              2,691
PETSMART INC               COM         716768106       144     6,610  SH                    X       3               6,610
PETSMART INC               COM         716768106       259    11,888  SH              X             3      3,204              8,684
PFIZER INC                 COM         717081103        20     1,205  SH                    X     1,3      1,055      150
PFIZER INC                 COM         717081103       302    18,235  SH              X           1,3     18,235
PFIZER INC                 COM         717081103     2,741   165,623  SH                    X       3     27,690  129,016     8,917
PFIZER INC                 COM         717081103    15,292   923,998  SH              X             2    588,449            335,549
PFIZER INC                 COM         717081103    24,331 1,470,206  SH              X             3  1,414,378   39,543    16,285
PHARMERICA CORP            COM         71714F104       200    10,774  SH              X             3     10,266                508
PHILIP MORRIS INTL INC     COM         718172109        10       200  SH              X           1,3        200
PHILIP MORRIS INTL INC     COM         718172109     8,294   170,165  SH                    X       3     12,958  153,566     3,641
PHILIP MORRIS INTL INC     COM         718172109    24,532   503,318  SH              X             3    479,983    8,256    15,079
PHILIP MORRIS INTL INC     COM         718172109    24,590   504,515  SH              X             2    195,415            309,100
PIONEER NAT RES CO         COM         723787107         4       104  SH                    X       3                 104
PIONEER NAT RES CO         COM         723787107       203     5,591  SH              X             3      5,591
PITNEY BOWES INC           COM         724479100        36     1,450  SH              X             2      1,450
PITNEY BOWES INC           COM         724479100        61     2,459  SH                    X       3               2,459
PITNEY BOWES INC           COM         724479100     2,684   107,995  SH              X             3    107,071      195       729
PLAINSALLAMERNPIPELIN L    UT LTDPART  726503105        44       940  SH                    X       3                           940
PLAINSALLAMERNPIPELIN L    UT LTDPART  726503105       366     7,905  SH              X             3      7,905
PLAINS EXPL& PRODTN CO     COM         726505100       208     7,511  SH                    X       3               7,511
PLAINS EXPL& PRODTN CO     COM         726505100       271     9,799  SH              X             3      9,036                763
PLAINS EXPL& PRODTN CO     COM         726505100     1,618    58,500  SH              X             2     58,500
PLUG POWER INC             COM         72919P103         9    10,000  SH              X             3     10,000
PLUM CREEK TIMBER CO IN    COM         729251108        86     2,815  SH              X             2      2,815
PLUM CREEK TIMBER CO IN    COM         729251108       675    22,042  SH                    X       3      2,050   19,642       350
PLUM CREEK TIMBER CO IN    COM         729251108     2,407    78,544  SH              X             3     75,501      312     2,731
POLO RALPH LAUREN CORP     CL A        731572103         7        97  SH                    X       3                  97
POLO RALPH LAUREN CORP     CL A        731572103       293     3,820  SH              X             3      3,820
POPULAR INC                COM         733174106       468   165,500  SH              X             2                       165,500
POTASH CORP SASK INC       COM         73755L107       716     7,926  SH                    X       3        682    6,674       570
POTASH CORP SASK INC       COM         73755L107     3,826    42,350  SH              X             2     17,250             25,100
POTASH CORP SASK INC       COM         73755L107     5,090    56,347  SH              X             3     54,072      831     1,444
POWELL INDS INC            COM         739128106       507    13,200  SH                    X       3              13,200
POWERSHARES QQQ TRUST      UNIT SER 1  73935A104        44     1,053  SH              X             2                         1,053
POWERSHARES QQQ TRUST      UNIT SER 1  73935A104        55     1,300  SH                    X       3               1,300
POWERSHARES QQQ TRUST      UNIT SER 1  73935A104     3,210    75,983  SH              X             3     75,983
POWERSHRS DBCMDTYIDXTRA    UT BEN INT  73935S105       204     9,264  SH                    X       3               9,264
POWERSHRS DBCMDTYIDXTRA    UT BEN INT  73935S105    14,469   655,891  SH              X             3    654,891              1,000
POWERSHARES ETF TRUST      FINLPFDPTFL 73935X229        36     2,300  SH                    X       3               2,300
POWERSHARES ETF TRUST      FINLPFDPTFL 73935X229     1,803   113,772  SH              X             3    113,772
POWERSHARES ETF TRUST      HI YLDEQDV  73935X302        84    11,100  SH              X             3     11,100
POWERSHARES ETF TRUST      WNDRHLLCLN  73935X500        57     5,250  SH                    X       3               5,250
POWERSHARES ETF TRUST      WNDRHLLCLN  73935X500     1,558   143,460  SH              X             3    143,460
POWERSHARES ETF TRUST      H2O RESRC   73935X575        28     1,700  SH                    X       3        700    1,000
POWERSHARES ETF TRUST      H2O RESRC   73935X575       202    12,070  SH              X             3     12,070
POWERSHARES ETF TRUST      FTSE R1000  73935X583       379     8,065  SH                    X       3               8,065
POWERSHARES ETF TRUST      FTSE R1000  73935X583     6,463   137,426  SH              X             3    131,426              6,000
POWERSHS DBMULTISECTCOM    DB AG FD    73936B408       561    22,039  SH              X             3     22,039





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
POWERSHS DBMULTISECTCOM    DBBASEMTLS  73936B705       623    34,082  SH              X             3     34,082
POWERSHARES GLBL ETF TR    AGGPFDPORT  73936T565        76     5,650  SH                    X       3               5,650
POWERSHARES GLBL ETF TR    AGGPFDPORT  73936T565     2,621   193,730  SH              X             3    193,730
PRAXAIR INC                COM         74005P104        21       260  SH              X           1,3        260
PRAXAIR INC                COM         74005P104     1,642    20,100  SH                    X       3      9,353    6,083     4,664
PRAXAIR INC                COM         74005P104     3,621    44,330  SH              X             2     44,330
PRAXAIR INC                COM         74005P104     4,765    58,334  SH              X             3     45,913       24    12,397
PRECISIONCASTPARTS CORP    COM         740189105       107     1,053  SH              X             3        667                386
PRECISIONCASTPARTS CORP    COM         740189105       110     1,078  SH                    X       3               1,078
PRICE T ROWE GROUP INC     COM         74144T108       117     2,562  SH                    X       3      1,765      277       520
PRICE T ROWE GROUP INC     COM         74144T108       605    13,233  SH              X             3     12,583                650
PRICELINE COM INC          COM NEW     741503403         3        17  SH                    X       3                  17
PRICELINE COM INC          COM NEW     741503403       289     1,741  SH              X             3      1,215                526
PRINCIPAL FINL GR IN       COM         74251V102        12       451  SH                    X       3                 451
PRINCIPAL FINL GR IN       COM         74251V102       780    28,466  SH              X             3     25,294              3,172
PRINCIPAL FINL GR IN       COM         74251V102     2,681    97,880  SH              X             2     97,880
PROASSURANCE CORP          COM         74267C106        21       400  SH                    X       3                 400
PROASSURANCE CORP          COM         74267C106       346     6,632  SH              X             3      6,451                181
PROCTER & GAMBLE CO        COM         742718109       188     3,242  SH                    X     1,3      2,542      700
PROCTER & GAMBLE CO        COM         742718109     1,943    33,550  SH              X           1,3     33,550
PROCTER & GAMBLE CO        COM         742718109     7,971   137,617  SH                    X       3     22,328  108,564     6,725
PROCTER & GAMBLE CO        COM         742718109    41,856   722,660  SH              X             3    688,712   18,448    15,500
PROCTER & GAMBLE CO        COM         742718109    43,553   751,942  SH              X             2    315,423            436,519
PROGRESS ENERGY INC        COM         743263105         5       124  SH              X           1,3        124
PROGRESS ENERGY INC        COM         743263105       154     3,940  SH                    X       3        100    1,685     2,155
PROGRESS ENERGY INC        COM         743263105       173     4,420  SH              X             2      4,420
PROGRESS ENERGY INC        COM         743263105     3,736    95,644  SH              X             3     93,833      526     1,285
PROGRESSIVE CORP OHIO      COM         743315103       105     6,339  SH              X             2      6,339
PROGRESSIVE CORP OHIO      COM         743315103       224    13,509  SH                    X       3        350   10,187     2,972
PROGRESSIVE CORP OHIO      COM         743315103     5,018   302,644  SH              X             3    291,636    7,936     3,072
PROLOGIS                   SH BEN INT  743410102         2       129  SH                    X       3                 129
PROLOGIS                   SH BEN INT  743410102       411    34,470  SH              X             3     34,470
PROSHARES TR               PSHULTSP501 74347R107       304     8,865  SH              X             3      8,865
PROSHARES TR               ULTSH 20YRS 74347R297     2,047    46,522  SH              X             3     46,522
PROTECTIVE LIFE CORP       COM         743674103       141     6,575  SH                    X       3               6,575
PROTECTIVE LIFE CORP       COM         743674103       242    11,279  SH              X             3      5,229              6,050
PRUDENTIAL FINL INC        COM         744320102        19       376  SH                    X       3        143      233
PRUDENTIAL FINL INC        COM         744320102       328     6,570  SH              X           1,3      6,570
PRUDENTIAL FINL INC        COM         744320102       986    19,763  SH              X             3     19,738                 25
PRUDENTIAL PLC             ADR         74435K204       213    11,083  SH                    X       3               5,023     6,060
PRUDENTIAL PLC             ADR         74435K204       426    22,096  SH              X             3     10,015             12,081
PUBLIC SVC ENT GROUP       COM         744573106       348    11,071  SH                    X       3               7,921     3,150
PUBLIC SVC ENT GROUP       COM         744573106       706    22,466  SH              X             3     20,436              2,030
PUBLIC STORAGE             COM         74460D109        30       400  SH              X           1,3        400
PUBLIC STORAGE             COM         74460D109        34       450  SH                    X       3                 450
PUBLIC STORAGE             COM         74460D109       309     4,113  SH              X             3      4,098                 15
PULTE HOMES INC            COM         745867101         1       103  SH                    X       3                 103
PULTE HOMES INC            COM         745867101       111    10,081  SH              X             3     10,081
PULTE HOMES INC            COM         745867101     3,434   312,500  SH              X             2    130,300            182,200
QLOGIC CORP                COM         747277101         6       351  SH                    X       3                 351
QLOGIC CORP                COM         747277101       173    10,079  SH              X             3     10,079
QUALCOMM INC               COM         747525103        20       450  SH                    X     1,3        200      250
QUALCOMM INC               COM         747525103       314     6,985  SH              X           1,3      6,985
QUALCOMM INC               COM         747525103     1,636    36,369  SH                    X       3        690   33,624     2,055
QUALCOMM INC               COM         747525103    15,083   335,335  SH              X             3    325,095    7,358     2,882
QUALCOMM INC               COM         747525103    25,426   565,281  SH              X             2    274,281            291,000
QUANTUM CORP               COM DSSG    747906204     1,075   853,721  SH              X             3    799,307             54,414
QUANTUM CORP               COM DSSG    747906204     4,566 3,623,600  SH              X             2  3,623,600
QUEST DIAGNOSTICS INC      COM         74834L100       156     2,986  SH                    X       3               1,608     1,378
QUEST DIAGNOSTICS INC      COM         74834L100       313     6,000  SH              X             2      6,000
QUEST DIAGNOSTICS INC      COM         74834L100       410     7,854  SH              X             3      7,329                525
QUESTAR CORP               COM         748356102        60     1,600  SH                    X       3               1,600
QUESTAR CORP               COM         748356102       251     6,677  SH              X             3      6,677
QWEST COMM INTL IN         COM         749121109         5     1,257  SH                    X       3               1,257
QWEST COMM INTL IN         COM         749121109       210    55,032  SH              X             3     55,032
RPM INTL INC               COM         749685103        77     4,143  SH              X             3      2,186              1,957
RPM INTL INC               COM         749685103       208    11,250  SH                    X       3              11,250
RANGE RES CORP             COM         75281A109         8       168  SH                    X       3                 168
RANGE RES CORP             COM         75281A109       942    19,090  SH              X             3     19,014                 76
RAYONIER INC               COM         754907103        59     1,432  SH              X             3        947                485
RAYONIER INC               COM         754907103       409    10,000  SH                    X       3              10,000
RAYTHEON CO                COM NEW     755111507        77     1,600  SH              X           1,3      1,600
RAYTHEON CO                COM NEW     755111507       184     3,832  SH                    X       3        279    3,553
RAYTHEON CO                COM NEW     755111507     1,160    24,185  SH              X             3     24,165                 20
RAYTHEON CO                COM NEW     755111507     7,052   147,000  SH              X             2     72,800             74,200
REALTY INCOME CORP         COM         756109104        48     1,872  SH                    X       3               1,872
REALTY INCOME CORP         COM         756109104       243     9,491  SH              X             3      8,843                648
REGAL BELOIT CORP          COM         758750103       320     6,993  SH                    X       3               6,993
REGAL BELOIT CORP          COM         758750103       960    21,000  SH              X             2     21,000
REGAL BELOIT CORP          COM         758750103    28,492   623,318  SH              X             3    623,143                175
REGENCY ENER PARTN L P     COMUTS LP   75885Y107       357    18,200  SH                    X       3              18,200
REGIS CORP MINN            COM         758932107        26     1,690  SH                    X       3                         1,690
REGIS CORP MINN            COM         758932107       152     9,816  SH              X             3      4,536              5,280
REGIONS FINANCIAL CORP     COM         7591EP100       287    46,185  SH              X             3     46,185
REINSURANCE GR AMER INC    COM NEW     759351604     1,008    22,606  SH              X             3     19,566              3,040
REINSURANCE GR AMER INC    COM NEW     759351604     3,950    88,559  SH              X             2     88,559
RELIANCE STEEL&ALUMINUM    COM         759509102       252     5,907  SH              X             3      5,153                754
RELIANCE STEEL&ALUMINUM    COM         759509102     2,620    61,570  SH              X             2     61,570
REPUBLIC AWYS HLDGS INC    COM         760276105       589    63,107  SH              X             3     59,080              4,027
REPUBLIC AWYS HLDGS INC    COM         760276105     2,491   267,000  SH              X             2    267,000





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
REPUBLIC SVCS INC          COM         760759100        12       450  SH              X           1,3        450
REPUBLIC SVCS INC          COM         760759100       603    22,691  SH              X             3     20,521              2,170
REPUBLIC SVCS INC          COM         760759100     1,757    66,144  SH              X             2     66,144
RESEARCH IN MOTION LTD     COM         760975102         8       125  SH                    X     1,3        125
RESEARCH IN MOTION LTD     COM         760975102       188     2,775  SH              X           1,3      2,775
RESEARCH IN MOTION LTD     COM         760975102       414     6,122  SH                    X       3        546    2,976     2,600
RESEARCH IN MOTION LTD     COM         760975102     2,481    36,679  SH              X             3     29,632      500     6,547
RESEARCH IN MOTION LTD     COM         760975102     3,381    50,000  SH              X             2     50,000
RESMED INC                 COM         761152107         2        50  SH                    X       3                  50
RESMED INC                 COM         761152107       615    13,606  SH              X             3      6,014              7,592
REX ENERGY CORPORATION     COM         761565100       823    98,594  SH              X             3     92,310              6,284
REX ENERGY CORPORATION     COM         761565100     3,482   417,000  SH              X             2    417,000
REYNOLDS AMERICAN INC      COM         761713106        62     1,399  SH                    X       3      1,000      399
REYNOLDS AMERICAN INC      COM         761713106       902    20,270  SH              X             2     20,270
REYNOLDS AMERICAN INC      COM         761713106     2,135    47,945  SH              X             3     47,135      173       637
RITE AID CORP              COM         767754104        18    11,025  SH              X             3     11,025
ROBERT HALF INTL INC       COM         770323103         8       319  SH                    X       3                 319
ROBERT HALF INTL INC       COM         770323103       314    12,537  SH              X             3     12,537
ROCK-TENN CO               CL A        772739207       368     7,820  SH              X             3      6,399              1,421
ROCKWELL AUTOMATION INC    COM         773903109       251     5,900  SH              X             2                         5,900
ROCKWELL AUTOMATION INC    COM         773903109       475    11,143  SH                    X       3        300    6,543     4,300
ROCKWELL AUTOMATION INC    COM         773903109     1,968    46,202  SH              X             3     21,005       10    25,187
ROCKWELL COLLINS INC       COM         774341101        76     1,500  SH              X             2                         1,500
ROCKWELL COLLINS INC       COM         774341101       168     3,300  SH                    X       3        300    3,000
ROCKWELL COLLINS INC       COM         774341101       573    11,287  SH              X             3     11,287
ROPER INDS INC NEW         COM         776696106         2        40  SH                    X       3                  40
ROPER INDS INC NEW         COM         776696106       426     8,355  SH              X             3      1,225              7,130
ROSS STORES INC            COM         778296103        19       398  SH                    X       3                 398
ROSS STORES INC            COM         778296103       322     6,731  SH              X             3      2,979              3,752
ROSS STORES INC            COM         778296103     2,455    51,400  SH              X             2     51,400
ROVI CORP                  COM         779376102         6       168  SH                    X       3                 168
ROVI CORP                  COM         779376102       613    18,240  SH              X             3     16,157              2,083
ROVI CORP                  COM         779376102     3,911   116,400  SH              X             2    116,400
ROWAN COS INC              COM         779382100         9       381  SH                    X       3                 381
ROWAN COS INC              COM         779382100       565    24,456  SH              X             3     24,406                 50
ROWAN COS INC              COM         779382100     1,562    67,725  SH              X             2     67,725
ROYALBKCDA MONTREAL QUE    COM         780087102       421     7,858  SH              X             3      4,046              3,812
ROYALBKCDA MONTREAL QUE    COM         780087102       796    14,866  SH                    X       3              12,993     1,873
ROYAL DUTCH SHELL PLC      SPON ADR B  780259107        54       970  SH              X             3        970
ROYAL DUTCH SHELL PLC      SPON ADR B  780259107       364     6,527  SH                    X       3         86    6,441
ROYAL DUTCH SHELL PLC      SPON ADR A  780259206        94     1,650  SH              X           1,3      1,650
ROYAL DUTCH SHELL PLC      SPON ADR A  780259206     1,042    18,220  SH                    X       3      9,790    7,880       550
ROYAL DUTCH SHELL PLC      SPON ADR A  780259206     4,139    72,373  SH              X             3     68,973    1,200     2,200
ROYAL GOLD INC             COM         780287108       368     8,076  SH              X             3      7,559                517
ROYAL GOLD INC             COM         780287108     1,528    33,500  SH              X             2     33,500
RYANAIR HLDGS PLC          SPON ADR    783513104       110     3,793  SH                    X       3               1,286     2,507
RYANAIR HLDGS PLC          SPON ADR    783513104       313    10,788  SH              X             3      6,010              4,778
RYDEX ETF TRUST            S&P 500EQTR 78355W106       129     3,459  SH                    X       3        829    2,630
RYDEX ETF TRUST            S&P 500EQTR 78355W106     2,586    69,338  SH              X             3     69,338
SBA COMMUNICATIONS CORP    COM         78388J106       616    22,812  SH              X             3     21,330              1,482
SBA COMMUNICATIONS CORP    COM         78388J106     2,568    95,000  SH              X             2     95,000
SJW CORP                   COM         784305104       302    13,200  SH                    X       3              13,200
SK TELECOM LTD             SPON ADR    78440P108       147     8,427  SH              X             3      5,947              2,480
SK TELECOM LTD             SPON ADR    78440P108       404    23,139  SH                    X       3              23,139
SLM CORP                   COM         78442p106        94    10,750  SH              X             2                        10,750
SPDR TR                    UNIT SER 1  78462F103     3,675    34,803  SH                    X       3        750   34,053
SPDR TR                    UNIT SER 1  78462F103    52,150   493,893  SH              X             3    481,464    3,287     9,142
SPX CORP                   COM         784635104     3,881    63,350  SH              X             2     22,260             41,090
SPDR GOLD TRUST            GOLD SHS    78463V107       698     7,063  SH                    X       3        375    6,688
SPDR GOLD TRUST            GOLD SHS    78463V107     8,422    85,196  SH              X             3     84,296      900
SPDR SERIES TRUST          DJ REIT ETF 78464A607        29       638  SH                    X       3                 638
SPDR SERIES TRUST          DJ REIT ETF 78464A607       115     2,530  SH              X             2      2,530
SPDR SERIES TRUST          DJ REIT ETF 78464A607     2,669    58,603  SH              X             3     56,913      800       890
SPDR SERIES TRUST          DJWSTTLMKT  78464A805       378     4,870  SH              X             3      4,870
SRA INTL INC               CL A        78464r105        42     1,944  SH              X             2                         1,944
SAFEGUARD SCI INC          COM NEW     786449207     4,663   425,100  SH              X             2    425,100
SAFEWAY INC                COM NEW     786514208         8       400  SH              X           1,3        400
SAFEWAY INC                COM NEW     786514208        67     3,389  SH                    X       3                         3,389
SAFEWAY INC                COM NEW     786514208       858    43,512  SH              X             3     38,502              5,010
SAFEWAY INC                COM NEW     786514208     2,729   138,385  SH              X             2    138,385
ST JUDE MED INC            COM         790849103       471    12,075  SH                    X       3      1,138    5,439     5,498
ST JUDE MED INC            COM         790849103     1,311    33,601  SH              X             3     19,907       61    13,633
ST JUDE MED INC            COM         790849103     4,162   106,700  SH              X             2    106,700
ST MARY LD & EXPL CO       COM         792228108       569    17,520  SH                    X       3              16,150     1,370
ST MARY LD & EXPL CO       COM         792228108     3,925   120,919  SH              X             3    110,467             10,452
SAKS INC                   COM         79377W108       124    18,217  SH              X             3     17,982                235
SALLY BEAUTY HLDGS INC     COM         79546e104       107    15,000  SH              X             2                        15,000
SANOFI AVENTIS             SPON ADR    80105N105       202     5,458  SH              X             3      5,323                135
SANOFI AVENTIS             SPON ADR    80105N105       501    13,561  SH                    X       3              13,561
SAP AG                     SPON ADR    803054204       105     2,150  SH                    X       3                 750     1,400
SAP AG                     SPON ADR    803054204       347     7,099  SH              X             3      3,403              3,696
SARA LEE CORP              COM         803111103        16     1,400  SH                    X     1,3      1,400
SARA LEE CORP              COM         803111103        31     2,800  SH              X           1,3      2,800
SARA LEE CORP              COM         803111103       124    11,093  SH                    X       3      2,000    9,093
SARA LEE CORP              COM         803111103       426    38,237  SH              X             3     33,307    4,700       230
SASOL LTD                  SPON ADR    803866300       221     5,800  SH                    X       3               5,800
SCANSOURCE INC             COM         806037107       124     4,375  SH                    X       3               4,375
SCANSOURCE INC             COM         806037107       213     7,534  SH              X             3      3,644              3,890
SCHEIN HENRY INC           COM         806407102        19       340  SH                    X       3                 340
SCHEIN HENRY INC           COM         806407102       213     3,877  SH              X             3      2,524              1,353





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
SCHERING PLOUGH CORP       COM         806605101        14       500  SH                    X     1,3        500
SCHERING PLOUGH CORP       COM         806605101       314    11,100  SH              X           1,3     10,850      250
SCHERING PLOUGH CORP       COM         806605101       401    14,197  SH                    X       3              10,897     3,300
SCHERING PLOUGH CORP       COM         806605101     1,398    49,496  SH              X             3     47,808              1,688
SCHERING PLOUGH CORP       COM         806605101    13,568   480,300  SH              X             2    179,600            300,700
SCHLUMBERGER LTD           COM         806857108        85     1,425  SH                    X     1,3      1,150      275
SCHLUMBERGER LTD           COM         806857108     1,191    19,975  SH              X           1,3     19,975
SCHLUMBERGER LTD           COM         806857108     1,679    28,170  SH                    X       3     16,548   10,122     1,500
SCHLUMBERGER LTD           COM         806857108     5,608    94,102  SH              X             3     78,564    1,158    14,380
SCHLUMBERGER LTD           COM         806857108    16,092   270,000  SH              X             2    110,600            159,400
SCHWAB CHARLES CORP NEW    COM         808513105        81     4,250  SH                    X     1,3      2,100    2,150
SCHWAB CHARLES CORP NEW    COM         808513105       107     5,584  SH              X             2      5,584
SCHWAB CHARLES CORP NEW    COM         808513105       518    27,034  SH                    X       3        725   26,309
SCHWAB CHARLES CORP NEW    COM         808513105     1,093    57,075  SH              X           1,3     57,075
SCHWAB CHARLES CORP NEW    COM         808513105     9,342   487,813  SH              X             3    472,073   12,653     3,087
SEALED AIR CORP NEW        COM         81211K100        41     2,084  SH                    X       3               2,084
SEALED AIR CORP NEW        COM         81211K100       859    43,753  SH              X             3     38,797              4,956
SEALED AIR CORP NEW        COM         81211K100     2,932   149,324  SH              X             2    149,324
SEARS HLDGS CORP           COM         812350106        12       187  SH                    X       3                 187
SEARS HLDGS CORP           COM         812350106       457     6,996  SH              X             3      6,981                 15
SELECT SECTOR SPDR TR      SBI MATERLS 81369Y100        13       425  SH                    X       3        425
SELECT SECTOR SPDR TR      SBI MATERLS 81369Y100       356    11,503  SH              X             3     11,503
SELECT SECTOR SPDR TR      SBICONSDISC 81369Y407       425    15,484  SH              X             3     15,484
SELECT SECTOR SPDR TR      SBIINT-FINL 81369Y605         5       356  SH              X           1,3        356
SELECT SECTOR SPDR TR      SBIINT-FINL 81369Y605       110     7,380  SH                    X       3               7,380
SELECT SECTOR SPDR TR      SBIINT-FINL 81369Y605     1,708   114,313  SH              X             3    111,023              3,290
SELECT SECTOR SPDR TR      SBIINT-TECH 81369Y803         3       150  SH              X           1,3        150
SELECT SECTOR SPDR TR      SBIINT-TECH 81369Y803       191     9,138  SH                    X       3      1,060    8,078
SELECT SECTOR SPDR TR      SBIINT-TECH 81369Y803       492    23,552  SH              X             3     23,552
SELECT SECTOR SPDR TR      SBIINT-UTIL 81369Y886        84     2,880  SH                    X       3               2,880
SELECT SECTOR SPDR TR      SBIINT-UTIL 81369Y886       529    18,052  SH              X             3     18,052
SEMPRA ENERGY              COM         816851109        74     1,489  SH                    X       3               1,489
SEMPRA ENERGY              COM         816851109     1,180    23,681  SH              X             3     22,181              1,500
SEMPRA ENERGY              COM         816851109     2,140    42,963  SH              X             2     42,963
SHERWIN WILLIAMS CO        COM         824348106        66     1,095  SH                    X       3               1,095
SHERWIN WILLIAMS CO        COM         824348106       144     2,400  SH              X             2                         2,400
SHERWIN WILLIAMS CO        COM         824348106       230     3,830  SH              X             3      3,810                 20
SHUTTERFLY INC             COM         82568P304       294    17,693  SH              X             3     16,564              1,129
SHUTTERFLY INC             COM         82568P304     1,242    74,700  SH              X             2     74,700
SIEMENS A G                SPON ADR    826197501       365     3,922  SH              X             3      1,991              1,931
SIEMENS A G                SPON ADR    826197501       728     7,829  SH                    X       3               6,846       983
SIGMA ALDRICH CORP         COM         826552101       179     3,312  SH                    X       3               3,312
SIGMA ALDRICH CORP         COM         826552101     1,509    27,956  SH              X             3     22,311              5,645
SILICON LABS INC           COM         826919102        78     1,691  SH              X             3      1,395                296
SILICON LABS INC           COM         826919102     1,470    31,700  SH              X             2     31,700
SILGAN HOLDINGS INC        COM         827048109        25       475  SH                    X       3                 475
SILGAN HOLDINGS INC        COM         827048109       180     3,420  SH              X             3      3,420
SILVER WHEATON CORP        COM         828336107       608    48,240  SH              X             3     45,235              3,005
SILVER WHEATON CORP        COM         828336107     4,498   357,300  SH              X             2    357,300
SIMON PPTY GR INC NEW      COM         828806109        52       754  SH                    X       3        680       74
SIMON PPTY GR INC NEW      COM         828806109     1,602    23,069  SH              X             3     22,402                667
SIRIUS XM RADIO INC        COM         82967N108         2     2,950  SH              X             3      2,950
SIRIUS XM RADIO INC        COM         82967N108        20    31,250  SH                    X       3              31,250
SKYWORKS SOLUTIONS INC     COM         83088M102         2       155  SH                    X       3                 155
SKYWORKS SOLUTIONS INC     COM         83088M102       224    16,905  SH              X             3     16,795                110
SMITH A O                  COM         831865209        80     2,097  SH              X             3      2,070                 27
SMITH A O                  COM         831865209       231     6,050  SH                    X       3               6,050
SMITH INTL INC             COM         832110100         2        75  SH                    X       3                  75
SMITH INTL INC             COM         832110100       277     9,652  SH              X             3      2,307              7,345
SMITH MICRO SOFTWARE IN    COM         832154108       649    52,510  SH              X             3     48,662              3,848
SMITH MICRO SOFTWARE IN    COM         832154108     2,712   219,400  SH              X             2    219,400
SMUCKER J M CO             COM NEW     832696405         0         4  SH                    X     1,3          4
SMUCKER J M CO             COM NEW     832696405       196     3,701  SH              X             3      3,701
SMUCKER J M CO             COM NEW     832696405       427     8,063  SH                    X       3               8,055         8
SMUCKER J M CO             COM NEW     832696405     2,444    46,100  SH              X             2     46,100
SNAP ON INC                COM         833034101        10       300  SH              X           1,3        300
SNAP ON INC                COM         833034101        56     1,620  SH              X             3      1,590                 30
SNAP ON INC                COM         833034101       318     9,160  SH                    X       3      7,800    1,360
SOCIEDAD QUIMICA MIN DE    SPADRSERB   833635105       105     2,689  SH                    X       3                 935     1,754
SOCIEDAD QUIMICA MIN DE    SPADRSERB   833635105       263     6,727  SH              X             3      4,022              2,705
SOLUTIA INC                COM NEW     834376501     2,645   228,400  SH              X             2    228,400
SOLUTIA INC                COM NEW     834376501     3,738   322,793  SH              X             3    320,845              1,948
SONOCO PRODS CO            COM         835495102         3       100  SH                    X       3                 100
SONOCO PRODS CO            COM         835495102        18       650  SH                    X     1,3        650
SONOCO PRODS CO            COM         835495102        77     2,800  SH              X           1,3      2,800
SONOCO PRODS CO            COM         835495102       156     5,656  SH              X             3      5,073                583
SOTHEBYS                   COM         835898107        39     2,260  SH                    X       3                 160     2,100
SOTHEBYS                   COM         835898107       432    25,089  SH              X             3     23,652              1,437
SOTHEBYS                   COM         835898107     2,774   161,000  SH              X             2    161,000
SOUTH FINL GROUP INC       COM         837841105        84    57,000  SH              X             3     57,000
SOUTH JERSEY INDS INC      COM         838518108        50     1,430  SH                    X       3                         1,430
SOUTH JERSEY INDS INC      COM         838518108       181     5,131  SH              X             3      2,369              2,762
SOUTHERN CO                COM         842587107        25       804  SH              X           1,3        804
SOUTHERN CO                COM         842587107        38     1,200  SH                    X     1,3      1,200
SOUTHERN CO                COM         842587107       295     9,305  SH              X             2      9,305
SOUTHERN CO                COM         842587107       410    12,954  SH                    X       3      2,202    5,982     4,770
SOUTHERN CO                COM         842587107     4,063   128,303  SH              X             3    122,170    3,233     2,900
SOUTHERN COPPER CORP       COM         84265V105       104     3,381  SH                    X       3               3,381
SOUTHERN COPPER CORP       COM         84265V105       152     4,938  SH              X             3      4,938
SOUTHWEST AIRLS CO         COM         844741108         3       313  SH                    X       3                 313





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
SOUTHWEST AIRLS CO         COM         844741108       368    38,286  SH              X             3     38,286
SOUTHWESTERN ENERGY CO     COM         845467109       124     2,914  SH                    X       3               2,914
SOUTHWESTERN ENERGY CO     COM         845467109     1,382    32,396  SH              X             3     22,733              9,663
SOUTHWESTERN ENERGY CO     COM         845467109     1,921    45,000  SH              X             2     45,000
SPECTRA ENERGY CORP        COM         847560109         6       300  SH              X           1,3        300
SPECTRA ENERGY CORP        COM         847560109       112     5,898  SH                    X       3      3,102    2,396       400
SPECTRA ENERGY CORP        COM         847560109       120     6,355  SH              X             2      6,355
SPECTRA ENERGY CORP        COM         847560109     2,513   132,661  SH              X             3    130,303      135     2,223
SPECTRA EN PRTNRS LP       COM         84756N109       523    21,500  SH                    X       3              21,500
SPRINT NEXTEL CORP         COM SER 1   852061100       197    49,770  SH              X             3     49,770
STAGE STORES INC           COM NEW     85254C305        42     3,250  SH                    X       3                         3,250
STAGE STORES INC           COM NEW     85254C305       273    21,064  SH              X             3     15,689              5,375
STANCORP FINL GROUP INC    COM         852891100        36       890  SH                    X       3                           890
STANCORP FINL GROUP INC    COM         852891100       214     5,306  SH              X             3      2,251              3,055
STAPLES INC                COM         855030102         7       300  SH              X           1,3        300
STAPLES INC                COM         855030102       607    26,134  SH                    X       3        300   25,834
STAPLES INC                COM         855030102     3,083   132,795  SH              X             2    131,371              1,424
STAPLES INC                COM         855030102     8,158   351,300  SH              X             3    338,251    4,970     8,079
STARBUCKS CORP             COM         855244109        24     1,150  SH                    X     1,3      1,150
STARBUCKS CORP             COM         855244109       370    17,900  SH              X           1,3     17,500      400
STARBUCKS CORP             COM         855244109       433    20,970  SH                    X       3              20,070       900
STARBUCKS CORP             COM         855244109       925    44,785  SH              X             3     44,632      153
STARWOOD HOTELS&RESORTS    COM         85590A401        10       310  SH                    X       3                 310
STARWOOD HOTELS&RESORTS    COM         85590A401       402    12,159  SH              X             3     12,159
STATE STR CORP             COM         857477103       148     2,808  SH                    X       3               2,193       615
STATE STR CORP             COM         857477103     2,844    54,066  SH              X             3     51,612       46     2,408
STATE STR CORP             COM         857477103    12,625   240,021  SH              X             2    147,021             93,000
STEEL DYNAMICS INC         COM         858119100        75     4,896  SH              X             3      3,740              1,156
STEEL DYNAMICS INC         COM         858119100     2,731   178,000  SH              X             2    178,000
STERICYCLE INC             COM         858912108        24       500  SH                    X     1,3        500
STERICYCLE INC             COM         858912108       186     3,850  SH              X           1,3      3,725      125
STERICYCLE INC             COM         858912108       351     7,250  SH                    X       3      6,750      500
STERICYCLE INC             COM         858912108     1,192    24,602  SH              X             3     18,332              6,270
STERICYCLE INC             COM         858912108     1,584    32,700  SH              X             2     32,700
STONEMOR PARTNERS L P      COM UNITS   86183Q100       546    31,960  SH              X             3     31,960
STRAYER ED INC             COM         863236105         1         6  SH                    X       3                   6
STRAYER ED INC             COM         863236105       383     1,758  SH              X             3        206              1,552
STRYKER CORP               COM         863667101        69     1,525  SH                    X     1,3        850      675
STRYKER CORP               COM         863667101       755    16,610  SH              X           1,3     16,610
STRYKER CORP               COM         863667101       833    18,330  SH                    X       3        919   14,477     2,934
STRYKER CORP               COM         863667101     5,847   128,700  SH              X             2     49,600             79,100
STRYKER CORP               COM         863667101     8,591   189,097  SH              X             3     19,234       36   169,827
SUN MICROSYSTEMS INC       COM NEW     866810203         9     1,013  SH                    X       3         50      963
SUN MICROSYSTEMS INC       COM NEW     866810203       201    22,071  SH              X             3     21,271                800
SUNCOR ENERGY INC NEW      COM         867224107       344     9,940  SH              X             3      9,940
SUNCOR ENERGY INC NEW      COM         867224107       404    11,679  SH                    X       3        600    8,789     2,290
SUNOCO INC                 COM         86764P109        62     2,188  SH                    X       3               2,188
SUNOCO INC                 COM         86764P109     1,911    67,179  SH              X             3     65,600       75     1,504
SUNTRUST BKS INC           COM         867914103       169     7,498  SH                    X       3               7,498
SUNTRUST BKS INC           COM         867914103       867    38,426  SH              X             3     38,426
SUNTECH PWR HLDG CO LTD    ADR         86800C104       182    11,950  SH              X             3     11,950
SUPERIOR BANCORP           COM NEW     86806M205       209    85,802  SH              X           1,3     85,802
SUPERTEX INC               COM         868532102       452    15,079  SH              X             3     14,158                921
SUPERTEX INC               COM         868532102     1,839    61,300  SH              X             2     61,300
SUPERVALU INC              COM         868536103        44     2,895  SH                    X       3        400      465     2,030
SUPERVALU INC              COM         868536103       182    12,097  SH              X             3     12,062                 35
SYBASE INC                 COM         871130100         3        65  SH                    X       3                  65
SYBASE INC                 COM         871130100       143     3,685  SH              X             3      1,647              2,038
SYBASE INC                 COM         871130100     1,840    47,300  SH              X             2     47,300
SYKES ENTERPRISES INC      COM         871237103        11       541  SH                    X       3                 541
SYKES ENTERPRISES INC      COM         871237103       522    25,059  SH              X             3     22,419              2,640
SYKES ENTERPRISES INC      COM         871237103     2,013    96,700  SH              X             2     96,700
SYMANTEC CORP              COM         871503108         5       333  SH                    X       3                 333
SYMANTEC CORP              COM         871503108       773    46,940  SH              X             3     42,780      172     3,988
SYMANTEC CORP              COM         871503108     1,885   114,444  SH              X             2    114,444
SYNCHRONOSS TECH INC       COM         87157B103       410    32,830  SH              X             3     30,731              2,099
SYNCHRONOSS TECH INC       COM         87157B103     1,733   139,000  SH              X             2    139,000
SYNOPSYS INC               COM         871607107       279    12,436  SH                    X       3      1,931    2,728     7,777
SYNOPSYS INC               COM         871607107     1,522    67,884  SH              X             3     35,385             32,499
SYNOPSYS INC               COM         871607107     2,299   102,515  SH              X             2    102,515
SYNGENTA AG                SPON ADR    87160A100       101     2,188  SH                    X       3                 764     1,424
SYNGENTA AG                SPON ADR    87160A100       244     5,319  SH              X             3      2,374              2,945
SYNIVERSE HLDGS INC        COM         87163F106         8       429  SH                    X       3                 429
SYNIVERSE HLDGS INC        COM         87163F106       295    16,881  SH              X             3     16,042                839
SYSCO CORP                 COM         871829107         5       200  SH              X           1,3        200
SYSCO CORP                 COM         871829107       137     5,505  SH              X             2      5,505
SYSCO CORP                 COM         871829107       926    37,261  SH                    X       3      1,860   29,531     5,870
SYSCO CORP                 COM         871829107     4,034   162,329  SH              X             3    116,722      260    45,347
TD AMERITRADE HLDG CORP    COM         87236Y108        79     4,000  SH                    X       3               4,000
TD AMERITRADE HLDG CORP    COM         87236Y108       216    10,997  SH              X             3     10,997
TECO ENERGY INC            COM         872375100         7       500  SH              X           1,3        500
TECO ENERGY INC            COM         872375100         7       500  SH                    X     1,3        500
TECO ENERGY INC            COM         872375100         8       600  SH                    X       3                 600
TECO ENERGY INC            COM         872375100       184    13,055  SH              X             3     13,055
TEPPCO PARTNERS L P        UT LTDPART  872384102       288     8,285  SH              X             3      8,285
TJX COS INC NEW            COM         872540109       140     3,756  SH                    X       3               1,766     1,990
TJX COS INC NEW            COM         872540109       351     9,452  SH              X             3      6,627              2,825
TJX COS INC NEW            COM         872540109     2,805    75,500  SH              X             2     75,500
TS&W CLAYMORE TAXADV BL    COM         87280R108       116    11,894  SH              X             3     11,894
TAIWAN SEMICOND MFG LTD    SPON ADR    874039100       228    20,762  SH                    X       3               7,967    12,795





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
TAIWAN SEMICOND MFG LTD    SPON ADR    874039100       416    37,978  SH              X             3     21,842             16,136
TALISMAN ENERGY INC        COM         87425E103        86     4,963  SH              X             3        123              4,840
TALISMAN ENERGY INC        COM         87425E103       129     7,422  SH                    X       3               7,422
TARGA RESOURCES PART LP    COM UT      87611X105       325    17,300  SH                    X       3              17,300
TARGET CORP                COM         87612E106       102     2,175  SH                    X     1,3      1,550      625
TARGET CORP                COM         87612E106     1,250    26,775  SH              X           1,3     26,775
TARGET CORP                COM         87612E106     1,977    42,352  SH                    X       3     28,070   10,182     4,100
TARGET CORP                COM         87612E106     6,565   140,641  SH              X             3    136,226      927     3,488
TARGET CORP                COM         87612E106    15,437   330,700  SH              X             2    136,300            194,400
TASEKO MINES LTD           COM         876511106       586   220,306  SH              X             3    206,258             14,048
TASEKO MINES LTD           COM         876511106     2,449   920,800  SH              X             2    920,800
TECHNE CORP                COM         878377100        37       594  SH              X             3        579                 15
TECHNE CORP                COM         878377100       313     5,000  SH                    X       3               5,000
TEKELEC                    COM         879101103       377    22,930  SH              X             3     21,520              1,410
TELECOMCORP NEWZEAL LTD    SPON ADR    879278208         3       355  SH                    X       3        355
TELECOMCORP NEWZEAL LTD    SPON ADR    879278208        98    10,192  SH              X             3     10,192
TELECOM ITALIA SPA NEW     SP ADR ORD  87927Y102         4       246  SH                    X       3                 246
TELECOM ITALIA SPA NEW     SP ADR ORD  87927Y102       174     9,921  SH              X             3      9,648                273
TELECOM ITALIA SPA NEW     SP ADR SVG  87927Y201        24     1,919  SH              X             3      1,919
TELECOM ITALIA SPA NEW     SP ADR SVG  87927Y201       368    29,946  SH                    X       3              29,946
TELEFLEX INC               COM         879369106        50     1,035  SH              X             3        673                362
TELEFLEX INC               COM         879369106       153     3,160  SH                    X       3               3,160
TELEFONICA S A             SPON ADR    879382208       181     2,180  SH                    X       3                 940     1,240
TELEFONICA S A             SPON ADR    879382208       711     8,570  SH              X             3      6,790              1,780
TELLABS INC                COM         879664100         3       500  SH              X           1,3        500
TELLABS INC                COM         879664100        36     5,226  SH                    X       3               1,596     3,630
TELLABS INC                COM         879664100       135    19,467  SH              X             3     19,282                185
TEMPLE INLAND INC          COM         879868107        52     3,140  SH                    X       3                         3,140
TEMPLE INLAND INC          COM         879868107       273    16,642  SH              X             3      9,327              7,315
TENET HEALTHCARE CORP      COM         88033G100       534    90,789  SH              X             3     85,195              5,594
TENET HEALTHCARE CORP      COM         88033G100     2,027   344,800  SH              X             2    344,800
TERADATA CORP DEL          COM         88076W103       228     8,303  SH                    X       3               8,303
TERADATA CORP DEL          COM         88076W103       596    21,640  SH              X             3     21,595                 45
TERADYNE INC               COM         880770102        11     1,148  SH                    X       3               1,148
TERADYNE INC               COM         880770102        86     9,329  SH              X             3      9,329
TERADYNE INC               COM         880770102     5,734   619,900  SH              X             2    247,000            372,900
TERRA NITROGEN CO L P      COM UT      881005201       289     2,775  SH              X             3      2,775
TERREMARK WORLDWIDE INC    COM NEW     881448203        53     8,430  SH              X             3      8,430
TERREMARK WORLDWIDE INC    COM NEW     881448203       244    39,300  SH              X             2     39,300
TESORO CORP                COM         881609101        17     1,124  SH                    X       3               1,124
TESORO CORP                COM         881609101       290    19,335  SH              X             3     14,535              4,800
TEVA PHARMA INDS LTD       ADR         881624209         5       100  SH              X           1,3        100
TEVA PHARMA INDS LTD       ADR         881624209     1,051    20,786  SH                    X       3     13,060    3,578     4,148
TEVA PHARMA INDS LTD       ADR         881624209     2,159    42,700  SH              X             2     42,700
TEVA PHARMA INDS LTD       ADR         881624209     2,989    59,111  SH              X             3     55,480              3,631
TETRA TECH INC NEW         COM         88162G103        66     2,500  SH                    X       3               2,500
TETRA TECH INC NEW         COM         88162G103       513    19,333  SH              X             3     17,389              1,944
TETRA TECH INC NEW         COM         88162G103     3,417   128,800  SH              X             2    128,800
TEXAS INSTRS INC           COM         882508104       642    27,083  SH                    X       3         95   24,248     2,740
TEXAS INSTRS INC           COM         882508104       961    40,577  SH              X             3     37,677    2,750       150
TEXAS INSTRS INC           COM         882508104     7,114   300,300  SH              X             2    108,100            192,200
TEXTRON INC                COM         883203101         9       450  SH              X           1,3        450
TEXTRON INC                COM         883203101         9       450  SH                    X     1,3        450
TEXTRON INC                COM         883203101        17       900  SH                    X       3                           900
TEXTRON INC                COM         883203101       220    11,607  SH              X             3      9,557              2,050
THERMO FISHER SCI INC      COM         883556102       621    14,212  SH                    X       3      1,830    2,815     9,567
THERMO FISHER SCI INC      COM         883556102     2,848    65,219  SH              X             3     44,755       57    20,407
THERMO FISHER SCI INC      COM         883556102     3,259    74,639  SH              X             2     74,639
THOMAS & BETTS CORP        COM         884315102        27       900  SH                    X       3                 600       300
THOMAS & BETTS CORP        COM         884315102       802    26,679  SH              X             3     24,373              2,306
THOMAS & BETTS CORP        COM         884315102     2,508    83,372  SH              X             2     83,372
THOMPSONCREEKMETALS INC    COM         884768102       404    33,533  SH              X             3     31,447              2,086
THOMPSONCREEKMETALS INC    COM         884768102     3,030   251,000  SH              X             2    251,000
THOR INDS INC              COM         885160101       200     6,474  SH              X             3      5,379              1,095
THORATEC CORP              COM NEW     885175307       646    21,353  SH              X             3     18,309              3,044
THORATEC CORP              COM NEW     885175307     2,249    74,300  SH              X             2     74,300
3M CO                      COM         88579Y101        22       300  SH                    X     1,3        300
3M CO                      COM         88579Y101       208     2,825  SH              X           1,3      2,825
3M CO                      COM         88579Y101     3,835    51,961  SH                    X       3      9,180   38,635     4,146
3M CO                      COM         88579Y101    13,269   179,800  SH              X             2     59,700            120,100
3M CO                      COM         88579Y101    18,216   246,826  SH              X             3    219,679    4,440    22,707
TIDEWATER INC              COM         886423102        34       725  SH                    X       3                  75       650
TIDEWATER INC              COM         886423102       925    19,640  SH              X             3     16,726              2,914
TIDEWATER INC              COM         886423102     3,002    63,753  SH              X             2     63,753
TIME WARNER INC            COM NEW     887317303       408    14,171  SH                    X       3        100    8,523     5,548
TIME WARNER INC            COM NEW     887317303     5,695   197,879  SH              X             3    148,270      617    48,992
TIME WARNER INC            COM NEW     887317303    10,553   366,680  SH              X             2    191,697            174,983
TIME WARNER CABLE INC      COM         88732J207        30       690  SH                    X       3         25      664         1
TIME WARNER CABLE INC      COM         88732J207        45     1,042  SH              X             2        909                133
TIME WARNER CABLE INC      COM         88732J207       778    18,062  SH              X             3     17,534      111       417
TITANIUM METALS CORP       COM NEW     888339207         3       301  SH                    X       3                 301
TITANIUM METALS CORP       COM NEW     888339207       239    24,880  SH              X             3     24,880
TOLL BROTHERS INC          COM         889478103       697    35,685  SH              X             3     29,638              6,047
TOLL BROTHERS INC          COM         889478103     2,773   141,910  SH              X             2    141,910
TOMOTHERAPY INC            COM         890088107     3,566   823,615  SH              X             3    823,615
TORCHMARK CORP             COM         891027104        12       284  SH                    X       3                 284
TORCHMARK CORP             COM         891027104       375     8,640  SH              X             3      8,640
TORO CO                    COM         891092108        39       985  SH                    X       3                 155       830
TORO CO                    COM         891092108       168     4,234  SH              X             3      2,149              2,085
TORONTO DOMINION BK ONT    COM NEW     891160509       165     2,555  SH                    X       3                 862     1,693





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
TORONTO DOMINION BK ONT    COM NEW     891160509       409     6,343  SH              X             3      3,019              3,324
TORTOISE EN INFRSTRCT C    COM         89147L100         5       195  SH                    X       3                 195
TORTOISE EN INFRSTRCT C    COM         89147L100     3,477   129,990  SH              X             3    129,990
TOTAL S A                  SPON ADR    89151E109       162     2,742  SH                    X       3               1,559     1,183
TOTAL S A                  SPON ADR    89151E109       248     4,183  SH              X             3      1,891              2,292
TOWER GROUP INC            COM         891777104         5       210  SH                    X       3                 210
TOWER GROUP INC            COM         891777104       934    38,301  SH              X             3     33,773              4,528
TOWER GROUP INC            COM         891777104     3,573   146,500  SH              X             2    146,500
TOTAL SYS SVCS INC         COM         891906109        54     3,328  SH              X             3      3,328
TOTAL SYS SVCS INC         COM         891906109       155     9,619  SH                    X       3               9,619
TOYOTA MOTOR CORP          SP ADR REP2 892331307        44       563  SH                    X       3                 208       355
TOYOTA MOTOR CORP          SP ADR REP2 892331307     1,552    19,755  SH              X             3     19,455                300
TRACTOR SUPPLY CO          COM         892356106        13       270  SH                    X       3                 270
TRACTOR SUPPLY CO          COM         892356106       373     7,712  SH              X             3        654              7,058
TRANSATLANTIC HLDGS INC    COM         893521104        53     1,062  SH              X             3      1,062
TRANSATLANTIC HLDGS INC    COM         893521104       200     3,995  SH                    X       3               3,995
TRAVELERS COMPANIES INC    COM         89417E109         1        14  SH                    X     1,3         14
TRAVELERS COMPANIES INC    COM         89417E109       418     8,481  SH                    X       3               5,797     2,684
TRAVELERS COMPANIES INC    COM         89417E109     1,238    25,150  SH              X             3     25,115                 35
TRAVELERS COMPANIES INC    COM         89417E109     3,259    66,190  SH              X             2     66,190
TRIMBLE NAVIGATION LTD     COM         896239100        16       660  SH                    X       3                           660
TRIMBLE NAVIGATION LTD     COM         896239100       304    12,695  SH              X             3      2,235             10,460
TRIQUINT SEMICOND INC      COM         89674K103       320    41,507  SH              X             3     37,057              4,450
TRIQUINT SEMICOND INC      COM         89674K103     1,234   159,800  SH              X             2    159,800
TRIUMPH GROUP INC NEW      COM         896818101        45       945  SH                    X       3                           945
TRIUMPH GROUP INC NEW      COM         896818101       169     3,530  SH              X             3      1,360              2,170
TUPPERWARE BRANDS CORP     COM         899896104       665    16,662  SH                    X       3              15,052     1,610
TUPPERWARE BRANDS CORP     COM         899896104       692    17,339  SH              X             3     10,528    2,750     4,061
TWIN DISC INC              COM         901476101       149    11,932  SH                    X       3      3,360    8,572
TYSON FOODS INC            CL A        902494103     1,016    80,444  SH              X             3     70,464              9,980
TYSON FOODS INC            CL A        902494103     6,586   521,450  SH              X             2    521,450
UGI CORP NEW               COM         902681105       305    12,161  SH              X             3     10,655              1,506
US BANCORP DEL             COM NEW     902973304        36     1,625  SH              X           1,3      1,625
US BANCORP DEL             COM NEW     902973304     1,389    63,561  SH                    X       3     13,333   48,523     1,705
US BANCORP DEL             COM NEW     902973304    10,942   500,549  SH              X             2    282,749            217,800
US BANCORP DEL             COM NEW     902973304    16,411   750,758  SH              X             3    726,742   16,009     8,007
URS CORP NEW               COM         903236107         8       193  SH                    X       3                 193
URS CORP NEW               COM         903236107       206     4,726  SH              X             3      1,892              2,834
UNILEVER PLC               SP ADR NEW  904767704        72     2,520  SH                    X       3               1,105     1,415
UNILEVER PLC               SP ADR NEW  904767704       228     7,940  SH              X             3      3,040              4,900
UNILEVER N V               N Y SHS NEW 904784709        20       710  SH                    X       3                 710
UNILEVER N V               N Y SHS NEW 904784709       579    20,065  SH              X             3     19,975                 90
UNION PAC CORP             COM         907818108        12       200  SH              X           1,3        200
UNION PAC CORP             COM         907818108     1,188    20,356  SH                    X       3      1,715   18,141       500
UNION PAC CORP             COM         907818108     4,609    78,992  SH              X             3     75,330    3,632        30
UNITED ONLINE INC          COM         911268100       853   106,129  SH              X             3     99,503              6,626
UNITED ONLINE INC          COM         911268100     3,550   441,500  SH              X             2    441,500
UPS INC                    CL B        911312106        11       200  SH              X           1,3        200
UPS INC                    CL B        911312106     1,067    18,896  SH                    X       3        310   16,436     2,150
UPS INC                    CL B        911312106    10,000   177,079  SH              X             2     86,779             90,300
UPS INC                    CL B        911312106    15,271   270,429  SH              X             3    249,336    3,173    17,920
UNITED RENTALS INC         COM         911363109       126    12,272  SH              X             3     12,072                200
US NATL GAS FUND           UT          912318102       647    55,069  SH              X             3     55,069
UNITED STATES STL CORP     COM         912909108        58     1,300  SH                    X       3               1,300
UNITED STATES STL CORP     COM         912909108       592    13,332  SH              X             3     13,332
UNITED STATES STL CORP     COM         912909108     3,412    76,900  SH              X             2     29,560             47,340
UNITED TECH CORP           COM         913017109        91     1,500  SH                    X     1,3      1,025      475
UNITED TECH CORP           COM         913017109     1,576    25,865  SH              X           1,3     25,865
UNITED TECH CORP           COM         913017109     3,140    51,534  SH                    X       3     18,684   24,829     8,021
UNITED TECH CORP           COM         913017109     7,453   122,325  SH              X             3    110,342    1,761    10,222
UNITED TECH CORP           COM         913017109    16,374   268,740  SH              X             2     94,640            174,100
UNITED THERAP CORP DEL     COM         91307C102        12       240  SH                    X       3                 240
UNITED THERAP CORP DEL     COM         91307C102       463     9,461  SH              X             3      8,639                822
UNITED THERAP CORP DEL     COM         91307C102     1,617    33,000  SH              X             2     33,000
UNITEDHEALTH GROUP INC     COM         91324P102       152     6,085  SH                    X       3        100    3,624     2,361
UNITEDHEALTH GROUP INC     COM         91324P102     1,474    58,885  SH              X             2     58,885
UNITEDHEALTH GROUP INC     COM         91324P102     1,673    66,787  SH              X             3     66,601      116        70
UNIVERSAL HLTHRLTY INCT    SH BEN INT  91359E105        55     1,700  SH              X             2                         1,700
UNIVERSAL TRAVEL GROUP     COM NEW     91388Q202       372    28,861  SH              X             3     27,024              1,837
UNIVERSAL TRAVEL GROUP     COM NEW     91388Q202     1,570   121,700  SH              X             2    121,700
UNIVERSAL HLTH SVCS INC    CL B        913903100        10       160  SH                    X       3                 160
UNIVERSAL HLTH SVCS INC    CL B        913903100       391     6,326  SH              X             3      5,870                456
UNIVERSAL HLTH SVCS INC    CL B        913903100     1,239    20,000  SH              X             2     20,000
UNUM GROUP                 COM         91529Y106        19       909  SH                    X       3                 909
UNUM GROUP                 COM         91529Y106        20       942  SH              X           1,3        942
UNUM GROUP                 COM         91529Y106       415    19,373  SH              X             3     15,603              3,770
URBAN OUTFITTERS INC       COM         917047102        16       525  SH                    X       3        525
URBAN OUTFITTERS INC       COM         917047102       492    16,324  SH              X             3     15,520                804
V F CORP                   COM         918204108       117     1,609  SH                    X       3        458    1,151
V F CORP                   COM         918204108     2,253    31,105  SH              X             3     30,740      320        45
V F CORP                   COM         918204108     3,745    51,700  SH              X             2     19,900             31,800
VALEANT PHARMA INTL        COM         91911X104       445    15,845  SH              X             3     14,251              1,594
VALE S A                   ADR         91912E105        68     2,933  SH                    X       3               1,355     1,578
VALE S A                   ADR         91912E105       136     5,899  SH              X             3      3,177              2,722
VALERO ENERGY CORP NEW     COM         91913Y100         4       220  SH                    X       3                 220
VALERO ENERGY CORP NEW     COM         91913Y100       413    21,314  SH              X             3     21,170      114        30
VALSPAR CORP               COM         920355104        91     3,300  SH                    X       3               3,300
VALSPAR CORP               COM         920355104       221     8,018  SH              X             3      1,752              6,266
VALUECLICK INC             COM         92046N102       742    56,309  SH              X             3     50,639              5,670
VALUECLICK INC             COM         92046N102     4,754   360,400  SH              X             2    360,400





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
VANGUARD BD IDX FD INC     INTRMDTRM   921937819       781     9,700  SH                    X       3               9,700
VANGUARD BD IDX FD INC     INTRMDTRM   921937819    21,730   269,737  SH              X             3    269,737
VANGUARD BD IDX FD INC     SH TRM BD   921937827       764     9,550  SH                    X       3               9,550
VANGUARD BD IDX FD INC     SH TRM BD   921937827    13,580   169,645  SH              X             3    169,645
VANGUARD WHITEHALL FDS     HIGHDIVYLD  921946406        58     1,578  SH                    X       3               1,578
VANGUARD WHITEHALL FDS     HIGHDIVYLD  921946406       475    12,949  SH              X             3     12,949
VANGUARD INTL EQ IDX F     ALLWRLDEXUS 922042775       319     7,380  SH              X             3      7,380
VANGUARD INTL EQ IDX F     ALLWRLDEXUS 922042775       987    22,850  SH                    X       3              22,850
VANGUARD INTL EQ IDX F     EMR MKT ETF 922042858     1,471    38,170  SH                    X       3        680   37,490
VANGUARD INTL EQ IDX F     EMR MKT ETF 922042858     5,017   130,210  SH              X             3    130,210
VANGUARD INTL EQ IDX F     EURPEAN ETF 922042874        38       765  SH                    X       3        765
VANGUARD INTL EQ IDX F     EURPEAN ETF 922042874     1,322    26,666  SH              X             3     26,666
VARIAN MED SYS INC         COM         92220P105        30       723  SH                    X       3                 393       330
VARIAN MED SYS INC         COM         92220P105       402     9,542  SH              X             3      2,200              7,342
VECTREN CORP               COM         92240G101       115     4,986  SH                    X       3      4,584      402
VECTREN CORP               COM         92240G101       215     9,318  SH              X             3      8,677                641
VEECO INSTRS INC DEL       COM         922417100       323    13,880  SH              X             3     13,005                875
VEECO INSTRS INC DEL       COM         922417100     1,339    57,400  SH              X             2     57,400
VANGUARD INDEX FDS         MCVLIDXVIP  922908512       661    15,500  SH              X             3     15,500
VANGUARD INDEX FDS         MCGRIDXVIP  922908538       454    10,000  SH              X             3     10,000
VANGUARD INDEX FDS         SC VAL ETF  922908611     4,529    84,835  SH              X             3     84,835
VANGUARD INDEX FDS         MC ETF      922908629       216     3,800  SH                    X       3               3,800
VANGUARD INDEX FDS         MC ETF      922908629     1,019    17,910  SH              X             3     17,910
VANGUARD INDEX FDS         EXTMKTETF   922908652       166     4,000  SH                    X       3               4,000
VANGUARD INDEX FDS         EXTMKTETF   922908652       265     6,400  SH              X             3      6,400
VANGUARD INDEX FDS         GR ETF      922908736       806    16,350  SH                    X       3      1,200   15,150
VANGUARD INDEX FDS         GR ETF      922908736     4,306    87,370  SH              X             3     87,370
VANGUARD INDEX FDS         VALUE ETF   922908744       420     9,122  SH              X             3      9,122
VANGUARD INDEX FDS         VALUE ETF   922908744       734    15,938  SH                    X       3              15,938
VANGUARD INDEX FDS         STKMRKETF   922908769       832    15,523  SH                    X       3      7,400    8,123
VANGUARD INDEX FDS         STKMRKETF   922908769     4,246    79,228  SH              X             3     79,228
VEOLIA ENVIRONNEMENT       SPON ADR    92334N103       743    19,300  SH                    X       3     18,800      500
VEOLIA ENVIRONNEMENT       SPON ADR    92334N103     1,237    32,130  SH              X             3     32,130
VERIZON COMMUNIC INC       COM         92343V104        36     1,200  SH                    X     1,3        900      300
VERIZON COMMUNIC INC       COM         92343V104       586    19,359  SH              X           1,3     19,359
VERIZON COMMUNIC INC       COM         92343V104     2,628    86,827  SH                    X       3     30,025   49,805     6,997
VERIZON COMMUNIC INC       COM         92343V104    18,628   615,397  SH              X             3    601,903    7,051     6,443
VERIZON COMMUNIC INC       COM         92343V104    19,552   645,909  SH              X             2    352,143            293,766
VERTEX PHARMA INC          COM         92532F100       530    13,992  SH              X             3     12,832              1,160
VIACOM INC NEW             CL B        92553P201        40     1,411  SH                    X       3               1,411
VIACOM INC NEW             CL B        92553P201       609    21,719  SH              X             3     19,924      200     1,595
VIROPHARMA INC             COM         928241108       496    51,535  SH              X             3     51,535
VISA INC                   COM CL A    92826C839        61       881  SH              X             3        881
VISA INC                   COM CL A    92826C839        69     1,000  SH                    X       3               1,000
VISA INC                   COM CL A    92826C839     3,248    47,000  SH              X             2     27,700             19,300
VISHAY INTERTECHN INC      COM         928298108       152    19,300  SH              X             3     19,115                185
VODAFONE GROUP PLC NEW     SP ADR NEW  92857W209        98     4,375  SH              X             2                         4,375
VODAFONE GROUP PLC NEW     SP ADR NEW  92857W209       429    19,074  SH              X             3     15,522      212     3,340
VODAFONE GROUP PLC NEW     SP ADR NEW  92857W209       613    27,253  SH                    X       3        700   24,258     2,295
VORNADO RLTY TR            SH BEN INT  929042109        36       564  SH              X             3        564
VORNADO RLTY TR            SH BEN INT  929042109       419     6,510  SH                    X       3               6,510
VULCAN MATLS CO            COM         929160109        12       221  SH                    X       3                 221
VULCAN MATLS CO            COM         929160109        68     1,250  SH              X           1,3      1,250
VULCAN MATLS CO            COM         929160109     1,697    31,394  SH              X             3     31,394
WMS INDS INC               COM         929297109        19       423  SH                    X       3                 423
WMS INDS INC               COM         929297109        95     2,132  SH              X             3      1,174                958
WMS INDS INC               COM         929297109     1,800    40,400  SH              X             2     40,400
WACOAL HOLDINGS CORP       ADR         930004205        14       216  SH              X             3        216
WACOAL HOLDINGS CORP       ADR         930004205       243     3,761  SH                    X       3               3,761
WADDELL & REED FINL INC    CL A        930059100        13       455  SH                    X       3                 455
WADDELL & REED FINL INC    CL A        930059100       158     5,575  SH              X             3      3,061              2,514
WADDELL & REED FINL INC    CL A        930059100     1,713    60,200  SH              X             2     60,200
WAL MART STORES INC        COM         931142103        64     1,300  SH                    X     1,3      1,000      300
WAL MART STORES INC        COM         931142103     1,457    29,671  SH              X           1,3     29,471      200
WAL MART STORES INC        COM         931142103     3,134    63,838  SH                    X       3      4,345   53,206     6,287
WAL MART STORES INC        COM         931142103    18,593   378,760  SH              X             3    338,684   16,723    23,353
WAL MART STORES INC        COM         931142103    34,037   693,365  SH              X             2    242,015            451,350
WALGREEN CO                COM         931422109       275     7,350  SH                    X     1,3      7,250      100
WALGREEN CO                COM         931422109       330     8,817  SH              X           1,3      8,617      200
WALGREEN CO                COM         931422109     2,170    57,907  SH              X             2     10,000             47,907
WALGREEN CO                COM         931422109     3,848   102,686  SH                    X       3     26,065   76,621
WALGREEN CO                COM         931422109     8,725   232,853  SH              X             3    219,585   10,786     2,482
WASTE MGMT INC DEL         COM         94106L109         5       162  SH              X           1,3        162
WASTE MGMT INC DEL         COM         94106L109       365    12,256  SH                    X       3      3,700    2,584     5,972
WASTE MGMT INC DEL         COM         94106L109     2,165    72,600  SH              X             2     72,600
WASTE MGMT INC DEL         COM         94106L109     4,530   151,923  SH              X             3    147,745      487     3,691
WATERS CORP                COM         941848103       260     4,647  SH                    X       3        742      927     2,978
WATERS CORP                COM         941848103     1,404    25,128  SH              X             3     18,326              6,802
WATSON PHARMA INC          COM         942683103        82     2,243  SH                    X       3               2,243
WATSON PHARMA INC          COM         942683103       402    10,963  SH              X             3     10,928                 35
WAUSAU PAPER CORP          COM         943315101       818    81,751  SH              X             3     80,996                755
WAUSAU PAPER CORP          COM         943315101     1,260   126,007  SH                    X       3     24,387  101,520       100
WELLPOINT INC              COM         94973V107        71     1,502  SH                    X       3               1,502
WELLPOINT INC              COM         94973V107     1,349    28,488  SH              X             3     27,964       56       468
WELLS FARGO & CO NEW       COM         949746101        34     1,200  SH                    X     1,3        900      300
WELLS FARGO & CO NEW       COM         949746101       282    10,021  SH              X           1,3     10,021
WELLS FARGO & CO NEW       COM         949746101     2,988   106,029  SH                    X       3     36,329   66,080     3,620
WELLS FARGO & CO NEW       COM         949746101    16,466   584,308  SH              X             3    572,190    5,780     6,338
WELLS FARGO & CO NEW       COM         949746101    21,734   771,232  SH              X             2    405,833            365,399
WENDYS ARBYS GROUP INC     COM         950587105        58    12,223  SH              X             3     12,003                220





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
WESTERN DIGITAL CORP       COM         958102105       307     8,397  SH                    X       3      1,286    1,932     5,179
WESTERN DIGITAL CORP       COM         958102105     1,294    35,415  SH              X             3     15,591             19,824
WESTERN DIGITAL CORP       COM         958102105    14,170   387,900  SH              X             2    187,100            200,800
WESTERN UN CO              COM         959802109        16       824  SH                    X       3                 824
WESTERN UN CO              COM         959802109       399    21,085  SH              X             3     20,792                293
WEYCO GROUP INC            COM         962149100       237    10,332  SH                    X       3              10,332
WEYERHAEUSER CO            COM         962166104       196     5,356  SH              X             2      5,356
WEYERHAEUSER CO            COM         962166104       295     8,056  SH                    X       3      2,460    5,596
WEYERHAEUSER CO            COM         962166104     5,506   150,237  SH              X             3    138,322    9,281     2,634
WHIRLPOOL CORP             COM         963320106        37       527  SH                    X       3                 527
WHIRLPOOL CORP             COM         963320106     1,630    23,293  SH              X             3     19,253              4,040
WHIRLPOOL CORP             COM         963320106     5,944    84,961  SH              X             2     84,961
WHITING PETE CORP NEW      COM         966387102        21       369  SH              X             3         12                357
WHITING PETE CORP NEW      COM         966387102       284     4,936  SH                    X       3               4,936
WILLIAMS COS INC DEL       COM         969457100       100     5,575  SH                    X       3               5,575
WILLIAMS COS INC DEL       COM         969457100     2,268   126,920  SH              X             3    126,495      194       231
WILLIAMS COS INC DEL       COM         969457100     3,078   172,218  SH              X             2    172,218
WILLIAMSPIPELINE PART L    COMUTLPIN   96950K103        27     1,400  SH              X             3      1,400
WILLIAMSPIPELINE PART L    COMUTLPIN   96950K103       613    32,000  SH                    X       3              32,000
WINDSTREAM CORP            COM         97381W104        39     3,857  SH                    X       3               3,857
WINDSTREAM CORP            COM         97381W104       159    15,730  SH              X             2     15,730
WINDSTREAM CORP            COM         97381W104     2,606   257,299  SH              X             3    255,951      546       802
WINN DIXIE STORES INC      COM NEW     974280307       127     9,680  SH              X             3      2,530              7,150
WINN DIXIE STORES INC      COM NEW     974280307       129     9,800  SH                    X       3               6,300     3,500
WINTRUST FINANCIAL CORP    COM         97650W108        38     1,360  SH                    X       3                         1,360
WINTRUST FINANCIAL CORP    COM         97650W108       205     7,319  SH              X             3      4,129              3,190
WISCONSIN ENERGY CORP      COM         976657106     1,305    28,881  SH                    X       3      3,148   24,391     1,342
WISCONSIN ENERGY CORP      COM         976657106     4,541   100,525  SH              X             3     95,660    4,080       785
WOODWARD GOVERNOR CO       COM         980745103        14       566  SH                    X       3        274      292
WOODWARD GOVERNOR CO       COM         980745103       584    24,062  SH              X             3     24,012                 50
WORTHINGTON INDS INC       COM         981811102        37     2,660  SH                    X       3                         2,660
WORTHINGTON INDS INC       COM         981811102       145    10,433  SH              X             3      5,975              4,458
WYETH                      COM         983024100        49     1,000  SH                    X     1,3        750      250
WYETH                      COM         983024100       353     7,275  SH              X           1,3      7,275
WYETH                      COM         983024100     2,367    48,720  SH                    X       3     11,659   35,077     1,984
WYETH                      COM         983024100     6,398   131,699  SH              X             3    127,432    3,745       522
WYNDHAM WORLDWIDE CORP     COM         98310W108         5       323  SH                    X       3                 323
WYNDHAM WORLDWIDE CORP     COM         98310W108       197    12,051  SH              X             3     11,966                 85
XTO ENERGY INC             COM         98385X106        21       500  SH                    X     1,3        500
XTO ENERGY INC             COM         98385X106       388     9,400  SH              X           1,3      9,250      150
XTO ENERGY INC             COM         98385X106     1,429    34,594  SH                    X       3      1,032   33,562
XTO ENERGY INC             COM         98385X106     2,848    68,912  SH              X             2     68,912
XTO ENERGY INC             COM         98385X106    13,257   320,839  SH              X             3    307,562    2,391    10,886
XATA CORP                  COM NEW     983882309       821   283,001  SH              X             3    283,001
XCEL ENERGY INC            COM         98389B100        74     3,847  SH                    X       3               3,847
XCEL ENERGY INC            COM         98389B100       319    16,586  SH              X             3     16,586
XEROX CORP                 COM         984121103        69     8,870  SH                    X       3               2,332     6,538
XEROX CORP                 COM         984121103     1,820   235,202  SH              X             3    222,367             12,835
XEROX CORP                 COM         984121103     2,913   376,380  SH              X             2    363,180             13,200
YAHOO INC                  COM         984332106       129     7,222  SH                    X       3                 620     6,602
YAHOO INC                  COM         984332106       579    32,495  SH              X             3     31,843      222       430
YAHOO INC                  COM         984332106     3,778   212,100  SH              X             2     78,600            133,500
YUM BRANDS INC             COM         988498101       229     6,795  SH                    X       3      2,100    2,138     2,557
YUM BRANDS INC             COM         988498101     1,608    47,640  SH              X             3     47,097      428       115
YUM BRANDS INC             COM         988498101     3,847   113,960  SH              X             2     48,100             65,860
ZEBRA TECHNOLOGIES CORP    CL A        989207105        36     1,400  SH                    X       3               1,400
ZEBRA TECHNOLOGIES CORP    CL A        989207105       208     8,031  SH              X             3      6,098              1,933
ZEP INC                    COM         98944B108       289    17,757  SH              X             3     17,757
ZIMMER HLDGS INC           COM         98956P102       194     3,627  SH                    X       3        300    2,737       590
ZIMMER HLDGS INC           COM         98956P102       639    11,956  SH              X             3     11,551       55       350
ZOLTEK COS INC             COM         98975W104        23     2,200  SH              X             3      2,200
ZOLTEK COS INC             COM         98975W104       584    55,638  SH                    X       3              55,638
ZWEIG FD                   COM         989834106       183    57,127  SH              X             3     57,127
AMDOCS LTD                 ORD         G02602103       797    29,645  SH              X             3     25,355              4,290
AMDOCS LTD                 ORD         G02602103     2,700   100,444  SH              X             2    100,444
ARGO GR INTL HLDGS LTD     COM         G0464B107       202     6,000  SH              X             3      6,000
ENERGY XXI(BERMUDA) LTD    COM SHS     G10082108     1,592 1,027,520  SH              X             3    962,030             65,490
ENERGY XXI(BERMUDA) LTD    COM SHS     G10082108     6,753 4,356,500  SH              X             2  4,356,500
ACCENTURE PLC IRELAND      SHS A       G1151C101       732    19,639  SH                    X       3      1,810    6,943    10,886
ACCENTURE PLC IRELAND      SHS A       G1151C101     3,095    83,032  SH              X             3     26,082             56,950
BUNGE LIMITED              COM         G16962105        19       300  SH              X           1,3        300
BUNGE LIMITED              COM         G16962105        64     1,023  SH                    X       3               1,023
BUNGE LIMITED              COM         G16962105       147     2,351  SH              X             3      2,351
COOPER INDUSTRIES PLC      SHS         G24140108        14       378  SH                    X       3                 378
COOPER INDUSTRIES PLC      SHS         G24140108     1,363    36,261  SH              X             3     36,231                 30
COOPER INDUSTRIES PLC      SHS         G24140108     6,277   167,080  SH              X             2    167,080
COVIDIEN PLC               SHS         G2554F105       229     5,300  SH                    X       3               2,875     2,425
COVIDIEN PLC               SHS         G2554F105     1,576    36,441  SH              X             3      4,453             31,988
ENSTAR GROUP LIMITED       SHS         G3075P101       400     6,435  SH              X             3      6,024                411
ENSTAR GROUP LIMITED       SHS         G3075P101     1,690    27,200  SH              X             2     27,200
INGERSOLL-RAND PLC         SHS         G47791101         3       100  SH                    X     1,3                 100
INGERSOLL-RAND PLC         SHS         G47791101        70     2,290  SH              X           1,3      2,290
INGERSOLL-RAND PLC         SHS         G47791101        92     3,010  SH                    X       3                 334     2,676
INGERSOLL-RAND PLC         SHS         G47791101       157     5,119  SH              X             3      5,119
INGERSOLL-RAND PLC         SHS         G47791101     2,082    67,900  SH              X             2     67,900
INVESCO LTD                SHS         G491BT108       293    12,866  SH                    X       3               9,376     3,490
INVESCO LTD                SHS         G491BT108     1,175    51,626  SH              X             3     45,836              5,790
INVESCO LTD                SHS         G491BT108     5,643   247,949  SH              X             2    247,949
LAZARD LTD                 SHS A       G54050102        14       325  SH              X             3        325
LAZARD LTD                 SHS A       G54050102     1,838    44,500  SH              X             2     44,500





                                                   MARSHALL & ILSLEY CORPORATION
                                             SECURITIES AND EXCHANGE COMMISSION FORM 13F
                                                      ASSETS AS OF 09/30/2009

- - - - COL 1 - - - - - - - COL 2 - - - COL 3 - - - COL 4 - - - - COL 5 - - - - - - - COL 6 - - - COL 7 - - - - - - COL 8 - - - - -
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                                                                                      INVESTMENT
                                                                                      DISCRETION              VOTING AUTHORITY
                            TITLE                   MARKET                      -----------------------  --------------------------
                             OF                     VALUE     SHRS OR  SH/ PUT/ SOLE  SHR  OTHR   OTHER     SOLE    SHARED   NONE
   NAME OF ISSUER           CLASS        CUSIP     (X$1000)   PRN AMT  PRN CALL  (A)  (B)   (C)    MGRS      (A)      (B)     (C)
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                  
MARVELL TECH GROUP LTD     ORD         G5876H105        36     2,223  SH                    X       3                 723     1,500
MARVELL TECH GROUP LTD     ORD         G5876H105       168    10,384  SH              X             3      5,884              4,500
MARVELL TECH GROUP LTD     ORD         G5876H105     1,212    74,850  SH              X             2     74,850
MAX CAPITAL GROUP LTD      SHS         G6052F103        41     1,900  SH                    X       3                         1,900
MAX CAPITAL GROUP LTD      SHS         G6052F103       330    15,431  SH              X             3     12,281              3,150
NABORS INDUSTRIES LTD      SHS         G6359F103       197     9,430  SH              X             2      9,430
NABORS INDUSTRIES LTD      SHS         G6359F103       539    25,805  SH                    X       3      1,410   24,395
NABORS INDUSTRIES LTD      SHS         G6359F103     8,024   383,902  SH              X             3    373,805    6,031     4,066
ONEBEACON INS GROUP LT     CL A        G67742109        61     4,430  SH                    X       3                         4,430
ONEBEACON INS GROUP LT     CL A        G67742109       208    15,125  SH              X             3     15,125
PARTNERRE LTD              COM         G6852T105       727     9,440  SH              X             3      8,080              1,360
PARTNERRE LTD              COM         G6852T105     3,016    39,197  SH              X             2     39,197
PLATINUM UNDRWRT HLDGSL    COM         G7127P100        54     1,503  SH                    X       3                 333     1,170
PLATINUM UNDRWRT HLDGSL    COM         G7127P100       356     9,922  SH              X             3      7,972              1,950
SEAGATE TECHNOLOGY         SHS         G7945J104       380    25,000  SH   PUT         X             3
SEAGATE TECHNOLOGY         SHS         G7945J104        26     1,702  SH                    X       3                 702     1,000
SEAGATE TECHNOLOGY         SHS         G7945J104     1,286    84,570  SH              X             3     80,320              4,250
UTI WORLDWIDE INC          ORD         G87210103       401    27,686  SH              X             3     26,200              1,486
WILLIS GROUP HLDGS LTD     SHS         G96655108        47     1,655  SH                    X       3                         1,655
WILLIS GROUP HLDGS LTD     SHS         G96655108       469    16,631  SH              X             3     14,261              2,370
XL CAP LTD                 CL A        G98255105       144     8,237  SH              X             3      8,237
XL CAP LTD                 CL A        G98255105     2,657   152,200  SH              X             2    152,200
ACE LTD                    SHS         H0023R105        55     1,024  SH                    X       3               1,024
ACE LTD                    SHS         H0023R105     1,112    20,801  SH              X             3     18,261              2,540
ACE LTD                    SHS         H0023R105     3,957    74,011  SH              X             2     74,011
ALCON INC                  COM SH      H01301102        77       555  SH                    X       3        455      100
ALCON INC                  COM SH      H01301102       759     5,473  SH              X             3      5,473
WEATHERFORD INTRNTL LT     REG         H27013103       104     5,000  SH                    X       3               5,000
WEATHERFORD INTRNTL LT     REG         H27013103       195     9,383  SH              X             3      9,383
NOBLE CORPORATION BAAR     NAMEN -AKT  H5833N103        34       906  SH                    X       3                 231       675
NOBLE CORPORATION BAAR     NAMEN -AKT  H5833N103       595    15,689  SH              X             3     15,689
NOBLE CORPORATION BAAR     NAMEN -AKT  H5833N103     2,321    61,131  SH              X             2     61,131
TRANSOCEAN LTD             REG SHS     H8817H100     1,251    14,631  SH                    X       3      4,258    5,635     4,738
TRANSOCEAN LTD             REG SHS     H8817H100     9,183   107,361  SH              X             2     57,693             49,668
TRANSOCEAN LTD             REG SHS     H8817H100     9,192   107,479  SH              X             3     93,974      636    12,869
TYCO INTERNATIONAL LTD     SHS         H89128104       113     3,275  SH              X             2                         3,275
TYCO INTERNATIONAL LTD     SHS         H89128104       364    10,547  SH                    X       3               4,512     6,035
TYCO INTERNATIONAL LTD     SHS         H89128104     1,835    53,209  SH              X             3     11,569             41,640
TYCO ELECT LTD SWITZER     SHS         H8912P106       319    14,310  SH                    X       3               6,325     7,985
TYCO ELECT LTD SWITZER     SHS         H8912P106     1,630    73,170  SH              X             3      9,547             63,623
UBS AG                     SHS NEW     H89231338       300    16,376  SH                    X       3              11,713     4,663
UBS AG                     SHS NEW     H89231338       302    16,521  SH              X             3      7,293              9,228
MILLICOM INTL CELL S A     SHS NEW     L6388F110        98     1,352  SH                    X       3                 477       875
MILLICOM INTL CELL S A     SHS NEW     L6388F110       249     3,427  SH              X             3      1,626              1,801
CHECKPOINT SFTWR TECH      ORD         M22465104        14       490  SH              X             3        490
CHECKPOINT SFTWR TECH      ORD         M22465104        22       785  SH                    X       3                 295       490
CHECKPOINT SFTWR TECH      ORD         M22465104     1,894    66,800  SH              X             2     66,800
AERCAP HOLDINGS NV         SHS         N00985106       184    20,300  SH              X             3     20,300
ASML HOLDING N V           NY REG SH   N07059186        37     1,257  SH              X             3      1,257
ASML HOLDING N V           NY REG SH   N07059186     2,304    77,900  SH              X             2     77,900
ROYAL CARIBBEAN CRUISES    COM         V7780T103        47     1,971  SH                    X       3               1,971
ROYAL CARIBBEAN CRUISES    COM         V7780T103     1,012    42,044  SH              X             3     42,044
ROYAL CARIBBEAN CRUISES    COM         V7780T103     4,366   181,296  SH              X             2    176,296              5,000
FLEXTRONICS INTL LTD       ORD         Y2573F102        78    10,418  SH                    X       3               3,878     6,540
FLEXTRONICS INTL LTD       ORD         Y2573F102       218    29,218  SH              X             3      7,894             21,324
FLEXTRONICS INTL LTD       ORD         Y2573F102    10,438 1,397,355  SH              X             2    553,277            844,078